STATE OF GEORGIA DEPARTMENT OF BANKING Created by Act Approved August 16, 1919. SIXTEENTH ANNUAL REPORT YEAR ENDING DECEMBER 31, 1935. DEPARTMENT ESTABLISHED An Act to create the Department of Banking of the State of Georgia, to provide for the incorporation and regulation of Banks and penalties for violations of the Law, defining duties of the Superintendent of Banks and for other purposes, was enacted by the Legislature in 1919, approved by the Governor August 16, 1919, and effective January 1, 1920. This Act has been amended from time to time, through the last session of the General Assembly in 1935, all of which amendments are contained in the Banking Act pUblished bY the Department of Banking. R. E. GORMLEY, Superintendent of Banks. IV DEPARTMENT OF BANKING DEPARTMENT OF BANKING STATE OF GEORGIA ATLANTA December 31, 1935. To THE HoNORABLE EuGENE TALMADGE, GovERNOR, State of Georgia, Atlanta, Ga. Dear Sir: As required in Sections 15 and 16 of Article 2 of the Banking Law, I have the honor to submit herewith, this, the 16th annual report of the Department of Banking for the year ending December 31, 1935. This report consists of the following exhibits: 1. Exhibit "A", Official Roster of the Department of Banking. 2. Exhibit "B", a statement of the receipts and disbursements of the Department for the year 1935. 3. Exhibits "C", "D", "E", "F", "G", "H", "1", "J", "K", "L", covering miscellaneous applications relative to charter amendments, charter renewals, voluntary liquidations, surrender of charters, etc. 4. Exhibit "M", a list of banks in voluntary liquidation. 5. Exhibit "N", a list of branch banks now in operation. 6. Exhibit ((0'', a condensed statement showing the disposition of banks during the year 1935. 7. Exhibit "P", a list of banks that are members of the Federal Reserve System. SIXTEENTH ANNUAL REPORT v 8. Exhibit "Q'', a list of Small Loan Companies under the supervision of the Superintendent of Banks during the year 1935, and Exhibit "R", a list of Credit Unions as of December 31, 1935. 9. Exhibit "S", abstract of reports showing condition of 224 banks and 9 branches as of December 31, 1935, with a comparative statement of 223 banks and 9 branches as of December 31, 1934. 10. Exhibit "T", Composite Statement of Earnings of State Banks for the calendar year ended December 31, 1935. In addition to the information as reflected in the exhibits referred to above, the report contains the detailed published statement of each bank as of December 31, 1935. This statement gives an itemized report of the assets and liabilities of the bank, the date the bank was chartered, the date it began business and the names of the President and Cashier. Respectfully submitted, R. E. GORMLEY, Superintendent of Banks. VI DEPARTMENT OF BANKING Exhibit "A." DEPARTMENT OF BANKING, STATE OF GEORGIA OFFICIAL ROSTER December 31, 1935. R. E. GORMLEY Superintendent of Banks E. B. DOUGLASS Assistant Superintendent of Banks EXAMINERS Name Address Richard Forrester________ .Montezuma_____________________$ C. L. Gruver_____________ Statesboro________________ ~- ___ _ W. D. Lloyd ______________ Tallapoosa_____________________ _ 0. G. Jackson____________ Atlanta________ ----------------H. B. Harris______________Atlanta _________________________ _ Salary 200.00 200.00 200.00 200.00 125.00 OFFICE ASSISTANTS Name Position Annette Johnson_________ Secretary________________________$ Mrs. W. L. Ellis ___________ Secretary_________________________ Salary 140.00 125.00 Anderson Cumming_-------- __ .Porter_______________________$ 40.00 SIXTEENTH ANNUAL REPORT VII Exhibit "B." DEPARTMENT OF BANKING, STATE OF GEORGIA Receipts and Disbursements, 1935. RECEIPTS Balance Jan. 1, 1935_____________________________________$ Examination Fees ______________________________________ _ Small Loan Fees________________________________________ _ Miscellaneous Income __________________________________ _ 2,998.24 35,202.50 5,891.67 441.73 $ 44,534.14 DISBURSEMENTS Superintendent's Salary________________________________$ Asst. Superintendent's Salary_________________________ _ Traveling Expenses, Superintendent___________________ _ Traveling Expenses, Asst. Superintendent _____________ _ Office Assistants' Salaries______________________________ _ Examiners' Salaries ____________________________________ _ Examiners' Expenses, Traveling________________________ _ Printing and Stationery________________________________ _ Miscellaneous Office Expense___________________________ _ 3% Deduction by State_________________________________ _ 6,000.00 3,600.00 304.70 670.88 3,572.00 11,018.75 8,457.64 881.87 1,857.07 1,246.08 $ 37,608.99 Balance, December 31, 1935___________________________________________ .$ 6,925.15 VIII DEPARTMENT OF BANKING Bzhibit "C." APPLICATIONS TO DECREASE CAPITAL APPROVED NAME OF BANK Bank of Milan_______________ Wilkinson County Bank_____ The Bank of Lafayette ______ The Farmers Bank__________ Austell Bank________________ Bank of Cumming___________ Kennesaw State Bank_______ Bank of Madison ____________ LOCATION APPROVED AMOUNT OF DECREASE Milan _______ T o o m s b o r o __ L a F a y e t t e ___ Union Point Austell______ C u m m i n g ___ Kennesaw ___ Madison ____ 4-15-35 6-21-35 7-19-35 7-26-35 B-19-35 1(}-24-35 11- 5-35 11-14-35 $ 25,000.00 to $15,000.00 25,000.00 to 15,000.00 85,000.00 to 50,000.00 25,000.00 to 15,000.00 25,000.00 to 15,000.00 25,000.00 to 15,000.00 20,000.00 to 15,000.00 100,000.00 to 50,000.00 Exhibit "D" APPLICATIONS FOB. RENEWAL OF CBAB.TER APPROVED NAME OF BANK LOCATION DATE OF CHARTER Bank of Leslie_______________ Leslie ___ "----Bank of Zebulon____________ Zebulon ______ Albany Trust & Bkg. C9. ____ Albany________ Brand Banking Co. __________ Lawrenceville.. Luthersville Bkg. Co. ________ Luthersville___ Bank of Taylorsville_. __ ._ .. _ Taylorsville____ Chatooga County Bank. ____ Summerville___ The Citizens Bank__________ Ashburn. _____ The Bank of Heard County_ The Farmers Bank__________ Franklin_ .. __ . Monroe ________ Bank of Gibson _____________ Gibson________ 2- 4-1905 3-1B-1905 6-13-1905 6- 2-1905 1(}-11-1905 6- 6-1905 11-25-1905 7-27-1905 1(}-14-1905 1- 1-1906 11- 7-1905 APPROVED 1-30-35 3- 2-35 3-20--35 4-23-35 5- s-35 5-2s-35 5-31-35 7-16-35 7-16-35 1(}-24-35 11-23-35 Exhibit "E" APPLICATIONS FOR REVIVAL OF CBAB.TEB. APPROVED NAME OF BANK LOCATION Bank of Sasser___ ------------________________ Sasser___________ _ The Glennville Bank_________________________ Glennville _______ _ DATE 3-23-35 6-10--35 APPLICATION TO CHANGE NAME APPROVED Exhibit "F" NAME OF BANK LOCATION CHANGED TO DATE RealtY Savings & Trust Co.... Augusta ____ Realty Savings Bank________ 3-29-35 SIXTEENTH ANNUAL REPORT IX APPLICATIONS FOR CHARTER APPROVED Exhibit "G" NAME OF BANK LOCATION APPROVED Exchange Bank_____________ The Peoples Bank of Lyons_ Durden Banking Co., Inc. ___ The Claxton State Bank.____ Bostwick Banking Co. _______ The Peoples Bank___________ Rowe Banking Co. __________ Bank of Jasper______________ Citizens Bank of Tallapoosa_ Unadilla __________ Lyons_____________ Summit ___________ C l a x t o n ___________ Arlington _________ ACotlmaenrt_a_____-_-_-_-_-_-_-_-__~ Jasper ____________ Tallapoosa ________ 4-17-35 5- 2-35 5-28-35 6-12-35 8- 1-35 8- 1-35 9- 6-35 9-16-35 9-25-35 BEGAN BUSINESS 4-22-35 6- 1-35 7- 5-35 7- 1-35 -------9- 3-35 10-12-35 -------10- 7-35 Exhibit "H" APPLICATION FOR CHARTER DISAPPROVED NAME OF APPLICANT LOCATION DISAPPROVED The Pierce Exchange Bank___________________ Parrott___________ _ 7-19-35 Exhibit "I" APPLICATIONS FOR MISCELLANEOUS AMENDMENTS APPROVED NAME OF BANK LOCATION NATURE OF AMENDMENT APPROVED Georgia Svgs. Bk. & Tr. Co. __ Merchants & Mech. Bank_____ The Home Svgs. Bank________ Atlanta _____ To incorporate in Charter provisions of Sec. 1 of Article 18 of the Banking Act__ 9-19-35 Columbus___ To incorporate in Charter provisions of Sec. 1 of Article 18 of the Banking Act___ 10-24-35 Columbus___ To incorporate in Charter provisions of Sec. 1 of Article 18 of the Banking Act__ 11-30-35 PERMITS TO RESUME BUSINESS ISSUED NAME OF BANK LOCATION Metter Banking Co. ___ ----------------_______ Metter____________ _ Exhibit "J" DATE 8-26-35 X DEPARTMENT OF BANKING Exhibit "K" PERMITS TO ENTER VOLUNTARY LIQUIDATION ISSUED NAME OF BANK LOCATION DATE BY WHOM LIQUIDATED Merchants & Planters Bank_ Tobacco Belt Trust Co. ______ Bainbridge State Bank______ Ashley Trust Company______ Continental Trust Co. _______ Whigham_ _____ Lakeland.. _____ Bainbridge____ Valdosta ______ Atlanta _______ 3--15-35 11- 6-35 11- 6-35 11-14-35 12-12--35 Directors Directors Trustees Directors Directors Exhibit "L" APPLICATION TO SURRENDER CHARTER APPROVED NAME OF BANK LOCATION APPROVED Menlo Bank__________ ------------------______ Menlo ___ -------- __ SIXTEENTH ANNUAL REPORT xr BANKS IN VOLUNTARY LIQUIDATION December 31, 1935 Exhibit "M" NAME OF BANK LOCATION DATE Bank of Sale City____________________ Sale City______________ January 22, 1924. Bank of Willacoochee_________________ Willacoochee___________ May 18, 1925. Farmers Banking Company___________ Covington_____________ April6, 1925. Farmers Bank________________________ Vidette________________ June 28, 1926. Bank of Bostwick____________________ Bostwick______________ December 2,1926. Farmers & Merchants Bank___________ Grantville_____________ December 9, 1926. Union Banking Company ____________ Momoe________________ February 12, 1927. Dacula Banking Company____________ Dacula________________ FebruarY 15, 1927. Sharpsburg Banking Company_______ Sharpsburg___________ November 12, 1927. Bank of Boston______________________ Boston________________ December 31, 1927. Bank of Buckhead___ ---------------- Buckhead_____________ July 14, 1927. Bank of Lincolnton __________________ Lincolnton____________ February 10, 1928. Bank of Stephens____________________ Stephens _____________ September 11,1928. Council Bank________________________ Ellaville_______________ Pending. Pittard Banking Company____________ Winterville ____________ Pending. Bank of Taliaferro____________________ Crawfordville__________ September 4, 1929. Atlanta Trust Company______________ Atlanta _______________ December 11, 1929. Peoples Bank_________________________ Comer_ ________________ March 31, 1930. Bank of Helen________________________ Helen_________________ June 2, 1930. Bank of Cave Spring_________________ Cave Spring___________ December 12, 1930. Houston Banking Co.---------------- Perry__________________ December 12, 1930. Farmers & Merchants Bank___________ Kite___________________ January 26, 1931. Merchants Trust Company___________ Valdosta______________ January 30, 1931. Atlanta Savings Bank________________ Atlanta_______________ October 13, 1931. South Georgia Trust Company_______ Albany________________ December 11, 1931. People's Bank________________________ Glennville_____________ December 24,1931. Bank of Statham_____________________ Statham______________ December 31, 1931. Walker County Bank_________________ LaFayette_____________ JanuarY 1, 1932. Bank of Brooklet_____________________ Brooklet_______________ January 1, 1932. Whitesburg Banking Co. _____________ Whitesburg____________ February 2, 1932. Loganville Banking Company_________ Loganville_____________ April28, 1932. Newnan Bank and Trust Company___ Newnan_______________ May 11, 1932. Citizens & Contractors Bank_________ Lithonia ______________ October 19,1932. Citizens Bank________________________ Brinson_______________ December 31, 1932. Bank of Forsyth______________________ Forsyth_______________ January 2, 1933. Citizens Bank________________________ Claxton_______________ December 4, 1934. Clermont Banking Co. ________________ Clermont______________ February 26, 1934. Decatur County Bank________________ Bainbridge____________ October 29, 1934. Rhine Banking Co. ___________________ Rhine_________________ December 21, 1934. Merchants & Planters Bank__________ Whigham______________ March 15, 1935. Tobacco Belt Trust Co. _______________ Lakeland______________ November 6, 1935. Bainbridge State Bank_______________ Bainbridge____________ November 6,1935. A!lhley Trust Co. _____________________ Valdosta ______________ November 14,1935. Continental Trust Co. ________________ Atlanta _______________ December 12, 1935. XII DEPARTMENT OF BANKING Exhibit "N" BRANCH BANKS AS OF DECEMBER 31, 1936. NAME OF BRANCH LOCATION NAME OF PARENT LOCATION Brunswick Bank & Trust Co.. Arco__________ BrunswickBk. &Trust Co. Brunswick. Georgia Railroad Bk. & Tr. . Co., 1111 Broad St. __________ Augusta._____ Georgia Railroad Bank & Trust Co. ________________ Augusta. Columbus Bk. & Trust Co., 14th Street__________________ Columbus____ Columbus Bank & Trust Co. _______________________ Columbus. Columbus Bk. & Trust Co., North IDghland _____________ Columbus____ Columbus Bank & Trust Co. _______________________ Columbus. Columbus Bk. & Trust Co., Rankin House________________ Columbus____ Columbus Bank & Trust Co. ____ . __________________ Columbus. Cornelia Bank________________ Demorest.____ Cornelia Bank------ ______ Cornelia. Greenville Banking Co. _______ Gay__________ Greenville Banking Co. ____ Greenville. Brunswick Bank & Trust Co.. Jesup ________ Brunswick Bank & Trust Co. _______________________ Brunswick. Citizens Bank. _______________ Nahunta_____ Citizens Bank_____________ Folkston. ' SIXTEENTH ANNUAL REPORT XIII Exhibit "0" DISPOSITION OF STATE BANKS IN GEORGIA DUB.ING YBAB. 1935 Banks Banks in Operation January 1, 1935.-------------------------- 223 Banks in Operation December 31, 1935------------------------- 224 Increase During Year__________________________________ 1 Branches 9 9 **** Banks Entering Voluntary LiqUidation________________________ 5 Merchants & Planters Bank, Whigham Tobacco Belt Trust Co., Lakeland Bainbridge State Bank, Bainbridge Ashley Trust Co., Valdosta Continental Trust Co., Atlanta Banks Closed During Year____________________________________ 3 The Farmers Bank, Royston_________________C__a_p_i$t2a5l ,S00to0.c0k0 Bank of Grantville, Grantville___________________ 25,000.00 Merchants & Farmers Bank, Marietta____________ 25,000.00 8 NewBanks____________________________________________________ 7 Exchange Bank, Unadilla The Peoples Bank, Lyons Durden Banking Co., Inc., Summit The Claxton State Bank, Claxton The Peoples Bank, Atlanta Rowe Banking Co., Comer Citizens Bank of Tallapoosa, Tallapoosa Net Increase Shown Above____________________________ 1 XIV DEPARTMENT OF BANKING Exhibit "P" STATE BANK MEMBERS OF FEDERAL RESERVE SYSTEM Bank of Adairsville_________________________________________________Adairsville Trust Company of Georgia__________________________________________Atlanta Georgia Railroad Bank & Trust Co._________________________________Augusta Citizens Bank and Trust Co. _______________________________________Bainbridge The Blackshear Bank______________________________________________ Blackshear Brunswick Bank and Trust Co. ____________________________________ Brunswick Bank of Canton ____________________________________________________ Canton State Bank of Cochran _____________________________________________ Cochran Columbus Bank and Trust Co. _____________ --------------- _________ Columbus Merchants & Mechanics Bank______________________________________Columbus Northeastern Banking Co.__________________________________________ Commerce Bank of Dawson____________________________________________________Dawson Bank of Eastman___________________________________________________ Eastman Brand Banking Company___________________________________________Lawrenceville Farmers State Bank________________________________________________ Lincolnton Bank of Millen _____________________________________________________Millen Farmers Bank______________________________________________________Monroe Farmers Bank of Pelham ___________________________________________ Pelham Citizens State Bank________________________________________________ Reynolds Bank of Sasser_____________________________________________________ Sasser Citizens Bank and Trust Co. _______________________________________ Savannah Savannah Bank and Trust Co. _____________________________________ Savannah Bank of Soperton ______________________________________ ------ ______ Soperton Central Bank ______________________________________________________ Swainsboro The Bank of Tifton ________________________________________________Tifton SIXTEENTH ANNUAL REPORT XV Exhibit "Q" SMALL LOAN COMPANIES UNDER THE SUPERVISION OF THE SUPERINTENDENT OF BANKS DURING 1935 NAME OF COMPANY LOCATION DATE LICENSE ISSUED Consolidated Loan & Finance Company______________ Albany________ Jan. 12, 1935. Southern Loan Company____________________________ Albany________ Jan. 10, 1935. Family Finance Company____________________________ Athens________ Jan. 2, 1935. T. C. Adams__________________________________________ Atlanta _______ Jan. 5, 1935. American Discount Company of Georgia______________ Atlanta _______ Jan. 2, 1935. City Investment Company____________________________ Atlanta _______ Jan. 2, 1935. FFaammiillYy FFiinnaannccee CCoommppaannyy_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_- AAttllaanntata______________ JJaann.. 22,, 11993355.. Family Finance Company____________________________ Atlanta _______ Jan. 2, 1935. Fidelity Investment Company________________________ Atlanta _______ Jan. 2, 1935. Fulton Loan Service No.3, Inc. ______________________ Atlanta _______ Jan. 2, 1935. Georgia Acceptance Company________________________ Atlanta _______ Jan. 7, 1935. Georgia Finance, Inc. ________________________________ Atlanta _______ Jan. 2, 1935. Hartsfield Company, Inc. ____________________________ Atlanta _______ Jan. 2, 1935. Industrial Finance Corp. _____________________________ Atlanta_______ Jan. 14, 1935. Master Loan Service, Inc. _____________________________ Atlanta _______ Jan. 2, 1935. Mechanics Loan & Savings Co. _______________________ Atlanta _______ Jan. 2, 1935. Personal Finance Company of Atlanta________________ Atlanta_______ Jan. 2, 1935. Quaker Savings Association__________________________ Atlanta _______ Jan. 2, 1935. Roane & Lamb, Inc.__________________________________ Atlanta_______ Jan. 2, 1935. Seaboard Security Company_________________________ Atlanta _______ Jan. 2, 1935. Southern Security Company_________________________ Atlanta _______ Jan. 2, 1935. Southland Loan & Investment Company_____________ Atlanta _______ Jan. 2, 1935. Standard Investment Company______________________ Atlanta _______ Jan. 17, 1935 United Small Loan Corporation _______ --------------- Atlanta_______ Jan. 2, 1935. Family Finance Company_____________________________ Augusta ______ Jan. 2, 1935. Personal Finance Company of Augusta_______________ Augusta ______ Jan. 2, 1935. Standard Loan & Investment Company______________ Augusta ______ Jan. 3, 1935. A. J. Wood_- _____ --__________________________________ Brunswick____ Feb. 18, 1935. United Small Loan Corporation ______________________ Brunswick____ Jan. 2, 1935. FamilY Finance Company____________________________ Columbus_____ Jan. 2, 1935. Dixie Finance Company______________________________ Columbus_____ Jan. 2, 1935. R. S. Des Portes & Company_________________________ Columbus_____ Jan. 10, 1935. Security Savings & Loan Company___________________ Columbus_____ Jan. 2, 1935. Covington Finance Corporation______________________ Covington_____ Jan. 3, 1935. Whitfield Loan & Finance Company__________________ Dalton ________ Jan. 2, 1935. Motor Finance Company_____________________________ Gainesville____ Jan. 2, 1935. Southern Loan Company____________________________ Griffin ________ Jan. 2, 1935. Family Finance Company_____________________________ LaGrange _____ Jan. 2, 1935. Home Finance Company______________________________ McRae________ Jan. 5, 1935. Citizens Loan Company______________________________ Macon________ Jan. 2, 1935. Family Finance Company____________________________ Macon ________ Jan. 2,1935. Georgia Motor Finance Co.___________________________ Macon_________ Jan. 2, 1935. Harris Loan Company________________________________ Macon_________ Jan. 2, 1935. Personal Finance Company of Macon _________________ Macon_________ Jan. 2, 1935. Right Way Loan Company____________________________ Macon________ Jan. 2, 1935. Peoples Loan & Finance Corp. ________________________ Marietta_______ Jan. 11,1935. Interstate Loan Company____________________________ Moultrie ______ Jan. 2, 1935. Family Finance Company____________________________ Rome _________ Jan. 2, 1935. XVI DEPARTMENT OF BANKING Exhibit "Q"-Continued. NAME OF COMPANY LOCATION DATE LICENSE ISSUED Fa.mily Finance Company____________________________ Savannah_____ Jan. 2, 1935. Motor Contract Collecting Agency, Inc. _______________ Savannah_____ Jan. 2, 1935. Personal Finance Company of Savannah_____________ Savannah_____ Jan. 2, 1935. Southern Discount & Finance Corp. _________________ Savannah_____ Feb. 2, 1935. Southern Investment Company______________________ Thomasville___ Jan.14, 1935. Commercial Loan & Discount Co., Inc. _______________ Tifton________ Feb. 8, 1935. Industrial Loan Company of Valdosta________________ Valdosta ______ Jan. 2, 1935. Valdosta Loan & Savings Company___________________ Valdosta ______ Jan. 5, 1935. PUrneistteodnSHmoalldleLroWanillCiaomrsp_o__r_a_t_io__n____-_--_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_- WWainydcerro_s_s____________ JJaann.. 22,, 11993355.. SIXTEENTH ANNUAL REPORT XVII CREDIT UNIONS AS OF DECEMBER 31, 1936 Exhibit "B." NAME STREET ADDRESS LOCATION Albany Federal Employees Credit Union__ Care Post Office________ _ Albany Alma Exchange Credit Union______________________________________ _ Alma Athens Division Credit Union____________ Care Georgia Power Co. __ Athens Athens Firemen's Credit Union __________ Fire Department No. L __ Athens Athens Postal Credit Union______________ Care Post Office________ _ Athens A. B. & A. Railway Credit Union _________ 26 Cain St., N. W. ______ _ Atlanta AAcpcaocoCCrerdeidtiUt Uninoino_n__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_- P19.40E. lBliooxtt1S73t.5,_N__._W__.________ __ Atlanta Atlanta Armour Atlanta Credit Union ____________ 451 Whitehall St., S. W. _ Atlanta Armour Fertilizer Works Credit Union____ 816 Walton Building____ _ Atlanta Atlanta City Employees Credit Union_____ Care City Hall__________ _ Atlanta Atlanta Firemen's Credit Union__________ 166 Alabama St., S. W, __ _ Atlanta Atlanta Journal Employees' Credit Union_ Journal Building______ _ Atlanta Atlanta Postal Credit Union______________ 302 Federal Annex Bldg._ Atlanta t-tlanta Railway Postal Clerks Cr. Union_ 205 Federal Annex______ _ Atlanta Atlanta Savings Stores Credit Union_____ 387 Whitehall St., S. W. _ Atlanta Atlanta Teachers' Association Cr. Union_ Care Tech High SchooL Atlanta Atlanta Telco Credit Union_______________ Care Southern Bell Tel Co. ___________________ _ Atlanta Atlantic Steel Credit Union ______________ Mecaslin St. & Sou. R. R. Atlanta Circle "W" Credit Union _________________ 426Marietta St., N. W. __ _ Atlanta Exposition Cotton Mills Emp. Cr. Union__ 794 Marietta Rd. _______ _ Atlanta Federal Employees' Credit Union_________ 540 Old Post Office Bldg. Atlanta Fulton Teachers Credit Union____________ 524 Court House _______ _ Atlanta Georgia Stand. Oil Employees' Cr. Union_ 746 Marietta St. ________ _ Atlanta Ga.-WP General Offices Credit Union _____ 4 Hunter St., S. W. _____ _ Atlanta Georgian-American Credit Union_________ 84 Marietta St. ________ _ Atlanta The Harry Sommers Credit Union ________ 446 Spring St., N. W. ___ _ Atlanta Hartford Credit Union ___________________ 839 Trust Co. of Ga. Bldg. ________________ _ Atlanta Kraft-Phenix Employees' Credit Union ___ 890 Fair St._ ____________ _ Atlanta L. & R. Employees' Credit Union_________ 75 Houston St. _________ _ Atlanta Lodge No.1 Credit Union ________________ 803 C. & S. Bank Bldg. __ Atlanta Mutual Benefit Credit Union_____________ 50 Pryor St., N. E. ______ _ Atlanta Mutual Savings Credit Union ____________ R. E. A. Employees' Credit Union ________ 243 Peachtree St. _______ _ Atlanta 89 Luckie St., N. W, ____ _ Atlanta Rogers Credit Union _____________________ 682 Whitehall St., S. W. _ Atlanta Seaboard Employees' Credit Union _______ R. F. D. No.5 __________ _ Atlanta Southern Freight Tariff Bureau Emp. Credit Union___________________________ 101 Marietta St. ________ - Atlanta State Employees' Credit Union ___________ 249 State CapitoL ______ _ Atlanta Swift Atlanta Employees' Credit Union___ 555 Wells St. ___________ _ Atlanta The Thrift Credit Union _________________ 125 Spring St., S. W. ___ _ Atlanta Underwriters Credit Union_______________ 300 Trust Co. of Ga. Bldg. _____ -- __ --------- Atlanta United Automobile Workers Credit Uni~n 442 McDonough Boulevard, S. E. ___________ _ Atlanta Western & Atlantic Credit Union _________ Box 892_________________ _ Atlanta White Provision Employees' Credit Union Care White Provision Co. Atlanta Augusta Federal Employees' Credit Union Federal Bldg. ___________ _ Augusta Augusta Fire Department Credit Union___ 1259 Broad St. __________ _ Augusta Augusta Police Dept. Credit Union_______ Police Barracks _________ _ Augusta Georgia R. R. Employees' Credit Union___ Care Georgia Railroad__ _ Augusta King Mill Credit Union___________________ Care King MilL ________ _ Augusta Lenwood Federal Emp. Credit Union _____ Care Veterans Adminis- tration __ _ Augusta XVIII DEPARTMENT OF BANKING Exhibit "R"-Continued. NAME STREET ADDRESS LOCATION Columbus Postal Employees' Credit Union Care Post Office_________ Columbus The Citizens Credit Union_______________ __ ______ ___ ______ __ ______ _ Hahira Federal Employees' Credit Union_________ Care Post Office_________ Macon Hapgrade Credit Union___________________ Broadway at Pine _______ Macon Macon Telephone Credit Union __________ Care Sou. Bell Tel. Co. __ Macon Swift Moultrie Employees' Credit Union __ Care Swift & Co. ________ Moultrie Floyd County Postal Emp. Credit Union__ Care Post Office_________ Rome Central Employees' Credit Union, Inc. ____ Care Central of Ga. Rwy. Savannah Savannah Federal Credit Union__________ Care U. S. Engineer's Office_________________ Savannah Savannah Telco Credit Union____________ Care Sou. Bell T. & T. Co. ________________ --- Savannah Seaboard Employees' Credit Union _______ Room 2, Union Station__ Savannah Trainmen's Credit Union_________________ 1126 E. 36th Street_______ Savannah Tift County Postal Employees' Cr. Union Care Post Office_________ Tifton Postal Credit Union______________________ Care Post Office ________ Valdosta Credit Unions being liquidated by Superintendent of Banks : Atlanta Police Department Credit Union, Atlanta. Electrical Workers' Credit Union, Atlanta. Ruralist Credit Union, Atlanta. Lombard Credit Union, Augusta. Credit Unions Approved for Voluntary Liquidation: Fulton County Employees' Credit Union, Atlanta. Foote & Davies Credit Union, Atlanta. Right Way Credit Union, Atlanta. Credit Union Charters Surrendered : Atlanta Western Union Employees' Credit Union, Atlanta. Foote & Davies Credit Union, Atlanta. SIXTEENTH ANNUAL REPORT XIX Exhibit "S" ABSTRACT OF REPORTS OF CONDITION OF STATE BANKS IN GEORGIA AS OF DECEMBER 31, 1935 (With Comparative Statement as of December 31, 1934.) 224 Banks and 223 Banks and 9 Branches as of 9 Branches as of Dec. 31, 1935. Dec. 31, 1934. RESOURCES: Loans and Discounts ______ .... ________ .. __ .... ______ .. $ 54,063,824.10 $ 65,086,673.05 State of Georgia and Municipal Bonds owned ___ _ 2,684,493.74 2,016,432.06 U. S. Government Securities owned_ .. __________ _ 14,664,053.87 12,546,137.09 Other Stocks and Bonds owned ________________ _ 7,525,636.20 7,299,326.65 Banking House and Lot___________ .... __________ .. _ 4,476,812.39 4,511,379.72 Furniture and Fixtures ________________________ _ 647,560.10 699,966.81 Other Real Estate owned _______________________ _ 5,735,915.12 5,770.430.16 Cash in Vault and Amount Due from approved Reserve Agents.. ____ .... __________ .. _____ .. _______ .. 44,472,198.73 28,017,548.54 Checks for Clearing and Due from other Banks.... Cash Items _____________________________________ _ Overdrafts _____________________________________ _ 5,482,518.37 261,638.97 65,544.99 3,052,741.15 248,095.01 36,277.87 Advance on Cotton and other Commodities_____ _ 1,986,072.16 5,605,876.46 Customers Liability on Letters of Credit and Acceptances __________________________ .. _______ _ 35,250.05 150,880.54 Profit and Loss _________________________________ _ Other Resources ________________________________ .. 840,718.90 45,614.01 615,145.07 ~OTAL ________________________________________ $ 142,942,237.69 $ 135,702,524.19 LIABILITIES: Capital Stock____________________ _____________ ..$ 13,671,000.00 $ 14,426,800.00 Capital Notes ___________________________________ .. 2,830,000.00 2,975,000.00 Surplus Fund __________________________________ .. 7,481,172.22 7,015,230.79 Undivided Profits ____________________________ .... .. 2,062,950.59 2,433,123.50 Reserve Funds ______________ .. ______________ .. _.... .. 1,574,688.95 1,880,314.22 Due to Banks ________________________________ .... .. 13,928,284.09 10,186,510.34 Dividends Unpaid______________________________ _ 152,017.30 87,115.47 Cashier's Checks________ ________________ _ 3,478,056.61 3,026,160.10 Certified Checks_ ______ ___ ____________ .. 586,086.08 430,329.95 Demand Deposits ______________________________ .. 56,638,622.07 52,119,750.94 Time Certificates of Deposits _________________ .... .. 11,446,220.94 11,758,538.61 Savings Deposits ___________________ .... ________ .... .. 28,342,490.46 24,709,965.09 Letters of Credit and Acceptances executed for Customers _____ .. ________ .... __ .. _.... __ .. __________ .. 34,953.50 148,720.54 Bills Payable ________________________ ...................... .. 61,531.35 3,872,373.52 Notes and Bills Rediscounted __________________ _ 195,607.54 Other Liabilities _______ .. ______________ .. ____ .. _........ 654,163.53 436,983.58 TOTAL _____ .... ____ .. _...... _.......... _.... __ ........ _.. __ .... __ .. $ 142,942,237.69 $ 135,702,524.19 XX DEPARTMENT OF BANKING EXHIBIT "T" COMPOSITE STATEMENT OF EARNINGS OF STATE BANKS IN GEORGIA FOR THE CALENDAR YEAR ENDED DECEMBER 31st, 1935. CURRENT OPERATING EARNINGS: Interest and discount on loans ________________________$4 ,092,221.14 Insteecruecsrtitaiensd__d_i_v_i_d_e__n_d_s__o_n__b_o__n_d_s_,__s_t_o_c_k_s_,_a__n_d__o_t_h__e_r__ _ Exchange collected ___________________________________ _ 842,190.56 597,248.72 TOrthuesrtdceopllaercbtinoenncth_a_r_g_e_s_,__c_o_m__m__is_s_i_o_n_s_,__f_e_e_s_, _e_t_c_.____________ __ Service charges on deposit accounts __________________ _ Rent received ________________________________________ _ Other current operating earnings _____________________ _ 51,949.57 187,131.60 109,696.14 518,129.90 235,124.03 Total current operating earnings ___________________ _ $6,633,691.66 CURSRa lEaNr iTe s -O- oPfEf iRc eArTs _I_N_G___E__X_P__E_N__S__E_S_:____________________ $1,054,758.84 Salaries and wages---mployees other than officers_____ Fees paid to directors and members of executive, dis- count, and advisory committees ____________________ _ Legal fees ____________________________________________ _ Interest on public funds _____________________________ _ Interest on postal savings deposits ___________________ _ Interest on other time deposits _______________________ _ ITnatxeerse_s_t_a_n__d__d_i_s_c_o_u__n_t_o__n_b__o_r_r_o_w__e_d_m__o_n__e_y________________________ __ Insurance and fidelity bond premiums _______________ _ Other current operating expenses ____________________ _ 613, 158.20 40,782.13 47,191.88 16,264.44 40,452.51 969,158.46 80,468.94 599,814.33 162,257.66 951,529.33 Total current operating expenses___________________ _ $4,575,836.72 NET EARNINGS FROM CURRENT OPERATIONS _____ _ $2,057,854.94 RECOVERIES, PROFITS ON SECURITIES SOLD, ETC. : Recoveries on loans __________ ------------- ____________$ Recoveries on bonds, stocks, and other secucrities ____ _ Profits on secucrities sold _____________________________ _ All other recoveries ___________________________________ _ 314,490.02 43,637.80 202,458.00 64,118.55 Total recoveries, profits on securities sold, etc. _____ _ TOTAL __________________________________________________ _ $ 624,704.37 $2,682,559.31 LOSOSnESloaAnNsD___D__E_P__R_E__C_I_A__T_I_O__N__:_________________________ $ On bonds, stocks, and other securities _______________ _ On banking house, furniture and fixtures ___________ _ Other losses and depreciation ________________________ _ 911,832.28 270,481.68 166,569.18 333,069.32 Total losses and depreciation_______________________________________$1 ,681, 952.46 NET ADDITION TO PROFITS FOR CURRENT PERIOD $1,000,606.85 SIXTEENTH ANNUAL REPORT XXI UNDIVIDED PROFITS AT BEGINNING OF PERIOD __________________$2,324,817.35 NET ADDITION TO PROFITS FOR CURRENT PERIOD_______________ 1,000,606.85 ADDITIONS TO UNDIVIDED PROFITS RESULTING FROM: Withdrawals from reserve for contingencies ___________ ~$- 400,758.20 Woitnhdcraapwitaalls noofteasmaonudntdsebseetnatusirdees _f_o_r__a_c_c_r_u_e_d__i_n_t_e_r_e_s_t 9,542.40 Withdrawals from surplus account ___________________ _ 215,205.30 Reduction of capital stock not repaid to shareholders_ 155,000.00 Voluntary contributions to surplus or profits ________ _ 1,845.00 Total_______________________________________________ _ $ 782,350.90 TOTAL ___ _______________________________________________ _ $4,107,775.10 DEDUCTIONS FROM UNDIVIDED PROFITS RESULT- ING FROM: Transfers to reserves for contingencies ________________$ 517,566.59 Amounts set aside for accured interest on capital notes and debentures ___ ------_------------ ______________ _ 14,377.01 Trsatnoscfke_r_s_t_o__r_e_s_e_r_v_e__f_o_r__d_i_v_i_d_e_n__d_s__p_a_y_a__b_le__i_n__c_o__m_m__o_n_ 5,200.00 Trdaenbsefenrtsurteos_re__ti_r_e_m__e_n_t__a_c_c__o_u_n_t__f_o_r__c_a_p_i_t_a_l_n__o_t_e_s__a_n_d_ 8,520.22 Transfers to surplus account_________________________ _ 728,798.91 Cash dividends declared on common stock___________ _ 682,870.00 InltteFrCes_t__p_a_i_d__o_n__c__a_p_i_ta__l _n_o__te__s_a__n_d__d__e_b_e_n__tu__r_e_s__s_o_l_d__to_ 86,991.74 I not et hr eesr st _p_a_i_d__o_n__c_a_p_:_l_ta_l__n_o_t_e_s__a_n__d__d_e_b__e_n_t_u_r_e_s___so__ld___t o_ 500.04 Total_______________________________________________ _ $2,044,824.51 UNDIVIDED PROFITS AT END OF PERIOD___________________________ $2,062,950.59 SIXTEENTH ANNUAL REPORT 1 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF ACWORTH Acworth, Ga. As called for by the Superintendent of Banks. A. J. DURHAM, J. E. CARNES, President. Cashier. Date of Charter: 1o-31-1905 Began Business: 12-19-1905 RESOURCES: Loans and Discounts ______________ $ 76,699.42 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip__a_l U.owsn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ none 2,800.00 Other Stocks and Bonds ownecL_ Banking House and Lot __________ _ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ none 2,000.00 1,900.00 5,955.84 Cash in Vault and amount due from approved Reserve Agents-- 82,299.27 Checks for Clearing and Due from other Banks---------------------COavsehrdIrtaefmtss_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ 94.97 none 166.59 ACdvoamnmceodoitniesC__o__tt_o__n___a__n_d____o_t_h__e_r none Customers LiabilitY on Letters of Credit and Acceptances__________ none POrtohfeirt RanesdouLrcoess_s_-_-_-_-_--_-_-_-_-_-_-_-_--_-_-_-_-_-_- 2n5o5.n29e ----- Total------------------ ______________$ 172,171.38 LIABILITIES! Capital Stock..______________________$ Surolus Fund---------------------URensdeirvviedFedunPdrosf_i_t_s_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ Due to Banks______________________ _ Dividends Unpaid_________________ _ Cashier's Checks------------------Certified Checks_________ ----------Demand Deposits-----------------Time Certificates of Deposits_____ _ Savings Deposits------------------Letters of Credit and Acceptances executed for Customers_________ _ Bills Payable.---------------------Notes and Bills RediscountecL ___ _ Other Liabilities__________ ---------- 25,000.00 5,000.00 4,575.45 466.24 none none 14.10 none 71,967.62 65,147.97 none none none none none TotaL __ -_--------- ---------------- _$ 172,171.38 STATEMENT Showing condition at the close of Business December 31, 1935, of the S. LEMON BANKING CO. Acworth, Ga. As called for by the Superintendent of Banks. G. W. McMILLAN, LEMON M. AWTREY, President. Cashier. Date of Charter: 12-18-1906 Began Business: 1-1-1907 RESOURCES! Loans and Discounts ______________$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip__a_l U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ Other Stocks and Bonds ownecL.. Banking House and Lot __ _ l<'urniture and Fixtures... Other Real Estate Owned ________ _ Cash in Vault and amount due from approved Reserve Agents __ ChfreocmksofothreCrlBeaarnikngs _a__n_d__D__u__e_f_r_o__m_ Cash Items ___________________ - _____ _ Overdrafts _________________________ _ Advance on Cotton and other Commodities.... _______________ ---Customers Liability on Letters of Credit and Acceptances...._ Profit and Loss______ _ Other Resources_____ _ TotaL----- _____ $ 79,975.34 none 4,500. 00 none 2,500.00 2, 700.00 11,833.97 31,514.22 537.01 102.61 227.97 none none none 308.21 134,199.33 LIABILITIES! Capital Stock_______________________$ CSuarppitlauls NFoutneds _________-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Undivided Profits _________________ _ Reserve Funds_____________________ _ Due to Banks ______________________ _ Dividends Unpaid_________________ _ CCearsthifiieerd's CChheecckkss_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_--_ Demand Deposits-----------------Time Certificates of Deposits_____ _ Savings Deposits.-----------------Letters of Credit and Acceptances executed for Customers Bills Payable._--------------------Notes and Bills Rediscounted ____ _ Other Liabilities. _________________ _ 30,000.00 15,000.00 none 1,420. 56 none none none 503.00 none 44,647.25 34,031.98 8,596.54 none none none none TotaL---------- __ ----- _____________$ 134,199.33 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF ADAIRSVILLE Adairsville, Ga. As called for by the Superintendent of Banks. M. P. GAINES, 0. B. BISHOP, President. Cashier. Date of Charter: 3-21-1899 Began Business: lHi!4-1899 RESOURCES: Loans and Discounts--------------* 37,439.25 State of Georgia and Municil)al Bonds owned..------------------U. S. Government Securities 1,960.00 Oot hwenr eSdt-o-c-k--s--a-n--d--B-o--n-d--s--o-w--n-e-d--..-.-. Banking House and Lot----------Furniture and Fixtures-----------Other Real Estate Owned--------Cash in Vault and amount due from approved Reserve Agents. Checks for Clearing and Due from 32,178.94 750.00 4,200.00 1,600.00 none 52,064.45 CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_--_ Overdrafts.- __ -- __ ----------- ___ -- __ Advance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and Acceptances__________ none none none none none Profit and Loss.. ------------------- none - - - - Other Resources-------------------- 307.03 Total__________________ --------------$ 130,499.67 LIABILITIES: CSuarppitlauls SFtuonckd..-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.---.-.-.-.-.$ Undivided Profits.................. Reserve Funds---------------------Due to Banks.-------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of Deposits-----Savings Deposits------------------LeetxteercsutoefdCforerdCituastnodmAercsc.e.p__ta__n_c_e_s_ Bills Payable._--------------------Notes and Bills Rediscounted----Other Liabilities.------------------ 25,000.00 none 3,361.50 none none none 66.61 none 83,171.58 18,899.98 none none none none none Total----------------------------* 130,499.67 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BRYAN BANK Adel, Ga. As called for by the Superintendent of Banks. G. W. BRYAN, J. B. SASSER, President. Cashier. Date of Charter: 2-27-1929 Began Business: 3-1-1929 RESOURCES: Loans and Discounts ______________$ 38,660.89 State of Georgia and Municipal U.BoSn.ds.G--o-v-e--r-n-m--e-n--t---S-e-c--u-r-i-t-ie--s-- 985.00 OothwenreSdt-o-c-k--s--a-n-d---B--o-n-d--s--o-w--n--e-d-.-.-. 15,000.00 5,075.63 Banking House and Lot----------Furniture and Fixtures-----------Other Real Estate owned---------- 1,600.00 500.00 none Cash in Vault and amount due from approved Reserve Agents._ 174,360.70 Checks for Clearing and Due from other Banks.--------------------COavsehrdIrtaefmt.s..~-_-_-_-_-_-_-_-_-_-----------_-_-_-.-.-.--_-_-__--_ 4,430.12 175.21 none Advance on Cotton and other Commodities---------------------CuCsrteodmiterasnLdiAabccileipttyanocens_L__e_tt_e_r_s__o_f none none Profit and Loss.-------------------- none - - - - Other Resources-------------------- 245.18 Total________________________________$ 241,032.73 LIABILITIES: Capital Stock_____ ------------------$ USunrdpilvuids eFduPnrdo-f-i-t-s-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_- -_ Reserve Funds---------------------DDiuveidtoenBdsanUkns-p-a-i-d--_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ Cashier's Checks __________________ _ Certified Checl;:s___________________ _ Demand Dei>osits _________________ _ STaimvienCgserDtiefpicoastietss_o__f_D__e_p__o_s_i_t_s_-_-_-_-_--_ LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ BNiolltsesPaanyadbBleil.l.s-R--e-d--i-s-c-o--u-n-t-e--d-.-.-.-.-. Other Liabil!ties .. _---------------- 25,000.00 1,250.00 7,437.16 1,768.63 none none 2,646.02 none 181,287.25 21,543.67 100.00 none none none none Total....... -- ___ . __ ----- .. __ --_.$ 241,032.73 SIXTEENTH ANNUAL REPORT 3 STATEMENT Showing condition at the close of Business December 31, 1935, of the MONTGOMERY COUNTY BANK Ailey, Ga. As called for by the Superintendent of Banks. W. J. PETERSON, (MISS) MARY SMITH, President. Cashier. Date of Charter: 2-24-1926 Began Business: 3-1-1926 RESOURCES: Loans and Discounts______________$ 31,466.27 State of Georgia and Municipal u.BoSn.ds owned--------------------Government Securities none Oot hwenr eSdt-o-c-k--s--a-n-d---B-o--n-d--s--o-w--n-e--<-L--. 10,326.00 9,000.00 BFuarnnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ none 1.00 Other Real Estate owned---------- 700.00 Cash in Vault and amount due from approved Reserve Agents-_ 86,360.24 Checks for Clearing and Due from CaosthheIrteBmasn_k_s__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ none none Overdrafts.----- ____ ---------------- 17.10 AdvCaonmcemoodnitiCeso_t_t_o__n___a__n_d____o_t_h__e_r 4,302.26 Customers Liability on Letters of - - - - PrCorfeitdaitnadnLdoAssc_c_e__p_t_a_n__c_e_s_-_-_-_-_-_-_-_-_--_ Other Resources___________________ _ none none none Total--------------------------------* 142,171.86 LIABILITIES: Capital Stock_______________________$ Surplus Fund---------------------Undivided Profits.----------------Reserve Funds---------------------DDiuveidt oenBdas nUkns-p-a-i-d--_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ Cashier's Checks------------------Certified Checks-------------------TDiemmeaCnedrDtifeipcoatseistso--f-D--e-p--o-s-i-t-s-_-_-_-__--_ Savings Deposits------------------LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c_e_s_ Bills Payable._--------------------Notes and Bills Rediscounted----Other Liabilities.------------------ 15,000.00 5,000.00 660.00 none none 750.00 549.17 none lll,843.97 8,368. 72 none none none none none Total--------------------------------$ 142,171.86 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF ALAPAHA Alapaha, Ga. As called for by the Superintendent of Banks. F. 0. BAKER, J.P. CULPEPPER, President. Cashier. Date of Charter: 3-4-1905 Began Business: 3-25-1905 RESOURCES: Loans and Discounts--------------$ 78,170.08 s~~Ji o~:f~-~~--~~~~~~ none U. S. Government Securities Oot hwenr eSdt-o-c-k--s--a-n--d--B--o-n--d-s--o-w--n-e--<-L--. 10,133.75 4,343. 77 Banking House and Lot----------- 3,000.00 Furniture and Fixtures------------ 2,000.00 Other Real Estate owned---------- none Cash in Vault and amount due from approved Reserve Agents.. 171,293.54 Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------AOdCvveoarmndcmraeoftdosi.nt-i-e-sC-.-_o-_-t_-t_o-_-_n-_-_-_a-_-_n-_d-_-__-_-o_-t_-h_-_e--r_ none none none 7,626.30 CuCsrteodmi terasnLdiAabciclietpYtaonnceLs.e.t.t_e_r_s__o_ f; none Profit and Loss_____________________ none OTothtaelr--R-e-s-o-u-r-c-e-s-___________________-_-_--_-_-_-_-_-_-_--_*- - -2-33.-86 276,801.30 LIABILITIES: Capital Stock_______________________$ Surplus Fund.--------------------Undivided ProfitS-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------DTiemmeaCnderDtifeipcoatseistso--f-D--e-p--o-s-i-t-s-_-_-_-__--_ Savings DepositS------------------Letters of Credit and Acceptances executed for Customers---------Bills Payable----------------------Notes and Bills Rediscounted----Other Liabilities. __ ---------------- 30,000.00 15,000.00 6,948.92 2,573. 70 none none 131.83 none 153,036.04 69,110.81 none none none none none Total--------------------------------* 276,801.30 4 DEPARTMENT OF BANKING STATEME.NT Showing condition at the close of Business December 31, 1935, of the ALBANY TRUST & BANKING COMPANY Albany, Ga. As called for by the Superintendent of Banks. A. P. VASON, C. L. NEUMAN, President. Cashier. Date of Charter: 6-13-1905 Began Business: 6-1905 RESOURCES: Loans and Discounts....... _. _____$ 346,660.97 State of Georgia and Municipal Bonds owned--------------------- none UB. oSn.ds Goowvneerdn_m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ none BOathnekrinSgtoHckosusaenadnBdoLnodts..o_w__n__e_d__ -_ Furniture and Fixtures___________ _ 28,300.00 25,210.28 989.52 Other Real Estate owned---------- 19,063.53 Cash in Vault and amount due from approved Reserve Agents.- 39,821.67 Checks for Clearing and Due from other Banks.--------------------- none COavsehrdIrtaefmtss.-.-.-_-.---.-_-.-_-.-.-_-_-_-.-.---.-.-.-.-.-.--__- none none Advance on Cotton and other Commodities-------------- none Customers LiabilitY on Letters of PrCorfeitdaitnadnLdoAssc_c_e_p__t_a_n_c_e__s_._._._._._._._._.._ none none - - - - Other Resources.... ---------------- none Total.-- __ .. _____ . __ .-- .. _-.- .. --.--.$ 460,045.97 LIABILITIES: Capital Stock_______________________$ Capital Notes.. ____________________ _ Surplus Fund _____________________ _ Undivided Profits_________________ _ Reserve Funds.... _________________ _ Due to Banks______________________ _ Dividends Unpaid_________________ _ Cashier's Checks. _________________ _ CDeermtiafinedd DCehpeocskist-s-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ TSaimvienCgserDtiefpicoastietss.o. _f_D__e_p__o_s_i_t_s_._._._._._. Letters of Credit and Acceptances executed for Customers---------Bills Payable._--------------------Notes and Bills Rediscounted.... Other Liabilities. __ ---------------- 100,000.00 50,000.00 20,000.00 12,518.11 97,280.72 none 4,000.00 none none none 52,808.56 123,438.58 none none none none TotaL-------------------------------$ 460,045.97 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF COMMERCE Americus, Ga. As called for by the Superintendent of Banks. FRANK SHEFFIELD, CHARLES F. CRISP, President. Cashier. Date of Charter: 10-13-1891 Began Business: 1-2-1892 RESOURCES: Loans and Discounts ______________$ 412,463.16 State of Georgia and Municipal Bonds owned.... ----------------- 261,772.18 U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e__c_u_r_i_t_i_e_s_ _ 401,564.00 BOathnekrinSgtoHcokussaenadnBd oLnodts__o__w__n_e_d__._. 67,378.75 15,000.00 FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-_-__-_-_-_--_ none 14,633.52 Cash in Vault and amount due from approved Reserve Agents._ 817,057.99 Checks for Clearing and Due from other Banks.--------------------- 36,417.24 Cash Items....---------------------- none Overdrafts...... -----.-- .... -------- .07 Advance on Cotton and other Commodities---------------------- none CuCsrteodmiterasnLdiAabciclietpYtaonnceLs_e_t_t_e_r_s__o_ f_ none Profit and Loss.... ----------------- none Other Resources...----------------- none ---* Total.. _________ .... ________.______ 2. 026,286.91 LIABILITIES: Capital Stock_______________________$ Surplus Fund _____________________ _ Undivided Profits _________________ _ Reserve Funds_____________________ _ Due to Banks ______________________ _ Dividends Unpaid________________ __ Cashier's Checks. _________________ _ Certified Checks.. _________________ _ Demand Deposits ________________ __ STaimviengCserDtiefpicoastietss_o__f_D__e_p__o_s_i_t_s_._._._._.._ Letters of Credit and Acceptances executed for Customers---------Bills Payable.---------------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 65,000.00 200,000.00 78,635.97 none 73,922.72 none 1,818.17 none 971,356.22 279,103.92 356,449.91 none none none . none TotaL------------------------------$ 2,026,286.91 SIXTEENTH ANNUAL REPORT 5 STATEMENT Showing condition at the dose of Business December 31, 1935, of the ASHBURN BANK Ashburn, Ga. As called for by the Superintendent of Banks. C. E. THRASHER, R. H. GREEN, President. Cashier. Date of Charter: 7-3-1900 Began Business: 7-1900 RESOURCES: Loans and Discounts ______________$ StBaotendosf oGwenoerdg.i.a. _a__n_d___M___u_n_i_c__iP__a_l U. S. Government Securities owned----------------------------Other Stocks and Bonds owned.. Banking House and Lot........... Furniture and Fixtures___________ _ Other Real Estate owned_________ _ Cash in Vault and amount due from approved Reserve Agents.. Checks for Clearing and Due from other Banks.--------------------COavsehrdIrtaefmtss...-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ AdCvoamnmceodoitniesC__o_t_t_o__n___a__n_d____o_t_h__er_ Customers Liability on Letters of Credit and Acceptances_________ _ POrtohfeirt RanedsoLuOrcSeSs_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_-_-_--_ Total.... ---------------------------* 198,870.54 none 25,725.00 none none 2,847.22 16,486.09 94,298.66 186.27 223.88 none none none none 240.79 338,878.45 LIABILITIES: Capital Stock...... ________________$ Capital Notes------ ---------------Surplus Fund------- ----------RUensdeirvviedeFdunPdrosf_i_t_s_._._.___-_-_-_-_-_-_-_-_-_-_-_-_--_ DDiuveidtoenBdsanUknsp--a-i-d--_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ Cashier's Checks. _________________ _ Certified Checks........ _._ ... _.... Demand Deposits ... ______________ _ Time Certificates of Deposits_____ _ Savings Deposits. _________________ _ Letters of Credit and Acceptances executed for Customers _________ _ Bills Payable.---------------------Notes and Bills Rediscounted... -Other Liabilities.. ----------------- 25,000.00 15,000.00 25,000.00 26,852.45 669.82 none none 229.62 none 195,922.64 32,859.21 17,344.71 none none none none TotaL. ____________________________$ 338,878.45 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE CITIZENS BANK OF ASHBURN Ashburn, Ga. As called for by the Superintendent of Banks. D. H. DAVIS, K. P. BAKER, President. Cashier. Date of Charter: 7-~7-1905 Began Business: 10-~5-1905 RI>.SOURCES: Loans and Discounts. _____________$ 100,741.25 State of Georgia and Municipal Bonds owned______________ ___ _ none U. S. Government Securities owned.... ------------------------- 10,000.00 Other Stocks and Bonds owned... 5,200.00 Banking House and Lot. _________ _ 10,000.00 Furniture and Fixtures___________ _ 2,500.00 Other Real Estate owned_________ _ 7,740.65 Cash in Vault and amount due from approved Reserve Agents.- 83,372.49 Checks for Clearing and Due from other Banks --------------------- 607.03 Cash Items-------------------------- 120.30 Overdrafts_ ................ _.... -.-- none AdCvoamnmceodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r none Customers Liability on Letters of Credit and Acceptances.. none POrtohfeirt aRnedsoLuOrcSeSs.-.-.-.-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_--_ none none ---- TotaL _______________________________$ 220,281.72 LIABILITIES: Capital Stock-----------------------$ Surplus Fund---------------------RUensdeirvviedFedunPdrosf_i_t_s_._-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ DDiuveidtoenBdsanUknsp--a-i-d--_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ CCearsthifieierd's CChheecckkss_._._._._._._.__._.___ _ Demand Deposits.. _________ _ Time Certificates of Deposits... Savings Deposits--------------- Letters of Credit and Acceptances executed for Customers _________ _ Bills Payable.---------------------Notes and Bills Rediscounted..... Other Liabilities... ---------------- 25,000.00 30,000.00 19,088.00 none 5,195.35 218.00 817.38 592.00 100,379.44 18,075.61 10,915.94 none none none 10,000.00 TotaL .... _____ ---- ... ---- .. ------- ..$ 220,281.72 6 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the AMERICAN SAVINGS BANK Atlanta, Ga. As called for by the Superintendent of Banks. J. G. St. AMAND, EUGENE G. WEBB, President. Cashier. Date of Charter: 12-27-1886 Began Business: 1887 RESOURCE"!! Loans and Discounts. _____________$ 464,264.54 State of Georgia and Municipal Bonds owned--------------------U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n__e_d_._._. Furniture and Fixtures___________ _ Other Real Estate owned_________ _ Cash in Vault and amount due from approved Reserve Agents.. Checks for Clearing and Due from 971.91 138,938.97 none 133,119.20 3,260.00 87,229.97 28,907.67 other Banks---------------------Cash Items-------------------------Overdrafts._-----------------------Advance on Cotton and other 277.20 none none CuCsotommmeorsdiLtiieasb-i-l-i-t-y--o--n--L--e-t-t-e-r-s--o--f Credit and Acceptances__________ none none Profit and Loss--------------------- none Other Resources--------------------- - -4,0-94.-70 Total------------------- _____________$ 861,064.16 LIABILITIES: Capital Stock-------- _______________$ Surplus Fund._-------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidtoenBdsanUknsp--a-i-d--_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks------------------Certified Checks-------------------TDSaiemvmienagCnsderDDtiefepipcooasstieittsss_.o_._f_-D_-_-e_-p_-_-o_-s_-i_-t_-s_-._-._-._-._-.-._ Letters of Credit and Acceptances executed for Customers.--------BNiolltsesPaanydabBleil.l.s-R--e-d--i-s-c-o-u--n-t-e-d--.-.-.-.-. Other Liabilities._----------------- 200,000.00 100,000.00 4,404.81 4,500.00 none none none none 8,531. 75 79,250.00 366,725.70 none 20,000.00 none 77.651.90 Total.. ---- ... ___ -- ....... ----------.$ 861.064.16 STATEMENT Showing condition at the close of Business December 31, 1935, of the CITIZENS TRUST COMPANY Atlanta, Ga. As called for by the Superintendent of Banks. A. T. WALDEN, L. D. MILTON, President. Cashier. Date of Charter: 7-16-1921 Began Business: 8-16-1921 RESOURCES: Loans and Discounts ______________$ ll1,297. 92 State of Georgia and Municipal Bonds owned--------------------- 9,829. 72 U. S. Government Securities BOaothnweknrienSdgt-oH-c-ko--su-s-ae-n-ad--n-Bd-o-L-n-od--ts-_-_o-_w-__-_n-_-e_-d_-_-.-._ 55,987.74 120,684.23 none FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-__-_-_-_-_-_--_ 15,539.00 56,997.34 Cash in Vault and amount due from approved Reserve Agents.. 34,592.01 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_--_ Overdrafts.... ______ ... _________ .. -- none none none Advance on Cotton and other Commodities---------------------- none Customers Liability on Letters of Credit and Acceptances---------- none Profit and LOSS--------------------- none - - - - - Other Resources..------------------ 5,480.65 Total..... _________________________ ..$ 410,408. 61 LIABILITIES: Capital Stock_______________________$ Capital Notes______________________ _ Surplus Fund.. -------------------Undivided Profits-----------------RDeuseertvoeBFaunnkdss_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_--_ CDaivsihdieenr'dssCUhnepckasid__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks___________________ _ Demand Deposits-----------------STaimviengCserDtiefpicoastietss_o__f_D__e_p__o_s_i_t_s_._._._._. ._ LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable.. --------------- _____ _ Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 50,000.00 25,000.00 5,630.19 1, 661.90 34,714.85 none none 831.29 1, 764.13 180,060.46 105.42 110,640.37 none none none none Total..------------------------------* ~10.408.61 SIXTEENTH ANNUAL REPORT 7 STATEMENT Showing condition at the close of Business December 31, 1935, of the EAST ATLANTA BANK Atlanta, Ga. As called for by the Superintendent of Banks. E, F. FINCHER, M. A. THOMPSON, President. Cashier. Date of Charter: 11-11-1910 Began Business: 11-15-1910 RESOURCES: Loans and Discounts--------------* 182,461.72 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip__a_l 46,448.05 U. S. Government Securities BOaothnweknrienSdgt-oH-c-ko--su-sa-e-n-ad--nB-d-o-L-n-do--st-_-o_-_w-__-n_-e_-_-d_-__-_-__ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ none none 10,844.54 4,868.20 6,377.07 Cash in Vault and amount due from approved Reserve Agents-_ 75,956.25 Checks for Clearing and Due from other Banks_--------------------- 4,346.92 Cash Items-------------------------Overdrafts-_-------- __ -------------- 12.75 none AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r none Customers Liab!l!ty on Letters of Credit and Acceptances__________ none POrtohfeirt aRnesdouLrcoess_s,-_-_-_-_-_--_-_-_-_-_-_-_--_-_-_-_-_-_- none 402.74 ----- TotaL------------------------------* 331,718.24 LIA)3ILITIES: CCaappiittaall NStootceks-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_* Surplus Fund---------------------Undivided Profits----------- -----Reserve Funds---------------------DD!uve!dtoenBdsanUknsp--a-i-d--_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_--_ Cashier's Checks----------------~- Certified Checks-------------------DTiemmeaCnderDtifeipcoatseistso--f-D--e-p--o-s-i-t-s-_-_-_-__--_ Savings Deposits------------------Letters of Credit and Acceptances executed for Customers_________ _ BNiolltsesPaanydabBleil-l-s--R-e--d-i-s-c-o--u-n--te--d-_-_-_-_-_ Other Liab!l!ties ___ ---------------- 25,000.00 15,000.00 5,000.00 1,061.44 268.33 none 2,000.00 983.30 none 147,483.13 16,299.34 118,622.70 .none none none none Total___ ----- ____ --------------------$ 331,718.24 STATEMENT Showing condition at the close of Business December 31, 1935, of the GEORGIA SAVINGS BANK & TRUST CO. Atlanta, Ga. As called for by the Superintendent of Banks. GEORGE M. BROWK, C. P. HUNTER, President. Sec. & Treas. Date of Charter: 1o-26-1889 Began Business: 9-1-1899 RESOURCES: Loans and Discounts______________$ 1,100,744.07 State of Georgia and Municipal Bonds owned--------------------- none U. s. Government Securities owned----------------------------- 241,338.12 Other Stocks and Bonds owneI>roved Reserve Agents.. Checks for Clearing and Due from other Banks................... COavsehrdIrtaefmtsS...-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.--. Advance on Cotton and other Commodities...................... Customers Liability on Letters of Credit and Accei>tances.......... Profit and Loss..................... Other Resources.................... TotaL..............................$ 160, 71i8.25 none 3,000.00 none none 3,500.00 11,227.78 138,196.09 none none none none none none 60.87 316,742.99 LIABILITIES: CCaaii>>iittaall Stock-----------------------* Notes...................... USunrdoivluidseFduPnrdo-f-i-t-s-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-. DReuseertvoeBFaunnkdss.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-. Dividends Uni>aid................. . Cashier's Checks................. Certified Checks.................... Demand Dei>osits.................. Time Certificates of Dei>osits...... Savings Dei>osits.................. . Letters of Credit and Accei>tances executed for Customers......... BNiolltsesPaaynadbBleil.l.s. R--e--d-i-s-c-o--u-n-t-e--d-.-.-.-.-. Other Liabilities.------------------ 25,000.00 25,000.00 7,000.00 7.08 none none none 1,060.34 none 202,922.27 6,428.40 49,324.90 none none none none TotaL................ --------------* 316,742.99 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BLACKSHEAR BANK Blackshear, Ga. As called for by the Superintendent of Banks. A. P. BRANTLEY, P. L. POMEROY, President. Cashier. Date of Charter: 9-11-1891 Began Business: 7-7-1891t RESOURCES: Loans and Discounts..............$ 196,081.14 State of Georgia and Municii>al Bonds owned..................... none U. S. Government Securities Oot hwenr eSdt-o-c-k- -s- -a-n- -d- -B- -o-n-d- -s- -o-w- -n- -e-d-_-_- 100,000.00 7,250.00 Banking House and Lot........... none Furniture and Fixtures........... . 3,545.13 Other Real Estate owned......... . 14,700.00 Cash in Vault and amount due from ai>I>roved Reserve Agents.. 183',029.84 Checks for Clearing and Due from other Banks...................... none Cash Items.......................... none Overdrafts.. ---------- ___________ .. . none Advance on Cotton and other Commodities...................... 10,639.50 Customers Liability on Letters of Credit and Accei>tances.......... none Profit and Loss..................... none ----* Other Resources....................- - -n-on-e Total..... --- .................... 515,245.61 LIABILITIES: Cai>ital Stock.......................$ US unrdoilvuids eFduPnrdo.f.it-s-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-- -.-. Reserve Funds---------------------DDiuveidteonBdsanUknsi->-a-i-d--.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-. Cashier's Checks................... Certified Checks.................... Demand Dei>osits.. ---------------Time Certificates of Dei>osits...... Savings Dei>osits. -----------------Letters of Credit and Accei>tances executed for Customers.......... BNiolltsesPaanyadbBleil.l.s-R--e--d-i-s-c-o--u-n-t-e-d--.-.-.-.-. Other Liabilities.. ----------------- 50,000.00 25,000.00 49,795.05 2,400.00 none none 3,013.45 none 218,296.47 166,740.64 none none none none none Total........ ------------------------* 515,245.61 14 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the FANNIN COUNTY BANK Blue Ridge, Ga. As called for by the Superintendent of Banks. J. M. EATON, Sr. W. E. HENSLEE, President. Cashier. Date of Charter: 5-!lS-1916 Began Business: 6-6-1916 RESOURCES: LStoBaaotnensdoastnodGwDenoeirsdgc_io_a_u_na_t_ns_d-__-_-M_-_-_-u_-n_-i_-c_-_i-p_-_-a-_l* U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ Other Stocks and Bonds owned... Banking House and Lot---------Furniture and Fixtures-----------Other Real Estate owned---------Cash in Vault and amount due from approved Reserve Agents.. Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_--_ Overdrafts.------------------------AdCvoamncmeodoitniesC..o. _tt_o__n___a__n_d____o_t_h__e_r 110,378.18 none 17.491.66 none 17,500.00 6,300.00 16,585.60 100.432.54 10,000.000 288.66 27.22 none Customers Liability on Letters of Credit and Acceptances__________ Profit and Loss_____________________ Other Resources.... ________________ none none 2,699.54 ---- TotaL..... -----------------------* 281.703.40 LIABILITIES: CCaappiittaall NStootceks-__-_-_-_-_-.-.-.-_-_-_------------------.-.-* Surplus Fund----------------------RUensdeirvviedeFdunPdrosf_i_t_s_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of Deposits..... Savings DepositS------------------Letters of Credit and Acceptances executed for Customers....... Bills Payable.---------------------Notes and Bills Rediscounted.... Other Liabilities. ----------------- 15,000.00 12,500.00 3,000.00 none 2,316.00 none none 342.22 36.41 116,907.03 51,663.37 79,938.37 none none none none Total-.------.-------------------.$ 281,703.40 STATEMENT Showing condition at the close of Business December 31, 1935, of the L. W. DYE, President. Date of Charter: THE FARMERS BANK Blythe, Ga. Aa called for by the Superintendent of Banks. T. M. NICKLES, Cashier. 8-!lS-1909 Began Business: 9-1-1909 RESOURCES: Loans and Discounts.-------------* 20,544.08 StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_p__a_l none U. S. Government Securities owned----------------------------- none BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n__e_d_._._ Furniture and Fixtures___________ _ none 1, 947.50 750.00 Other Real Estate owned---------- 285.55 Cash in Vault and amount due from approved Reserve Agents._ 20,309.69 Choetchkesr fBoar nCklse_a_r_i_n_g__a__n_d__D__u__e_f_r_o__m_ Cash Items_________________________ _ none none Overdrafts.. _____________ ----------- 22.17 AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r none Customers Liability on Letters of Credit and Acceptances_________ _ none POrtohfeirt Ra ne ds oLuOr cSeSs _-_-_-_- _- -_-_-_-_-_-_-_-_-_-_-_-_-_-_- -_ - - - no n-o ne n-e TotaL-------------------------------* 43.858.99 LIABILITIES; Capital Stock_______________________$ Surplus Fund. ____________________ _ Undivided Profits _________________ _ Reserve Funds_____________________ _ DDiuveidteonBdsanUknsp--a-i-d--. -_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ CCaersthifieierd's CChheecckkss_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ Demand Deposits-----------------STaimviengCserDtiefpicoastietss_o_ ,f_D__e_p__o_s_i_t_s_._._._._.._ LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable.. --------------------Notes and Bills Rediscounted..... Other Liabilities. __ ---------------- 15,000.00 5,000.00 1,072.15 none 2,173.30 none 225.09 none 13,075.95 210.92 7,101.58 none none none none TotaL-------------------------------* 43,858.99 SIXTEENTH ANNUAL REPORT STATEMENT Showing condition at the close of Business December 31, 1935, of the J. H. BARR, President. Date of Charter: THE COMMERCIAL BANK Bowdon, Ga. As called for by the Superintendent of Banks. M. L. JOHNSON, Cashier. 9-2G-1926 Began Business: 9-2G-1926 RESOURCES: Loans and Discounts--------------* 42,677.21 StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_i>__a_l u. s. Government Securities owned none 101,875.00 Other Stocks and Bonds owneal Bonds owned..................... none U. S. Government Securities owned............................. 1.650.00 Other Stocks and Bonds owned... 19,639.34 Banking House and Lot........... 4,000.00 Furniture and Fixtures............ 2,666.43 Other Real Estate owned......... . 8,564.85 Cash in Vault and amount due from approved Reserve Agents.. 65,530.77 Checks for Clearing and Due from other Banks...................... 2,302.33 Cash Items.......................... none Overdrafts . . . . . . . . . . . . . . . . . . . . . . . . . . none Advance on Cotton and other Commodities............. _....... . 33,121.67 Customers Liability on Letters of Credit and Acceptances.......... none Profit and Loss..................... none Other Resources....................- - -260-.38 Total................................$ 204,823.37 LIABILITIES: Capital Stock.......................$ Surolus Fund...................... Undivided Profits.................. Reserve Funds.................... .. Due to Banks....................... Dividends Unpaid.................. Cashier's Checks................... Certified Checks.................... Demand Deposits.................. Time Certificates of Deposits...... Savings Deposits................... Letters of Credit and Acceptances executed for Customers.......... Bills Payable....................... Notes and Bills Rediscounted..... Other Liabilities................... 30,000.00 15,393.99 5,442.03 none none none 562.60 none 106,496.99 46,927.76 none none none none none TotaL...............................$ 204.823.37 STATEMENT Showing condition at the close of Business December 31, 1935, of the SHADBURN BANKING CO. Buford, Ga. As called for by the Superintendent of Banka. MRS. K. A. SHADBURN, E. A. WILBANKS, President. Cashier. Date of Charter: 1-23-1901 Began Busineu: 2-ll-1901 RESOURCES: Loans and Discounts..............$ 223.256.50 State of Georgia and Municipal Bonds owned..................... none U. S. Government Securities owned............................ . none Other Stocks and Bonds owned... 3,976.25 Banking House and Lot........... none Furniture and Fixtures............ 4,072.83 Other Real Estate owned........ .. 41,458.02 Cash in Vault and amount due from approved Reserve Agents.. 88,709.45 Checks for Clearing and Due from other Banks...................... none Cash Items.......................... 1.623.03 Overdrafts ........................ .. none Advance on Cotton and other Commodities..................... . 13.439.10 Customers Liability on Letters of Credit and Acceptances.......... none Profit and Loss..................... 3,291.73 Other Resources....................- - -2, 7-34.-00 Total................................$ 382,560.91 LIABILITIES: Capital Stock.......................$ Surplus Fund...................... Undivided Profits.................. Reserve Funds...................... Due to Banks....................... Dividends Unpaid.................. Cashier's Checks................... Certified Checks.................... Demand Deposits.................. Time Certificates of Deposits...... Savings Deposits................... Letters of Credit and Acceptances executed for Customers.......... Bills Payable....................... Notes and Bills Rediscounted..... Other Liabllities................... 40,000.00 15,000.00 none 6,687.96 none none 67.23 none 170,182.91 10,319.55 140,303.26 none none none none TotaL.................$ 382,560.91 18 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the THE CITIZENS STATE BANK Butler, Ga. As called for by the Superintendent of Banks. J. W. EDWARDS, L. R. ADAMS, President. Cashier. Date of Charter: 9-4-19~6 Began Business: 9-4-19~6 RESOURCES: Loans and Discounts..............$ State of Georgia and Municipal Bonds owned..................... U.owSn.edG..o..v.e. _r.n.m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n__e_d_._._. Furniture and Fixtures............ Other Real Estate owned---------Cash in Vault and amount due from a:o:oroved Reserve Agents.. Checks for Clearing and Due from CaosthheIrteBmasn.k..s...-.-.-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ AOdCvveoarmndcmraeoftdosi.tn-ie--sC-.-.o-.-.t-.to.-.-n.-:--_a-__-n_-d_-_-_-_-o_-t_-h_-_e--r_ Customers Liability on Letters of PrCorfeitdaitnadnLdoAssc.c. _e_:_o_t_a_n__c_e__s_._.._._._._.._._. 26,698.40 5:250.00 10,159.00 none none 100.00 100.00 124,688.58 none none none none nnoonnee Other Resources......--------------- - -no-ne Total... -_-.-- .. --.-.--.-.-------- ...$ 166,995.98 LIABILITIES: Ca:oital Stock.... ___________________$ Sur:olus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidteonBdsanUkns:-o-a-i-d--_-_-__-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks------------------CDeermtiafinedd DCeh:eocoksist.s..-.-.-.-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Time Certificates of De:oosits...... Savings De:oosits------------------Letters of Credit and Acce:otances executed for Customers---------Bills Payable.. --------------------Notes and Bills Rediscounted..... Other Liabilities.------------------ 15,000.00 16,000.00 197.39 none none none 711.54 none 125,758.80 none none none none none 9,328.25 TotaL....... ---------------------- ..$ 166,995.98 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF BYROMVILLE Byromville, Ga. As called for by the Superintendent of Banke. J. D. LESTER, S. H. BUXTON, President. Cashier. Date of Charter: 7-19-1920 Began Business: 7-26-19~0 RESOURCES: Loans and Discounts..............$ StBaotendosf oGwenoerdg.i.a..a__n_d___M___u_n_i_c__ip_a__l U. S. Government Securities owned............. ---------------Other Stocks and Bonds owneal Bonds owned--------------------- 60,112.15 U. S. Government Securities Oot hwenr eSdt-o-c-k- -s- -a-n- d- - -B- -o-n-d- -s- -o-w- -n-e- <- -L- -. 15,000.00 none BFuanrnkiitnugreHaonudseFaixntdurLeos_t_-_-_-_-_-_-_-_-_-_--_ 16,000.00 5,000.00 Other Real Estate owned---------- 18,000.00 Cash in Vault and amount due from avvroved Reserve Agents.- 74,886.01 Checks for Clearing and Due from other Banks---------------------- 1, 700.54 Cash Items-------------------------Overdrafts.------------------------- none none Advance on Cotton and other Commodities---------------------- 118,886.72 CuCsrteodmitearsnLdiAabciclietvYtaonnceLs_e_t_t_e_r_s___o_f Profit and Loss.________: __________ _ none none - - - - Other Resources-------------------- none Total.. --- __ -------------------------$ 353,897.59 LIABILITIES: Cavital Stock-----------------------$ Surolus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidteonBdsanUknsv--a-i-d--_-_-__-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks------------------Certified Checks-------------------DTiemmeaCnderDtifeivcoatseitsso. _f-D--e-v--o-s-i-t-s-_-_-_-__--_ Savings Devosits- -----------------LeetxteecrsutoefdCforerdCituastnodmAercsc.e_v__ta__n_c_e_s_ BNiolltsesPaanydabBlell.l-s--R--e-d-i-s-c-o--u-n--te--d-_-_-__--_ Other Liabilities._----------------- 25,000.00 none 1,025.95 none none none 728.84 none 808,817.18 5,404.81 12,421.81 none none none none Total--------------------------------$ 853,897.59 STATEMENT Showing condition at the close of Business December 31, 1935, of the PLANTERS & CITIZENS BANK Camilla, Ga. As called for by the Superintendent of Banks. G. B. COCHRAN, E. J. VANN, JR. President. Cashier. Date of Charter: 5-24-1913 Began Business: 5-24-1918 RESOURCES: Loans and Discounts--------------$ 101,221.88 State of Georgia and Municiva1 Bonds owned--------------------- none U. S. Government Securities OothwenreSdt.o.c--k-s--a-n--d--B--o-n-d--s--o-w--n-e-<--L--- 10,000.00 none Banking House and Lot----------- 8,000.00 Furniture and Fixtures------------ 2,000.00 Other Real Estate owned---------- 15,995.00 Cash in Vault and amount due from avvroved Reserve Agents.- 86,424.28 Checks for Clearing and Due from other Banks.--------------------Cash Items-------------------------- 4,684.35 none Overdrafts.------------------------- none Advance on Cotton and other Commoditles---------------------- 60,000.00 Oustomers LiabilitY on Letters of Credit and Accevtances---------- none Profit and LOSS--------------------- none - - - - Other Resources-------------------- none TotaL.-------------------------- ----S 288,275. 01 LIABILITIES: Cavital Stock--------------- ____ ----$ cavital Notes ____ -----------------Surolus Fund.--------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unvaid-----------------Cashler's Checks------------------Certified Checks-------------------Demand Devosits. _- __ ------------Time Certificates of Devosits-----LSaeevtxtieencrgsustoeDfdeCfvoroersdCiittSua-s-tn-o-dm--Ae- r-cs-c_-e_-v_-_-t_a-_-n_-c_-_e- -s_ Bills Payable._--------------------Notes and Bills Rediscounted----Other Liabilities. __ ---------------- 25,000.00 15,000.00 none 889.53 none none none 1,229.56 none 122,015.88 18,841.44 55,111.76 none none none 287.84 Total.. ------------ __ --------- -------S 288, 275.01 SIXTEENTH ANNUAL REPORT 21 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF CANTON Canton, Ga. Aa called for by the Superintendent of Banks. R. T. JONES, W. S. ELLIOTT, President. Vice-Pres. & Cashier. Date of Charter: 11-17-1892 Began Business: 12-21-1802 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_i>__a_l U. S. Government Securities owned--------------------------~-- Other Stocks and Bonds ownecL_ FBuarnnkiitnugreHaonudseFaixntdurLeos_t-_-__-_-_-_-_-_-_-_--_ Other Real Estate owned---------Cash in Vault and amount due from ai>proved Reserve Agents-Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------Overdrafts----_--------------------AdCvoamncmeodoitniesC__o_t_t_o__n___a_n__d____o_t_h__er_ Customers Liability on Letters of Credit and Accei>tances---------Profit and LOSS--------------------Other Resources-------------------- 363,186.04 58,050.84 60,000.00 171,813.10 30,621.00 2,982.00 35,491.16 554,113.03 796.22 none none none none none 950.43 Total--------------------------------$ l, 278,003.82 LIABILITU.S: Cai>ital Stock-----------------------$ Surplus Fund---------------------DRUenusdeeirtvvoiedBeFdaunPnkdrsos_f__i__t__s__-__-__-__-__-__-__-__-___-__-___-__-__-__-__-__-__--__ Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand DepositS-----------------Time Certificates of Deposits-----LSaevttienrgssoDf eCproesdiittsa--n-d---A-c--c-e-i->-t-a-n-c-e--s executed for Customers---------Bills PaYable----------------------Notes and Bills Eediscounted----Other Liabilities------------------- 150,000.00 150,000.00 33,677.62 4,500.00 26,786.48 363.00 94.82 135,594.92 431,955.75 145,533.60 199,497.63 none none none none Total-------------------------------$ l, 278,003.82 STATEMENT Showing condition at the close of Business December 31, 1935, of the ETOWAH BANK Canton, Ga. As called for by the Superintendent of Banks. OLIN FINCHER, N. A. THOMASON, President. Cashier. Date of Charter: 1-22-1927 Began Business: 1-29-1927 RESOURCES: LSotaatnes oafndGDeoirsgcioaunatnsd---M---u-n-i-c-i-l-l-a-l$ Bonds owned--------------------- U. S. Government Securities Oot hwenr eSdt-o-c-k- -s- -a-n- -d- -B-o- -n-d- -s- -o-w- -n-e-<- -L- -Banking House and Lot----------FOuthren:ri:tRureealaEndstaFtiextouwrense-d--_-_-_-__-_-_-_-_--_ Cash in Vault and amount due from ai>proved Reserve Agents-Checks for Clearing and Due from other Banks---------------------COavsehrdIrtaefmtss--_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_----------------Advance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and Acceptances---------POrtohfeirt RanedsoLurocseSs-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Total-------------- __ ---- __ ----------$ 125,802.82 none 24,425.49 15,729.71 11,300.00 2,235.00 none 119,427.46 871.03 none 22.08 none none none 489.63 300, 253.22 LIABILITIES: Callital Stock_________ --------------$ Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Uni>aid-----------------Cashier's Checks------------------Certified Checks-------------------Demand DepositS-----------------Time Certificates of Deposits-----_ Savings Deposits------------------Letters of Credit and Accei>tances executed for Customers---------Bills Payable--_-------------------Notes and Bills Rediscounted----Other Liabilities- __ ---------------- 25,000.00 3,000.00 5,147.31 none none none 333.42 none 174,894.79 36,933.78 54,943.92 none none none none Total--------------------------------S 300,253.22 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the THE PEOPLES BANK Carrollton, Ga. As called for by the Superintendent of Banks. HORACE STEWART, L. M. KING, President. Cashier. Date of Charter: 11-1Q-1909 Began Business: 12-1-1909 RESOUR.CES: Loans and Discounts--------------$ 82,503.61 State of Georgia and Municillal Bonds owned--------------------- 625.31 U. S. Government Securities OothwenreSdt-o-c-k--s--a-n--d--B--o-n--d-s--o-w--n-e--<-L--. 66,825.00 none Banking House and Lot----------- 39,000.00 Furniture and Fixtures------------ 2,000.00 Other Real Estate owned---------- 44,038.00 Cash in Vault and amount due from aDDroved Reserve Agents.. 384,610.08 Checks for Clearing and Due from other Banks. _____ ---------------- none Cash Items-------------------------- 197.91 Overdrafts.------------------------- none Advance on Cotton and other CuCsotommmeorsdiLtiieasb-i-l-i-t-y--o--n--L--e-t-t-e-r-s--o--f none Credit and AcceDtances---------- none POrtohfeitr aRnedsoLuOrcSeSs_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ - - none -no-ne Total--------------------------------$ 619,799.91 LIABILITIES: CaDital Stock_______________________$ SUrDlUS Fund _____________________ _ Undivided Profits. ________________ _ Reserve Funds_____________________ _ Due to Banks______________________ _ Dividends UnDaid_________________ _ CCearsthifieierd'sCChheecckkss_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ Demand DeDositS-----------------Time Certiiicates of DeDosits..... . Savings DeDositS------------------Letters of Credit and AcceDtances executed for Customers---------Bills Payable.---------------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 60,000.00 60,000.00 77.56 15,789.25 none none 2,223.35 171.00 480,890.90 none none none none none 647.85 Total.. ------------------------- ... $ 619,799.91 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE COMMERCIAL BANK OF CEDARTOWN Cedartown, Ga. As called for by the Superintendent of Banks. A. W. STUBBS, D. L. ROBERTS, JR., Exec. V. P. & Cashier. Date of Charter: 1Q-16-1889 Asst. Cashier. Began Business: H!-11-1889 RESOURCES: Loans and Discounts.. ------------$ 523,911.35 State of Georgia and MuniciDal Bonds owned--------------------- 45,920.90 U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ 69,006.98 BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n__e_d__-_- } 1,500.00 23,483.09 Furniture and Fixtures-----------Other Real Estate owned---------- 43,369.57 Cash in Vault and amount due from aDDroved Reserve Agents.. 250,124.22 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._._-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ 6,952.27 112.75 Overdrafts.------------------------AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__er_ 1,841.29 none Customers Liability on Letters of Credit and AcceDtances---------- none Profit and LOSS--------------------Other Resources-------------------- none 1,692.68 Total--------------------------------$ 967,915.10 LIABILITIES: CaDital Stock_______________________$ SUrD1US Fund.--------------------RUensdeirvviedFedunPdrosf_i_t_S__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ DDiuveidt oenBdas nUknsD--a-i-d--_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ Cashier's Checks__________________ _ Certified Checks-------------------Demand DeDOSitS-----------------Time Certificates of Deposits...... Savings DeDosits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_D__t_a_n_c__es_ Bills Payable----------------------Notes and Bills Rediscounted..... Other Liabilities.------------------ 140,000.00 140,000.00 1,420.17 none none 5,806.80 350.25 16.20 348,176.93 92,543.48 239,601.27 none none none none Total------------------------------ ..$ 967,915.10 SIXTEENTIJ ANNUAL REPORT STATEMENT Showing condition at the close of Business December 31, 1935, of the FARMERS & MERCHANTS BANK Charing, Ga. As called for by the Superintendent of Banks. S. GARRETT, S. GARRETt. President. Cashier. Date of Charter: 9-21-1912 Began Business: 11-6-1912 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municii>al Bonds owned--------------------U. S. Government Securities 4,052.20 none BOaothnweknrienSdgt-oH-c-ko--su-s-ae-n-a-d-n-Bd--oL-n-o-d-ts-_-_o-_w_-_-n_-e_-<_-L_-_----_ Fumiture and Fixtures___________ _ Other Real Estate owned_________ _ Cash in Vault and amount due from ai>I>roved Reserve Agents._ Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Overdrafts ________ -----------------Advance 0n Cotton and other 300.00 none none none 1,346.50 28,516.23 none none none Commodities---------------------- 7,499. 72 Customers Liability on Letters of Credit and Ac.ei>tances---------- none POrtohfeitr aRnedsoLuOrcSesS_-_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_-_--_ 19.06 none ---- Total.. -----------------------------.$ 41,733.71 LIABILITIES: Cai>ital Stock-----------------------$ SUri>lus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------CDaivsihdieenr'dssCUhneic>kasi_d_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks___________________ _ Demand Dei>osits-----------------STaimviengCseDrtiefii>coastietss-o__f_D__e_i_>__o_s_i_ts_-_-_-_-_--_ LeetxteecrsutoefdCforerdCituastnodmAercsc_e_i_>_t_a_n_c__es_ Bills Payable----------------------Notes and Bills Rediscounted----Other Liabilities------------------- 15,000.00 none none none none none none none 26,732.06 1.65 none none none none none Total--------------------------------$ 41,733.71 STATEMENT Showing condition at the close of Business December 31, 1935, of the COHUTTA BANKING COMPANY Chatsworth, Ga. As called for by the Superintendent of Banks. EARL C. FOSTER, R. E. CHAMBERS, President. , Cashier. Date of Charter: 7-17-1905 Began Business: 1-24-1906 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municii>al U.BoSn.dsGoowvneerdn-m--e-n-t---S--e-c-u--r-i-ti-e-s--Oothwenr eSdt-o-c-k--s-a--n-d---B-o--n-d--s--o-w--n-e--c-L--. BF uarnnkiitnugr eHaonudseFaixntdurLeos _t_-_-_-_-_-_-_-_-_-_- -_ Other Real Estate owned---------Cash in Vault and amount due from RI>I>roved Reserve Agents.Checks for Clearing and Due from other Banks.--------------------Cash Items-------------------------Overdrafts- __ ----------------------Advance on Cotton and other Commodities---------------------CuCsrteodmiterasnLdiAabcicleitiY>taonnceLs_e_t_t_e_r_s__o_ _f Profit and LOSS--------------------Other Resources-------------------- TotaL.. ------_---- __ -_-------- __ ----$ 74,016.76 none 7,500.00 none 2,580.31 2,175.00 13,579.13 68,171.88 none 10.00 82.35 2,877.96 none none 11,171.89 182,165.28 LIABILITIES: CCaaii>>iittaa1l SNtootceks-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_$ USunrid>i1vUiSdeFduPnrdo-f-i-t-s-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_--_ Reserve Funds_____________________ _ DDiuveidteonBdsanUknsi->-a-i-d--_-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks------------------Certified Checks-------------------DTiemmeaCnderDtifeiic>aotessitSo-f-D--e-i->--o-s-i-ts--_-__-_-_--_ Savings Dei>OSits------------------LeetxteercsutoefdCforerdCituastnodmAercsc_e_i_>_t_a_n_c__es_ BNOiotlhltseesrPaLanyiadabbBilleiilt-li-se-s-R.-e-_-_d-_i_-s_-c_-o_-_-u_-n_-_t-e_-_d-_-__-__-___--__ 15,000.00 15,000.00 none 2,333.03 none none none 85.51 180.80 96,740.67 22,917.50 29,902.77 none none none none TotaL-------------------------------$ 182,165.28 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF CHICKAMAUGA Chickamauga, Ga. As called for by the Superintendent of Banks. ELDER G. GLENN, W. N. SHADDEN, President. Cashier. Date of Charter: 2-16-1910 Began Business: 5-10-1910 RESOURCES: Loans and Discounts--------------$ 130,335.38 State of Georgia and Municipal Bonds owned--------------------U.owSn.edG__o__v_e_r_n__m__e_n_t___S__e_c_u__r_i_ti_e_s__ _ none 5,050.00 OB at hnekri nSgtoHckosu saen da nBdoLnod st _o__w__n__e_d__. ._ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ 30,425.00 8,800.00 2,500. 00 14,390.91 Cash in Vault and amount due from approved Reserve Agents.. 49,476.77 Checks for Clearing and Due from other Banks.--------------------Cash Items-------------------------Overdrafts._-----------------------Advance on Cotton and other none none none Commodities---------------------Customers LiabilitY on Letters of Credit and Acceptances__________ none none Profit and LOSS--------------------- none Other Resources--------------------- - -562-.59 Total--------------------------------$ 241,540.65 LIABILITIES: Capital Stock-----------------------$ Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------DTiemmeaCnderDtifeipcoatseistso.-f-D--e-p--o-s-i-t-s-_-_-_-__--_ Savings Deposits------------------Letters of Credit and Acceptances executed for Customers---------Bills Payable._--------------------Notes and Bills Rediscounted..... Other Liabilities._----------------- 25,000.00 10,000.00 4,602.37 1,832. 75 none none 848.74 none 96,179.94 none 102,815.38 none none none 261.47 TotaL-------------------------------$ 241,540.65 STATEMENT Showing condition at the close of Business December 31, 1935, of the FARMERS & MERCHANTS BANK Chipley, Ga. As called for by the Superintendent of Banks. HENRY ZACHRY, ROY ASKEW, President. Cashier. Date of Charter: 3-22-1909 Began Business: 4-19-1909 RESOURCES: Loans and Discounts--------------$ 71,043.35 State of Georgia and Municipal Bonds owned.-------------------- none U. S. Government Securities owned----------------------------Other Stocks and Bonds owned... 34,732.62 4,074.15 BFuanrnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ 2,000.00 1,500.00 Other Real Estate owned---------- 8,200.00 Cash in Vault and amount due from approved Reserve Agents._ 127,894.61 Checks for Clearing and Due from other Banks---------------------- 116.00 Cash Items-------------------------- none Overdrafts.- __ ----------- ___ ._------ 30.09 Advance on Cotton and other Commodities---------------------- 6,623.33 Customers Liability on Letters of Credit and Acceptances---------- none POrtohfeirt aRnedsoLuOrcSesS_-_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_-_--_ - - none -no-ne TotaL-------------------------------$ 256.214.15 LIABILITIES: CCaappiittaall SNtootceks._-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_$ Surplus Fund.--------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------TDiemmeaCnderDtifeipcaotseistso.-f-D--e-p--o-s-i-t-s-_-_-_-__--_ Savings Deposits ______________ .- __ LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable.. --------------------Notes and Bills Rediscounted..... Other Liabilities.. _---------------- 25,000.00 25,000.00 none 343. 23 none none none 1,281.85 none 175,460.22 14,182.68 14,550.07 none none none 396.10 Total... -.-.-.-----------------------$ 256,214.15 SIXTEENTH ANNUAL REPORT !l5 STATEMENT Showing condition at the close of Business December 31, 1935, of the HABERSHAM BANK Clarkesville, Ga. As called for by the Superintendent of Banks. W. R. ASBURY, W. S. WHITWORTH, President. Cashier. Date of Charter: 5-13-1904 Began Business: 5-13-1904 RESOURCES: Loans and Discounts--------------$ 61,789.81 State of Georgia and MuniciDal Bonds owned.-------------------U. S. Government Securities none OothwenreSdt.o-c--k-s--a-n--d--B--o-n--d-s--o-w--n-e--<-L--. 6,350.00 none Banking House and Lot----------FOuthrneirtRureealaEnsdtaFtiextouwrense-d--_-_-__-_-_-_-_-_--_ 7,500.00 2,080.00 3,300.00 Oash in Vault and amount due from approved Reserve Agents-- 88,745.07 Ohecks for Clearing and Due from other Banks---------------------GOavsehrdIrtaefmtss_-.-_-_-.-_-_-.-_-_-_-_-_-_-_-_-.-_-_--------------- none none none AdOvoamncmeodoitniesO. _o__tt_o__n___a__n_d____o_t_h__e_r none CuCsrteodmitearsnLdiAabccielipttyanocens_L__e_tt_e_r_s__o_f none Profit and Loss--------------------- none Other - Resources-------------------- - -324-.13 TotaL------------------------------$ 170,089.01 LIABILITIES: Oapital Stock-----------------------$ Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidtoenBdsanUknsp--a-i-d--_-_-__-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Ohecks------------------Oertif!ed Ohecks-------------------Demand Deposits-----------------Time Certificates of Deposits-----Savings Deposits------------------Letters of Oredit and Acceptances executed for Customers---------Bills Payable.---------------------Notes and Bills Rediscounted----Other Liabilities._----------------- 25,000.00 5,000.00 2,223.58 none none 1,000.00 40.47 none 53,687.15 70,738.72 12,399.09 none none none none TotaL-------------------------------$ 170,089.01 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE CLAXTON STATE BANK Claxton, Ga. As called for by the Superintendent of Banks. C. M. RUSHING, W. L. NEWTON, President Cashier. Date of Charter: 6-15-1935 Began Business: 7-1-1935 RESOURCES: Loans and Discounts--------------$ 65,095.19 State of Georgia and Munieival Bonds owned--------------------U. S. Government Securities none Oothwenr eSdt-o-c-k--s-a--n-d---B-o--n-d--s--o-w--n-e--<-L--. Banking House and Lot----------- 15,000.00 none 5,000.00 FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-__-_-_-_-_--_ Oash in Vault and amount due from approved Reserve Agents.. Ohecks for Clearing and Due from 1.500.00 none 80,409.16 OaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_ 1,214.25 none Overdrafts.. -----------------------AdCvoamncmeodoitniesO__o_t_t_o__n___a__n_d____o_t_h_e_ r_ Customers Liability on Letters of Oredlt and Acceptances__________ 14.97 none none Profit and Loss--------------------- none Other Resources--------------------- - -214-.09 Total.----------------- __ ------------$ 168,447.66 LIABILITIES: Oapital Stock-----------------------$ Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidteonBdsanUknsv--a-l-d-.-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ COaesrthifieierd's OOhheecckkss_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_--_ Demand Deposits-----------------Time Certificates of Deposits-----Savings Deposits------------------LeetxteercsutoefdOforerdCituastnodmAercsc_e_p__ta__n_c_e_s_ BNiolltsesPaanydabBleil.l-s--R-e--d-i-s-c-o--u-n-t-e-d--_-_-__--_ Other Liabilities... _______________ _ 20,000.00 6,500.00 1,173.24 none none 1.00 287.75 none 108,116.33 31.293.42 none none none none 1.075.92 Total.--- .. --------------------------$ 168,447.66 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF CLAYTON Clayton, Ga. As called for by the Superintendent of Banks. J. C. DOVER, T. A. DUCKETT, President. Cashier. Date of Charter: 6-30-1904 Began Business: 7-1-190' RESOURCES! Loans and Discounts ______________$ 122,033.18 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip__a_l 9,260.00 U. S. Government Securities BOaothnweknrineSdgt-oH-c-ko--su-sa-e-n-ad--n-Bd-o--Ln-od--ts-_-_o-_w_-_-n_-_e-_-d_-._-.-._ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ Cash in Vault and amount due 8,975.00 15,495.00 4,000.00 1,350.00 9,400.00 from approved Reserve Agents.. 178,297.26 Checks for Clearing and Due from C aosthh eIrt eBmasn. k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_- -_ Overdrafts _________ .- ___ --------_._. Advance on Cotton and other 928.76 none 301.29 Commodities---------------------Customers Liability on Letters of Credit and Acceptances__________ none none Profit and Loss--------------------- none Other Resources--------------------- - -615-.50 Total.. ------ ______ -_-_------------ ..$ 350,655. 99 LIABILITIES: Capital Stock_______________________$ Surplus Fund _____________________ _ Undivided ProfitS-----------------RDeuseertvoeBFaunnkdss_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_ Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of DepositS-----Savings Deposits.-----------------Letters of Credit and Acceptances executed for Customers---------Bills Payable.. --------------------Notes and Bills Rediscounted----Other Liabilities.------------------ 25.000.00 10,000.00 9,470.35 none none none 166.80 none 201,043.12 104,975.72 none none none none none Total.. _._----_ .. -------- .. -.--- .....$ 350,655.99 STATEMENT Showing condition at the close of Business December 31, 1935, of the STATE BANK OF COCHRAN Cochran, Ga. As called for by the Superintendent of Banks. T. W. FISHER, L. S. LEACH, President. Cashier. Date of Charter: 12-22--1921 Began Business: 1-5-1922 RESOURCES: Loans and Discounts______________ $ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n__ic__ip_ a__l U. s. Government Securities Oot hwenr eSdt-o-c-k- -s- -a-n- -d- -B- -o-n- d- -s- -o-w- -n- -e-d-.-.-. Banking House and Lot----------FOuthrneirtRureealaEnsdtaFtiextouwrense-d--_-_-__-_-_-_-_-_--_ Cash in Vault and amount due from approved Reserve Agents.Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._.__-_-_-_-_-_-_-_-_-_-_-_----------------Overdrafts.- ______ .. ___ ._------- __ __ AdCvoamncmeodoitniesC. _o_t_t_o__n___a__n_d__ -o--t_h_e_ r_ Customers Liability on Letters of Credit and Acceptances---------Profit and Loss--------------------Other Resources-------------------- Total. _____ . __________ . _______ .-- ___ .$ 60,343.93 none 64,353.76 50,623.15 3,000.00 1,500.00 5,000.00 93,250.90 none none none none none none 10,719.20 288,790.94 LIABILITIES: Capital Stock__________ .. _--- ______ .$ Surplus Fund.--------------------RUensdeirvviedFedunPdrosf_i_t_s_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ Due to Banks______________________ _ Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of DepositS-----Savings Deposits------------------Letters of Credit and Acceptances executed for Customers---------BNiolltsesPaanydabBleil.l_s_ R--e-d--i-s-c-o--u-n-t-e--d-_-_-__--_ Other Liabilities._----------------- 25,000.00 7,000.00 l, 715.90 761.43 none 280.00 2.183.53 none 155.254.89 none 96,595.19 none none none none TotaL.------------------------------$ 288,790.94 SIXTEENTH ANNUAL REPORT 27 STATEMENT Showing condition at the close of Business December 31, 1935, of the CITIZENS BANK Colquitt, Ga. As called for by the Superintendent of Banks. G. C. JINKS, D. B. BELL, President. Cashier. Date of Charter: 3-24-1924 Began Business: 4-21-1924 RESOURCI!IS: Loans and Discounts..............$ 205.809.84 State of Georgia and Municipal U.Bosn.ds owned....... Government . ............ Securities . 11,843.83 owned----------------------------- none Other Stocks and Bonds owned... none Banking House and Lot........... 4,500.00 Furniture and Fixtures........... 2,600.00 Other Real Estate owned.......... 2,014.06 Cash in Vault and amount due from approved Reserve Agents._ 55,884.70 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ none none Overdrafts.. ------------------------ none AdCvoamncmeodoitniesC..o..t.to. _n___a__n_d____o_t_h__e_r none Customers Liability on Letters of Credit and Acceptances.......... none Profit and Loss..................... none Other Resources...........:........ 249.88 ---- TotaL. . ----------------------------$ 282,902.31 LIABILITIES: CCaappiittaall SNtootceks._._._._._._._.__._._._._._._._._._._._._._.._$ Surplus Fund._-------------------Undivided Profits.................. Reserve Funds...................... Due to Banks....................... Dividends Unpaid.................. Cashier's Checks................... Certified Checks.................... Demand Deposits.................. Time Certificates of Deposits...... Savings Deposits................... Letters of Credit and Acceptances executed for Customers.......... Bills Payable....................... Notes and Bills Rediscounted..... Other Liabilities................... 2.1),000.00 15,000.00 5,000.00 10,000.00 26,310.96 none none 1,567.43 none 145,902.24 8,869.00 45,252.68 none none none none Total................................$ 282,902.31 STATEMENT Showing condition at the close of Business December 31, 1935, of the COLUMBUS BANK & TRUST CO. Columbus, Ga. As called for by the Superintendent of Banks. W. C. BRADLEY, JAS. A. LEWIS, President. Cashier. Date of Charter: 12-24-1888 Began Business: 4-1-1889 RESOURCES: Loans and Discounts.............. $ 3,708,173.10 State of Georgia and Municipal Bonds owned_____________________ none U.owSn.edG..o..v.e. r_n__m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ 342,552.63 Other Stocks and Bonds owned... 697,863.25 Banking House and Lot.......... . 443,443.90 Furniture and Fixtures............ Other Real Estate owned_________ _ 100,939.01 91,709.00 Cash in Vault and amount due from approved Reserve Agents.. 2,444,469.27 Choetchkesr fBoar nCklse.a_r_i_n_g__a_n__d__D__u__e_f_r_o__m_ Cash Items.. __________ _ Overdrafts .... _.... __ ... ___________ _ AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__er_ Customers Liability on Letters of 121,497.93 50,662.80 none none Credit and Acceptances... ____ __ none POrtohfeirt aRnedsoLuOrcSeSs.-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ none 6, 301.93 TotaL .... ---------------------- ....$ 8,007, 612.82 LIABILITIES: Capital Stock_______________________ $ 850,000.00 Surplus Fund ..................... . 650,000.00 RUensdeirvviedFedunPdrosf_i_t_s_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ Due to Banks______________________ _ 136,171.50 206,230.24 398,952.77 Dividends Unpaid------------------ 500.50 Cashier's Checks.. ---------------- 21,277.68 Certified Checks________ ------------ 232,708.85 Demand Deposits._ --------------- 2, 648, 967.13 TS ai mv ien gCse Dr t iefpioc asittess_ o. .f_D__e_p__o_s_i_t_s_._._._. .__. 417,767.48 2, 445,036. 67 Letters of Credit and Acceptances executed for Customers_________ _ none Bills Payable.---------------------- none Notes and Bills Rediscounted..... none Other Liabilities._----------------- none TotaL---------- _______ . ___ ._. _____ .$ 8,007, 612.82 28 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the THE HOME SAVINGS BANK Columbus, Ga. As called for by the Superintendent of Banks. RHODES BROWNE, W. B. LANGDON, President. Treasurer. Date of Charter: 12-26-1888 Began Business: 4-1903 RESOURCES: Loans and Discounts.-------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip__a_l U. S. Government Securities OothwenreSdt-o-c-k--s--a-n--d--B--o-n--d-s--o-w--n-e-<--L-_Banking House and Lot----------Furniture and Fixtures-----------Other Real Estate owned---------Cash in Vault and amount due from approved Reserve Agents_Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Overdrafts- ____ -------------- ___ -- __ AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r CuCsrteodmiterasnLdiAabciclietpYtaonnceLs_e_t_t_e_r_s__o_ f_ Profit and LOSS--------------------Other Resources-------------------- 643,632.46 none 94,596.59 168,021.39 none 12,300.00 173,831.63 176,294.13 8,326.41 none none none none none 13,603.29 TotaL------------------------------$ 1,290,605.90 LIABILITIES: Capital Stock-----------------------$ 150,000.00 Surplus Fund---------------------- 20.0~.00 Undivided Profits------------------ 3,639.12 Reserve Funds---------------------- 8,600.00 Due to Banks----------------------- none Dividends Unpaid------------------ none CCearsthifieierd's CChheecckkss_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ none none Demand Deposits------------------ none Time Certificates of Deposits------ 9,972.15 Savings DepositS------------------- 1, 095,249.63 Letters of Credit and Acceptances executed for-customers---------- none Bills Payable- __ -------------------- none Notes and Bills Rediscounted----- none Other Liabilities-_----------------- 2,945.00 Total--------------------------------S 1, 290, 605.90 STATEMENT Showing condition at the close of Business Decetnber 31, 1935, of the MERCHANTS & MECHANICS BANK Columbus, Ga. As called for by the Superintendent of Banks. J. B. KEY, J. A. HARLEY, President. Cashier. Date of Charter: 12-14-1871 Began Business: 1872 RESOURCES! Loans and Discounts--------------$ 1.398,337.72 State of Georgia and Municipal UB.owoSnn.desdG_o_wo__vn_e_er_dn_-_m_-_-e_-n_-_-t_-_-_-S_-e_-c_-_-u_-r_-i_-t_i-e_-_-s_--_ none 34,063.90 Other Stocks and Bonds owned__ 186,311.90 Banking House and Lot----------- 60,000.00 Furniture and Fixtures------------ 25,000.00 Other Real Estate owned---------- 30,303.10 Cash in Vault and amount due from approved Reserve Agents__ 950,971.67 Checks for Clearing and Due from CaosthheItremBsa_n__k_s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_- 1213,,444212..1648 Overdrafts.------------------------Advance on Cotton and other Commodities---------------------CuCsrteodmiterasnLdiAabcicleitpytaonnceLs_e_t_t_e_r_s__o_ f_ POrtohfeirt RanedsoLurOcSesS_-_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_-_--_ 757.86 9,416.50 none none 3, 292.27 TotaL- _______________________ ._----$ 2,823,318. 74 LIABILITIES: Capital Stock-----------------------$ 200,000.00 Surplus Fund---------------------- 200,000.00 Undivided Profits------------------ 105,155.33 Reserve Funds---------------------- 15,000.00 DDiuveidtoenBdas nUknsp--a-i-d--_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_--_ 88.970.03 30,000.00 Cashier's Checks------------------- 11,985.51 Certified Checks-------------------- 21,202.17 Demand Deposits.----------------- 1, 218, 830.77 Time Certificates of DepositS------ 149,865.51 Savings Deposits.------------------ 782.309.42 Letters of Credit and Acceptances executed for Customers---------- none BNiolltsesPaaYndabBleil_l_s_ R--e-d--i-s-c-o--u-n-t-e--d-_-_-__--_ none none Other Liabilities. __ ---------------- none Total----------- _______ --------------$ 2,823.318. 74 SIXTEENTH ANNUAL REPORT 29 STATEMENf Showing condition at the close of Business December 31, 1935, of the TRUST COMPANY OF COLUMBUS Columbus, Ga. As called for by the Superintendent of Banks. F. G. LUMPKIN, J. D. BOX, President. Secretary:. Date of Charter: 1892 Began Business: 1892 RESOURCES: Loans and Discounts--------------$ 464,584.05 State of Georgia and Municipal Bonds owned--------------------U. S. Government Securities none Oot hwenr eSdt-o-c-k- -s- -a-n- -d- -B- -o-n-d- -s- -o-w- -n- -e-d- -_-_ 5,325.00 1,510.46 Banking House and Lot----------- 155,035.93 Furniture and Fixtures------------ 215.00 Other Real Estate owned---------- 143,393.37 Cash in Vault and amount due from approved Reserve Agents.. 26,726.54 Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------Overdrafts.. ____ ..... ----.---------- none none none Advance on Cotton and other Commodities---------------------Customers Liability on Letters of none Credit and Acceptances.......... none POrtohfeirt RanesdouLrcOesS__S_-_-_-_--_-_-_-_-_--_-_-_-_-_--_-_-_-_- none 2,237.00 ---- TotaL------------------------------$ 799,027.35 LIABILITIES: CCaappiittaall NStootceks-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_-_--_$ Surplus Fund---------------------URensdeirVviedFedunPdrosf_i_t_s_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ Due to Banks----------------------DiVidends Unpaid-----------------CCearsthifieierd's CChheecckkss_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ Demand DepositS-----------------Time Certificates of Deposits..... . Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable._--------------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 100,000.00 100,000.00 160,000.00 318.36 151,116.31 none none none none none 236,066.50 45,134.43 none none none 6,391. 75 TotaL-------------------------------$ 799,027.35 STATEMENT Showing condition at the close of Business December 31, 1935, of the ROWE BANKING COMPANY Comer, Ga. As called for by the Superintendent of Banks. W. A. ROWE, W. N. NOELL, President. Cashier. Date of Charter: 1o--3-1935 Began Business: 10-12-193.5 RESOURCES: Loans and Discounts--------------$ 3, 747.42 State of Georgia and Municipal Bonds owned.-------------------U. S. Government Securities none BOaothnweknrienSdgt-oH-c-ko--su-s-ae-n-a-d-n-Bd--o-Ln-od--ts-_-_o-_w-_-_n_-_-e_-d_-._-.-_. Furniture and Fixtures___________ _ Other Real Estate owned_________ _ none none none none none Cash in Vault and amount due from approved Reserve Agents._ 53,470.65 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ none none Overdrafts.. __ -- __ -- ...... -- .... -- .. 5.81 AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__er_ none PCruCosrfteiotdmiatenradsnLLdoiAasbsc.ic_lei_t_py_t_a_on_nc__eL_s__e__t__t__e__r__s_____o_ f__ none none Other Resources--------------------- - -no-ne TotaL-------------------------------$ 57,223.88 LIABILITIES: Capital Stock....... ___ -------------$ Surplus Fund---------------------UndiVided Profits-----------------Reserve Funds---------------------DDiuVeidtoenBdsanUknsp--a-i-d--. -_-__-_-_-_-_-_-_-_-_-_-_-_-_-_--_ CCaersthiifeierd's CChheecckkss_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ Demand Deposits _________________ _ TSaimviengCserDtiefpicoastietss_o__f_D__e__p_o_s_i_t_s__________ __ Letters of Credit and Acceptances executed for Customers _________ _ Bills Payable._--------------------Notes and Bills Rediscounted..... Other Liabilities._. _____ ---------- 15,000.00 1,000.00 12.98 none none none 415.85 none 37,778.39 3,016.66 none none none none none Total.. ________ ---- _________ . ______ -.$ 57,223.88 so DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the NORTHEASTERN BANKING CO. Commerce, Ga. As called for by the Superintendent of Banks. Dr. L. G. HARDMAN, C. J. HOOD, President. Cashier. Date of Charter: 8-!l5-1891 Began Business: 189~ RJLSOURCES: Loans and Discounts--------------$ State of Georgia and Municil>al U.B oSn.d s Goowvneerdn.m--e-n--t ---S-e-c--u-r-i-ti-e--s-BOaothnweknrienSdgt.o-Hc--ko-su--sa-en--ad-n-B-d-o-Ln-o-d-ts-.-.o-.w-_-_n-_-_e_-d_-._-.-._ FOutrhneirtuRreealaEndstFatiextouwrense-d--.-.-.-_-__-_-_-_--_ Cash in Vault and amount due foom a:o:oroved Reserve Agents._ Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------Overdrafts.------------------------Advance on Cotton and other Commodities---------------------CuCsrteodmiterasnLdiAabcicleit:YotaonnceLs.e.t_t_e_r_s__o_ f_ Profit and LOSS--------------------Other Resources-------------------- T o t a L . . ----------------------------$ 129,343.75 none none 7,100.00 5,233.39 3,411.35 16,810.00 257,397.14 1.601.26 none none 57,162.96 none none 1,115.07 479,174.92 LIABILITIES: Ca:oital Stock-----------------------$ Sur:olus Fund._-------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Un:oaid-----------------Cashier's Checks -----------------Certified Checks-------------------TDiemmeaCnderDtifei:coaotesistso-f--D--e-:o--o-s-i-t-s-.--.-.--. Savings De:oosits------------------Letters of Credit and Acce:otances executed for Customers......... Bills Payable.---------------------Notes and Bills Rediscounted.... Other Liabilities._---------------- 100,000.00 25,000.00 6,249.90 2,000.00 none 4,000.00 1,004.88 11.00 226,348.47 114,560.67 none none none none none Total--------------------------------$ 479,174.92 STATEMENT Showing condition at the close of Business December 31, 1935, of the CONCORD BANKING CO. Concord, Ga. As called for by the Superintendent of Banks. C. T. SMITH. S. A. KING, President. Cashier Date of Charter: 1o-~9-1908 Began Business: 11-18-1908 RESOURCES; Loans and Discounts--------------$ 45,725.99 State of Georgia and Municil>al U.BoSn.ds Goowvneerdn.m- -e-n- -t - -S- -e-c-u- -r-it-i-e-s - - none BOaothnweknrienSdgt-oH-c-ko--su-s-ae-n-a-d-n-Bd--oL-n-od--ts-_-_o-_w_-_-n_-e_-d_-_.-._-..-_. none 1,200.00 none FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-_-__-_-_-_--_ 2,250.00 9,000.00 Cash in Vault and amount due from a:o:oroved Reserve Agents.. 69,664.74 Checks for Clearing and Due from other Banks.--------------------- none Cash Items-------------------------Overdrafts._------------------------ none 25.42 AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__er_ none CuCsrteodmiterasnLdiAabciclei:toytaonnceLs_e_t_t_e_r_s__o_ f_ Profit and Loss____________________ _ none none Other - Resources-------------------- - -no-ne TotaL .. --------------_------------$ 127.866.15 LIABILITIES: Ca:oital Stook-----------------------$ SUunrd:oivluids eFduPnrdo-f-i-t-s-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_- -_ DRDeiuvseeidrtvoeenBdFsaunUnkdnss:-o---a--i-d----_--_--_--_--_--_--_--_--_--_--_-_--_--_ _-__-___--__ CCearsthifiieerd'sCChheecckkss_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_--_ Demand De:oosits. _---------------Time Certificates of De:oosits-----Savings De:oosits. ____ -------------LeetxteercsutoefdCforerdCituastnodmAercsc.e.:_o_t_a_n_c__es_ BNiolltsesPaanydabBleil.l-s--R--e-d-i-s-c-o--u-n--te--d-.-.-.-.-. Other Liabilities.------------------ 25,000.00 12,000.00 1. 413.18 none none 256.00 29.90 none 71,751.14 17,415.93 none none none none none Total---------------------------- ....$ 127,866.15 SIXTEENTH ANNUAL REPORT 31 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF CONYERS Conyers, Ga. As called for by the Superintendent of Banks. W. T. BALDWIN, M. W. HULL, President. Cashier. Date of Charter: 11-~5-1904 Began Business: 1~-19-1904. RESOURCES: Loans and Discounts.-------------$ 57,484.30 State of Georgia and Municii>al U.BoSn.dsGoowvneerdn-m--e-n-t---S--e-c-u--r-i-ti-e--s-- 5,000.00 owned----------------------------- none BOathnekrinSgtoHckosusaenadnBdoLnodts. _o_w__n__e_d_._._. } Furniture and Fixtures. ___________ 8,997.00 4,000.00 Other Real Estate owned_________ _ 3, 134.75 Cash in Vault and amount due from aiJIJroved Reserve Agents.. 117,604.93 Checks for Clearing and Due from other Banks.--------------------- 318.25 Cash Items-------------------------- none Overdrafts ...... --.----------------- none Advance on Cotton and other Commodities---------------------- 2,144. 79 Customers Liability on Letters of PrCorfeitdaitnadnLdoAssc_c_e_i_J_t_a_n__c_e_s_-_-_-_-_-_-_-_-_--_ Other Resources. __________________ _ none none none Total....... _. ___ .---- __ .. ------- ....$ 198,684. 02 LIABILITIES: CaiJital Stock-----------------------$ SuriJlUS Fund.--------------------Undivided Profits.----------------Reserve Funds---------------------Due to Banks----------------------Dividends UniJaid-----------------Cashier's Checks------------------Certified Checks-------------------TDiemmeaCnderDtifeiicJaotseitss.o.f-D--e-i-J-o-s-i-t-s-.-.-.-.-.-. Savings DeiJosits.-----------------Letters of Credit and AcceiJtances executed for Customers---------BNiolltsesPaanydabBleil.l-s--R-e--d-i-s-c-o--u-n--te--d-.-.-.-.-. Other Liabilities... ---------------- 30,000.00 6,000.00 6,145.43 2. 746.11 none none 641.65 none 119,390.93 33,759.90 none none none none none Total--------------------------------$ 198,684.02 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF ROCKDALE Conyers, Ga. As called for by the Superintendent of Banks. G. C. SIMS, R. H. STILL, President. Cashier. Date of Charter: 1Q-15-1891 Began Business: 6-1-1901 RESOURCES: SLtoaatnes oafndGDeoirsgcioaunatnsd---M--u--n-i-c-i-i-J-a-l$ U.BoSn.dsGoowvneerdn-m--e-n-t---S--e-c-u--r-i-ti-e-s--Oot hwenr eSdt-o-c-k- -s- -a-n- d- - -B- -o-n-d- -s- -o-w- -n- -e-d- -.-. Banking House and Lot-----------} Furniture and Fixtures-----------Other Real Estate owned....-----Cash in Vault and amount due from aiJIJroved Reserve Agents.. Checks for Clearing and Due from other Banks---------------------COavsehrdIrtaefmtss.-.-_-_-.-.-----_-_-_-_-_-_-_-_-_-_-_-_-_-_--------Advance on Cotton and other CuCsotommmeorsdiLtiieasb-i-l-i-t-y--o--n--L--e-t-t-e-r-s--o--f PrCorfeitdaitnadnLdoAssc_c_e_i_J_t_a_n_c__e_s_._._._._-_-_-_-_--_ Other Resources.. _________________ _ 79,647.11 none 6,342.25 none 6,700.00 1,650.00 113,386.94 2,359.96 none 2,919.15 none none none none Total...... ____ .----------------- __ ..$ 213,005.41 LIABILITIES: CaiJital Stock-----------------------$ Suri>lus Fund._-------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidteonBdsanUknsi-J-a-i-d--_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks__________________ _ Certified Checks___________________ _ Demand DeiJosits-----------------Time Certificates of DeiJosits..... . Savings DeiJOSits------------------LeetxteercsutoefdCfroerdCituasntodmAercsc_e_i_J_t_a_n_c_e_s_ BNiolltsesPaanYdabBliel.l-s-R--e-d--i-s-c-o--u-n-t-e-d--.-.-.-.-. Other Liabilities... ---------------- 25,000.00 25,000.00 none 325.29 none 793.75 33.20 none 134,495.53 27,357.64 none none none none none Total..... ___ -.-----.-------.------ ..$ 213, 005.41 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the FARMERS & MERCHANTS BANK Coolidge, Ga. As called for by the Superintendent of Banks. BOYKIN HARRISON, A. P. MEGAHEE, President. Cashier. Date of Charter: 12-18-1911 Began Business: 11-2()-.1911 RESOURCES: Loans and Discounts--------------$ 45,946.46 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_t>__a_l none U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ 18,878.13 BOathnekrinSgtoHcoksusaenadnBdoLnodts__o_w__n_e_d__.._._. 4, 766.25 2,500.00 Furniture and Fixtures-----------Other Real Estate owned---------Cash in Vault and amount due 2,500.00 23,067.49 from at>I>roved Reserve Agents.. 23,504.35 Checks for Clearing and Due from other Banks.--------------------Cash Items-------------------------Overdrafts.------------------------Advance on Cotton and other 10,000.00 none none Commodities..... _._. __ ... -------- none Customers Liability on Letters of Prcorfeidt iatnadnLdoAssc_c_e_t_>__ta__n_c_e_s_-_-_-_-_-_-_-_-_--_ none none Other Resources....___ .. _.. ---.. ---- - -no-ne TotaL. ____ .............. --.--------.$ 131,162.68 LIABILITIES: Cat>ital Stock__________________ -----$ Cat>ital Notes______________________ _ Surt>lUS Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------CDaivsihdieenr'dssCUhnetc>kasi_d_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks.... ______________ __ TDiemmeaCnedrDtifeitc>aOteSsitoSf--D--e-t->-o--s-it-s-_-_-_-_-_--_ Savings Det>ositS------------------Letters of Credit and Accet>tances executed for Customers_________ _ Bills Payable.. --------------------Notes and Bills Rediscounted..... Other Liabilities... ---------------- 25,000.00 25,000.00 none 717.37 441.10 none none 22.22 none 40,449.31 39.332.24 none none none none 200.44 TotaL... ----------------------------$ 131,162.68 STATEMENT Showing condition at the close of Business December 31, 1935, of the CORDELE BANKING CO. Cordele, Ga. As called for by the Superintendent of Banks. J. H. CHILDS, THOS. T. LYTLE, President. Cashier. Date of Charter: 5-31-1927 Began Business: 6-15-1927 RESOURCES: Loans and Discounts.....---------$ State of Georgia and Municit>al U.Bowosnn.deds G.o.ow. .v.ne.er_d_n_-m.-.-e.-n.- _-t _-_-_-S_-e_-c-. --u-.r-.i-.t-i.e-. -s----- Other Stocks and Bonds owned... Banking House and Lot----------- 101,833.12 none none npne none Furniture and Fixtures-----------Other Real Estate owned---------Cash in Vault and amount due from at>I>roved Reserve Agents.- 5,000.00 none 251,678.83 Checks for Clearing and Due from other Banks---------------------- Cash Items......--------..---------Overdrafts.. -----------------------Advance on Cotton and other Commodities.. ---.-.--.---.--.---Customers Liability on Letters of 5,933.61 none 5.63 7,176.96 PrCorfeitdaitnadnLdosAs_c_c_e_t_>_t_a_n__c_e_s_-_-_-_--_-_-_-_-_- nnoonnee Other Resources...... - -------------- - -526-.97 Total------------ _______ .............$ 372,155.12 LIABILITIES: Cat>ital Stock............... __ ......$ USunrdt~ilvuisdeFduPnrdo.f.it-s--_-_-__-_-_-_-_-_-_-_-_-_-_-_-_--_-_ Reserve Funds_____________________ _ Due to Banks_____________________ __ Dividends Unt>aid................ .. CCearsthifiieerd's CChheecckkss....... .. ._.__._._._._._. .. .. ._.__._. _. Demand Det>osits.. ---------------TSaimviengCseDrtiefti>coastietss_o__f_D__e_t_>_o__s_it_s_._._._..__. Letters of Credit and Accet>tances executed for Customers.......... Bills Payable... -------------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 25,000.00 2,500.00 2,159.03 none none none 3,427.06 none 271,775.73 33,334.94 33,958.36 none none none none Total.... __ ---- ...... -........ -......$ 372,155.12 SIXTEENTH ANNUAL REPORT 33 STATEMENT Showing condition at the close of Business December 31, 1935, of the CORNELIA BANK Cornelia, Ga. As called for by the Superintendent of Banks. OSCAR E. FLOR, W. V. GRANT, President. Date or Charter: 7-3-1900 Cashier. Began Business: 8-4-1900 RESOURCEB: Loans and Discounts--------------$ 204,144.27 State of Georgia and Municipal Bonds owned--------------------- 5,552.08 U. S. Government Securities owned----------------------------- 79,654.01 Other Stocks and Bonds ownecL. none Banking House and Lot----------- 11,000.00 FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-__-_-_-_-_-_--_ 3,840.00 31,357.71 Cash in Vault and amount due from approved Reserve Agents.. 128,458.58 Checks for Clearing and Due from other Banks.--------------------- 947.59 Cash Items-------------------------- 1,006. 58 Overdrafts._------------------------ none Advance on Cotton and other Commodities---------------------- 25,561.81 Customers Liability on Letters of Credit and Acceptances---------- none Profit and Loss--------------------- none - - - - Other Resources-------------------- 656.82 TotaL ... ---------------------------$ 492,179.43 LIABILITIES: Capital Stock-----------------------$ Capital Notes.....-----------------Surplus Fund.--------------------Undivided ProfitS-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks................... Certified Checks............. ------Demand Deposits._---------------Time Certificates of Deposits...... Savings Deposits------------------Letters of Credit and Acceptances executed for Customers.......... Bills Payable.. --------------------Notes and Bills Rediscounted..... Other Liabilities._----------------- 40,000.00 40,000.00 4,000.00 8,675.28 none none none 3,187.97 3.00 233,463.99 53,670.79 109,178.40 none none none none TotaL. __ .. ____ ---------- .. -.. ----- .. $ 492,179.43 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF COVINGTON & TRUST CO. Covington, Ga. As called for by the Superintendent of Banks. R. R. FOWLER, Sr., J. E. PHILIPS, President. Cashier. Date of Charter: 4-4-1901 Began Business: 4-1901 RESOURCES: Loans and Discounts..............$ State of Georgia and Municipal Bonds owned--------------------U.owSn.edG..o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ Other Stocks and Bonds owned... Banking House and Lot----------Furniture and Fixtures__________ __ Other Real Estate owned________ __ Cash in Vault and amount due from approved Reserve Agents.Checks for Clearing and Due from other Banks._-------------------Cash Items........ ____ -------------Overdrafts.-- __ --------------------Advance on Cotton and other Commodities.------ __ ------------CuCsrteodmiterasnLdiAabciclietpYtaonnceLs_e_t_t_e_r_s__o_ _f Profit and Loss.. ____ -- __ -- __ -- ____ _ Other Resources.. _____ ------ ____ --- 112,377.35 none 105,268.75 293,808.03 none 2,401. 98 4,136. 97 537,567.08 none none none none none none 1,341. 92 Total.... ______ ------- _________ ---- ..$ 1. 056.902.08 LIABILITIES; Capital Stock........ __ -------------$ Surplus Fund---------------------RUensdeirvviedFedunPdros.f.i_ts__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--__- Due to Banks----------------------CDaivsihdieenr'dssCUhnecpkasid__-_-_-_-_-_-_-_-_-:--__-_-_-_-_--__- Certified Checks------------- _____ __ Demand Deposits-----------------Time Certificates of Deposits...... Savings Deposits------------------Letters of Credit and Acceptances executed for Customers.......... Bills Payable.. --------------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 100,000.00 25,000.00 5,895. 78 25,000.00 none 3,000.00 4,684.25 none 698,079.34 11,657.43 183,585.28 none none none none Total.................. -------- ......$ l, 056,902.08 84 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the THE COMMERCIAL BANK Crawford, Ga. As called for by the Superintendent of Banks. M. BLANCHARD, E. H. FURCRON, President. Cashier. Date of Charter: 9-!i!-1924 Began Business: 9-5-1924 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_D__al_ U. S. Government Securities owned----------------------------Other Stocks and Bonds owneal Bonds owned--------------------U.owSn.edG__o__v_e_r_n__m__e_n_t___S__e_c__u_r_i_t_ie__s_ _ Other Stocks and Bonds owneal Bonds owned--------------------- 49,068.00 U. S. Government Securities Oot hwenr eSdt-o-c-k- -s- -a-n- -d- -B- -o-n-d- -s- -o-w- -n-e-d- -..-.-. Banking House and Lot----------Furniture and Fixtures-----------Other Real Estate owned---------- 675.00 none 2,000.00 500.00 700.00 Cash in Vault and amount due from ai>vroved Reserve Agents._ 114,712.18 Checks for Clearing and Due from other Banks---------------------COavsehrdIrtaefmtss.-_-_-_-_-_-_-_-_-_--------------------------------- none none none Advance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and Accei>tances__________ none none Profit and Loss--------------------- none Other Resources--------------------_ _ _n_o_n....:.e Total--------------------------------$ 239,102.80 LIABILITIES; Cai>ital Stock-----------------------$ Suri>lUS Fund.. -------------------Undivided ProfitS------------- ---Reserve Funds---------------------DDiuveidtoenBdsanUknsi->-a-i-d--_-__-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks__________________ _ Certified Checks___________________ _ DTiemmeaCnderDtiefiic>aotseistso.-f-D--e-i->-o--s-it-s-_-_-_-_-_-_ Savings Dei>OSits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_i_>_t_a_n_c_e_s_ BNiolltsesPaanydabBleil.l-s-R--e--d-i-s-c-o--u-n-t-e-d--_-__-_--_ Other Liabilities.------------------ 15,000.00 5,000.00 8,375.18 none none none 1,132.52 none 118,608.39 90,986.71 none none none none none Total--------------------------------$ 239,102.80 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BANK OF DALTON Dalton, Ga. As called for by the Superintendent of Banks. W. C. MARTIN, JAMES J. COPELAND, President. Cashier. Date of Charter: 12-~1-1911 Began Business; 1G-1~-1912 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municii>al Bonds owned--------------------U. s. Government Securities Oot hwenr eSdt-o-c-k- -s- -a-n-d- - -B- o- -n-d- -s- -o-w- -n- -e-d-.-.BFuarnnkiitnugreHaonudseFaixntdurLeos.t-__-_-_-_-_-_-_-_-_--_ Other Real Estate owned_________ _ Cash in Vault and amount due 283,115.52 none 5,950.06 5,200.00 16,500.00 4,000.00 36,144.07 from ai>I>roved Reserve Agents._ 62,198.40 Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------Overdrafts._-----------------------Advance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and Accei>tances__________ 7,824.61 1,130.56 187.51 none none Profit and Loss--------------------- none - - - - - Other Resources-------------------- 1,024.07 Total--------------------------------$ 423,274.80 LIABILITIES: Cai>ital Stock-----------------------$ SUunrdvilvuids eFduPnrdo-f-i-t-s-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_- -_ Reserve Funds---------------------DDiuveidtoenBdsanUknsi->-a-i-d--_-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks------------------Certified Checks.. ---------------DTiemmeaCnedrDtifeiic>aOteSsitoSf--D--e-i->-o--s-it-s-_-_-_-_-_--_ Savings Dei>osits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_i_>_t_a_n_c__es_ Bills Payable.. --------------------Notes and Bills Rediscounted____ _ Other Liabilities.------------------ 50,000.00 6,500.00 1,298.42 2,600.00 none 20.00 869.19 none 209,188.29 34,088.42 118,710.48 none none none none TotaL. __ ------------_------------- ..$ 423,274.80 86 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the HARDWICK BANK & TRUST CO Dalton, Ga. As called for by the Superintendent of Banks. G. L. HARDWICK, G. L. RICE, President. Cashier. Date of Charter: 2-17-1922 Began Business: 2-2o-19't!l RESOURCES: Loans and Discounts______________$ 416,600.33 State of Georgia and Municii>al Bonds owned--------------------- none U. S. Government Securities owned.... _______ ------------------ 375,447.35 Other Stocks and Bonds owned... 273,376.18 Banking House and Lot----------- 57,000.00 Furniture and Fixtures------------ 3,071.65 Other Real Estate owned---------- 33,529.30 Cash in Vault and amount due from at~I>roved Reserve Agents.. 230,914.26 Checks for Clearing and Due from other Banks---------------------- none Cash Items-------------------------Overdrafts._------------------------ none 240.61 Advance on Cotton and other Commodities---------------------- none Customers LiabilitY on Letters of Credit and Accet>tances......... none Profit and LOSS--------------------- none - - - - Other Resources-------------------- 1,382.67 Total--------------------------------$ 1,391, 612.35 LIABILITIES: Cat>ital Stock.--------------------$ Surt>lUS Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unt>aid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Dei>OSitS-----------------Time Certificates of Det>osits-----Savings Det>osits. ------ ________ ---LeetxteecrsutoefdCforerdCituastnodmAercsc_e_t_>_t_a_n_c__es_ Bills Payable._--------------------Notes and Bills Rediscounted... Other Liabilities._.---------------- 100,000.00 75,000.00 11,385.40 5,000.00 5,151.69 5,040.00 732.83 none 505,181.12 34,444.60 649,676.71 none none none none Total----------------------------- .$ 1,391, 612.35 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF DANIELSVILLE Danielsville, Ga. As called for by the Superintendent of Banks. R. C. GRIFFETH, R. C. GRIFFETH, President. Cashier. Date of Charter: 12-11-1907 Began Business: 1-15-1908 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municii>al u.BowoSnn.desdG.o..wo_v_ne_e_rd_n_-m_-_-e_-n_-_-t_-_-_S-_-e_-c_-_u-_-r_-i_-t_i-_e-_s-_--_ Other Stocks and Bonds ownecL. BFuarnnkiitnugreHaonudseFaixntdurLeos.t_-_-_-_-_-_-_-_-_-_--_ Other Real Estate owned---------Cash in Vault and amount due from ai>I>roved Reserve Agents.Checks for Clearing and Due from other Banks---------------------COavsehrdIrtaefmtss.-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--------------------AdCvoamncmeodoitniesC..o. _t_to__n___a--n_d__ -o--t_h__e_r Customers liability on Letters of Credit and Accet>tances........ Profit and LOSS--------------------Other Resources-------------------- Total.. ------------------------------$ 28,899.01 none 6,500.00 none 2,000.00 1,000.00 750.00 94,175.77 51.57 36.50 334.81 none none none 5,980.00 139,727.66 LIABILITIES: Cat>ital Stock-----------------------$ Surt>lUS Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unt>aid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Det~osits----------------- Time Certificates of Det>osits-----Savings Det~osits------------------ Letters of Credit and Accei>tances executed for Customers---------Bills Payable._--------------------Notes and Bills Rediscounted----Other Liabilities------------------- 15,000.00 8,000.00 none none none none 5.49 none 103,258.09 13,464.08 none none none none none Total--------------------------------$ 139,727.66 SIXTEENTH ANNUAL REPORT 87 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE DARIEN BANK Darien, Ga. As called for by the Superintendent of Banks. C. M. TYSON, D. E. LANE, President. Cashier. Date of Charter: U-8-1888 Began Business: 1-1889 RESOURCES: Loans and Discounts--------------$ 69,969.81 State of Georgia and Municii>al Bonds owned--------------------- 19,000.00 U. S. Government Securities owned....... ---------------------- 14,875.00 Other Stocks and Bonds owned..... none BF ua rnnkiitnugr eHaonudseFaixntdurLeos _t-__-_-_-_-_-_-_-_-_--_ Other Real Estate owned_________ _ 2,000.00 1, 700.00 8,880.14 Cash in Vault and amount due from approved Reserve Agents.- 48,188.18 Checks for Clearing and Due from other Banks.--------------------- 16,684.78 Cash Items.------------------------- none AOdvveardnrcaeftso.n- --C--o--t-t-o-n---a--n-d----o-t-h-e--r none Commodities...... --------------- none Customers Liability on Letters of Credit and Acceptances---------- none POrtohfeirt aRnedsoLurocsess-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ - - none -n-on-e Total... _._._ ............--..........$ 180,747.86 LIABILITIES: Capital Stock-----------------------$ Surolus Fund---------------------Undivided ProfitS-----------------Reserve Funds---------------------DDiuveidteonBdsanUknsp--a-i-d-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks. _________________ _ Certified Checks-------------------Demand Deposits-----------------Time Certificates of Deposits..... 'Savings Deposits................... Letters of Credit and Acceptances executed for Customers.......... Bills Payable.---------------------Notes and Bills Rediscounted..... Other Liabilities.------------------ 25,000.00 5,000.00 5,000.00 none none 750.00 718.83 none 84,518.74 798.16 58,967.18 none none none none Total--------------------------------$ 180,747.86 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF DAWSON Dawson, Ga. As called for by the Superintendent of Banks. M. C. EDWARDS, J. E. KING, President. Cashier. Date of Charter: 6-~9-1911 Began Business: 7-1-1911 RESOURCES: Loans and Discounts--------------$ 262,287.73 State of Georgia and Municii>al Bonds owned--------------------- 5,000.00 U.owSn.edG..o..v.e.r.n..m__e_n__t___S_e_c__u_r_i_t_ie__s__ 85,417.54 Other Stocks and Bonds owned..... 5,850.00 Banking House and Lot----------- 25,000.00 Furniture and Fixtures------------ 1,8GO.OO Other Real Estate owned---------- 15,013.10 Cash in Vault and amount due from approved Reserve Agents. 889,822.68 Checl{S for Clearing and Due from other Banks.--------------------Cash Items.....--------------------AOdvvearndcreaftos.n---C--o--tt.-o-n---a--n-d----o-t-h-e--r 4, 714.83 none none Commodities---------------------- none Customers Liability on Letters of Credit and Acceptances---------- none Profit and Loss--------------------- none - - - - Other Resources-------------------- 640.85 Total..... ---------------------------$ 745,046.73 LIABILITIES: Capital Stock-----------------------$ Surolus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits.. ---------------Time Certificates of Deposits...... Savings Deposits.-----------------LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__ta__n_c_e_s_ BNiolltsesPaanydabBleil-l-s-R--e--d-i-s-c-o--u-n-t-e-d--.-.-.-.-. Other Liabilities.-.---------------- 100,000.00 20,000.00 2,487. 72 none none 2,000.00 13,302.11 none 505,533.15 101,723.75 none none none none none Total.. -- _____ -----------------------$ 745,046.73 88 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the MERCHANTS AND FARMERS BANK Donalsonville, Ga. As called for by the Superintendent of Banks. P. S. CUMMINGS, E. T. KELLY, President. Cashier. Date of Charter: 9-24-1925 Began Business: 9-24-1925 RESOURCES: Loans and Discounts--------------$ 81,571.31 State of Georgia and Munici.I>al Bonds owned....... -------------- 11.013.00 U. S. Government Securities Oot hwenr eSdt-o-c-k- -s- -a-n- -d- -B- -o-n- -d-s- -o-w- -n-e- -<-L- -. none none Banking House and Lot........ 6,000.00 Furniture and Fixtures------------ 3,421.00 Other Real Estate owned---------- none Cash in Vault and amount due from avvroved Reserve .Agents.. 71.742.40 Checks for Clearing and Due from other Banks---------------------- none Cash Items-------------------------- none Overdrafts.. ____ -------------------- none Advance on Cotton and other Commodities---------------------- none Customers Liability on Letters of Credit and Accevtances........ none - - - - POrtohfeirt aRnedsoLuOrcSesS_-_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_-_--_ none none Total.. ---------.------------------ ..$ 173,747.71 LIABILITIES: Cavital Stock-----------------------S USunrdvivluidseFduPnrdo.f-i-t-s-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_--_ Reserve Funds---------------------Due to Banks----------------------Dividends Unvaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Devosits-----------------Time Certificates of Devosits..... . Savings Devosits------------------Letters of Credit and Accevtances executed for Customers.......... Bills PaYable.. --------------------Notes and Bills Rediscounted..... Other Liabilities.. _---------------- 25,000.00 5,000.00 3,602.92 2,640.00 none none 224.33 none 93,587.25 40,450.00 3,243.21 none none none none Total.... --------.-- .. __ .----- ... __ -.$ 173,747.71 STATEMENT Showing condition at the close of Business December 31, 1935, of the COFFEE COUNTY BANK Douglas, Ga. As called for by the Superintendent of Banks. C. L. LOTT, H. L. SHANNON, President. Cashier. Date of Charter: 6-19-1981 Began Business: 7-1-1981 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municii>al Bonds owned.......-------------U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ Other Stocks and Bonds owned... Banking House and Lot...... Furniture and Fixtures........ Other Real Estate owned......... Cash in Vault and amount due from avvroved Reserve .Agents.. Checks for Clearing and Due from other Banks.--------------------Cash Items.------------------------Overdrafts.. ______ -----------------. Advance on Cotton and other Commodities---------------------Customers Lability on Letters of Credit and Accevtances......... Profit and LOSS--------------------Other Resources-------------------TotaL------------------------------$ 87,299.79 none none none none none none 561.267.38 1,415.09 none none 17,050-81 none none none 667,033.07 LIABILITIES: Cavital Stock-----------------------S Survlus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unvaid-----------------Cashier's Checks------------------Certified Checks.......---------- Demand DevositS-----------------Time Certificates of Devosits...... LBSaeielvtxltsieenrcPgsuastoyeDfadbeCfvlroeoer_sd_Ci_itt_us_a-s_-tn_o-_d-m_-_A-_e-_rc-_s-c__-e__-_v_-__t-_a_-__n-__-c__e__-s-__ Notes and Bills Rediscounted..... Other Liabilities.------------------ 50,000.00 10,000.00 22,300.32 none none 4,000.00 5,952.61 none 501,758.30 32,537.50 40,484.34 none none none none Total........ __ .... ________ -- ..$ 657,033.07 SIXTEENTH ANNUAL REPORT 39 STATEMENT Showing condition at the close of Business December 31, 1935, of the CITIZENS AND SOUTHERN BANK OF DUBLIN Dublin, Ga. As called for by the Superintendent of Banks. V. B. JENKINS, C. U. SMITH, President. Vice-Pres. and Cashier. Date of Charter: 1Q-29-1928 Began Business: 11-1-1928 RE.SOURCES: Loans and Discounts............$ State of Georgia and Municipal Bonds owned--------------------U.owSn.edG..o..v.e.r.n..m__e.n. _t...S.e.c.u..r.i.ti.e_s_ __ BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n__e_<_L__. Furniture and Fixtures-----------Other Real Estate owned---------Cash in Vault and amount due from aDDroved Reserve Agents.. Checks for Clearing and Due from other Banks---------------------Cash Items..------ __ -------- ______ -Overdrafts......... __..........___ Advance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and AcceDtances.......... Profit and LOSS--------------------Other Resources.....--------------- 164.226.98 40,760.10 55,711.51 18,652.17 25,000.00 none none 827,274.92 none 847.32 17.99 1,595. 78 none none 1,110. 74 Total.. --.----------- .. ---------.-- ..$ 1,135,197. 51 LIABILITIES: CaDital Stock----------------------.$ SUrDlUS Fund---------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidtoenBdsanUknsD--a-i-d--_-_-__-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks------------------Certified CheckS-------------------Demand DeDOSitS-----------------Time Certificates of DeDosits...... Savings DeDosits------------------Letters of Credit and AcceDtances executed for Customers.......... BNiolltsesPaanydabBleil.l.s-R--e--d-i-s-c-o--u-n-t-e-d--.-.-.-.-. Other Liabilities.. _____ ------------ 100,000.00 20,000.00 32,140.93 18,749.69 77,470.30 none 5,976.29 404.25 667,350.41 61,513.74 151,591.90 none none none none Total.. -------------------------- ....$ 1,135,197.51 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF DUDLEY Dudley, Ga. As called for by the Superintendent of Banks. H. D. JOINER, RUBERT L. HOGAN, President. Cashier. Date of Charter: 1Q-2-1905 Began Business: 11-1905 RESOURCES: Loans and Discounts--------------$ 20,866.51 State of Georgia and MuniciDal Bonds owned--------------------- 5,487.50 U.owSn.edG. . o__v. e__rn. .m .e.n__t_ . .S.e.c_u._r.i_ti.e. .s. 5,068.65 BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n__e_d_____ Furniture and Fixtures.. ________ __ none 1, 783.39 2,650.00 Other Real Estate owned.......... 800.00 Cash in Vault and amount due from aDDroved Reserve Agents.. 19,321.98 Checks for Clearing and Due from other Banks.. -- ____ ----..____ ---- none Cash Items-------------------------- none Overdrafts..----------.-- ...-------- 82.51 AdCvoamncmeodoitniesC. _o_t_t_o__n___a__n_d____o_t_h__er_ 130.82 CuCsrteodmiterasnLd iAabcicleiDtytaonnceLs _e_t_t_e_r_s__o__f Profit and Loss___________________ __ none none Other Resources....__ -- __ -- ____ ----- - -no-ne Total..--...... -- ..................$ 56.193.36 LIABILITIES: CaDital Stock-----------------------$ CSUaDrDitlauls NFoutneds....._._._._._-_-_-_-_-_-_-_-_________-_-_--_ Undivided Profits________________ __ Reserve Funds---------------------DDiuveidteonBdsanUknsD--a-i-d--_-_-_-__-_-_-_-_-_-_-_-_-_-_-_--__Cashier's Checks.. ________________ _ Certified Checks.......------------Demand DeDosits.. ---------------Time Certificates of DeDosits...... Savings DeDOSits---- __ --------.---Letters of Credit and AcceDtances executed for Customers.......... Bills Payable----------------------Notes and Bills Rediscounted..... Other Liabilities.. ______ ----------- 15,000.00 2,000.00 none 459.28 480.49 none none 252.60 none 29,879.51 8,121. 48 none none none none none Total.. ---- __ .------. __ .......... -- ..$ 56,193.36 40 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF EASTMAN Eastman, Ga. As called for by the Superintendent of Banks. W. L. JESSUP, GEO. D. MULLIS, President. Cashier. Date of Charter: 12-28-1918 Began Businelis: 1919 RJCSOURCES: Loans and Discounts--------------$ 145,407.75 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__iv__a_l none u. S. Government Securities BOaothnweknrienSdgt-oH-c-ko--su-s-ae-n-ad--n-Bd-o-L-n-od--ts-_-_o-_w_-_-n_-e_-_d-_-._.-.-_. Furniture and Fixtures___________ _ Other Real Estate owned_________ _ 39,5CO.OO 2,250.00 15,000.00 4,5()().00 23,500.00 Cash in Vault and amount due from avvroved Reserve Agents._ 72,599.38 Checks for Clearing and Due from other Banks.--------------------- 2,070. 76 Cash Items-------------------------Overdrafts.- ____ -------------------Mvance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and Accevtances__________ 1,329.61 518.65 none none POrtohfeirt RanesdouLrcOesS__S_-_-_-_--_-_-_-_-_--_-_-_-_-_-_--_-_-_- none 354.32 ---- Total------------------------------ ..$ 307, 030. 47 LIABILITIES: CCaavviittaall NStootceks_-_-_-_-_-_-_-_-_-_---------------------------$ Surolus Fund._-----------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unvaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Devosits. _---------------Time Certificates of Devosits-----LSaevttienrgssoDf eCvroesdiitts.a-n--d--A--c-c-e-v--t-a-n-c-e--s executed for Customers---------Bills Payable----------------------Notes and Bills Rediscounted..... Other Liabilities.. _--------------- 50,000.00 25,000.00 none 5,005.32 none none none 958.83 none 176,620.86 19,499.84 29,945.62 none none none none TotaL.----------------------.----- $ 307,030.47 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF FULTON COUNTY East Point, Ga. As called for by the Superintendent of Banks. GEO. F. LONGINO, F. W. COOPER, President. Cashier. Date of Charter: 3-22-1934 Began Business: 4-2-1934 RESOURCES: Loans and Discounts--------------$ 275,667.38 State of Georgia and Municival Bonds owned--------------------- 35,083.50 U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ 115,937.50 BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n_e__d_._.._. Furniture and Fixtures___________ _ Other Real Estate owned_________ _ none 8,049.01 1, 780.33 none Cash in Vault and amount due from avvroved Reserve Agents._ 141,904.37 Checks for Clearing and Due from other Banks---------------------- none Cash Items-------------------------- 869.21 Overdrafts.------------------------AdCvoan=coediotniesC__o_t_t_o__n___a__n_d____o_t_h__e_r 42.18 none Customers Liability on Letters of Credit and Accevtances__________ none - - - - POrtohfeirt aRnesdouLrcoess_s_-_-_-_-_--_-_-_-_-_-_-_-_--_-_-_-_-_-_- none 2, 775.01 TotaL-----------------------------$ 582,108.49 LIABILITIES: Capital Stock-----------------------$ Surplu~ Fund._-------------------Undivided Profits-----------------Reserve FundS---------------------Due to Banks----------------------Dividends Unvaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Devosits.- ---------------Time Certificates of DevositS-----Savings Deposits------------------Letters of Credit and Accevtances executed for Customers---------Bills Payable.---------------------Notes and Bills Rediscounted..... Other Liabilities._----------------- 50,000.00 12,500.00 3,808.29 1,260.00 21,614.08 3,000.00 336.08 250.00 304,289.48 none 180,676.34 none none none 4,374.22 TotaL-------------------------------$ 582,108.49 SIXTEENTH ANNUAL REPORT 41 STATEMENT Showing condition at the close of Business Dece1nber 31, 1935, of the FARMERS & MERCHANTS BANK Eatonton, Ga. As called for by the Superintendent of Banks. L. 0. BENTON, Sr. A. F. ADAMS, President. Cashier. Date of Charter: 1(}-3(}-19~~ Began Business: 11-15-19~~ RESOURCES: Loans and Discounts--------------$ 63,459.57 State of Georgia and Municillal Bonds owned--------------------- 7,603.50 U. S. Government Securities Oothwenr eSdt-o-c-k--s--a-n--d--B-o--n-d--s--o-w--n--e-d--_-_ 18,060.00 4,762.50 BF uarnnkiitnugr eHaonuds eFai xntdu rLeos _t -__-_-_-_-_-_-_-_-_- -_ Other Real Estate owned_________ _ 4,900.00 2,033. 94 9.396.82 Cash in Vault and amount due from avvroved Reserve Agents._ 64,350.76 Checks for Clearing and Due from other Banks.--------------------- 70.72 COavsehrdIrtaefmts_s-.-.-_-_-.-_-_-_-_-.-------.-_-_----------------_-_ none none AdCvoamnmceodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r 2,532.80 Customers Liability on Letters of Credit and Accevtances.......... Profit and Loss_____________________ none none Other Resources____________________ 161.21 ---- Total.. ---- ...... __ ... _... _________ .$ 177,331.82 LIABILITIES: Cavital Stock-----------------------$ Surolus Fund.. -------------------Undivided Profits-----------------RDeuseertvoeBFaunnkdss.-.-.-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ CDaivsihdieenr'dssCUhnecpkasid__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks___________________ _ Demand Deposits-----------------STaimviengCseDrtiefpicoastietss_o__f_D__e_v__o_s_i_t_S_-_-_-_-_--_ Letters of Credit and Accevtances executed for Customers---------Bills Payable._--------------------Notes and Bills Rediscounted----Other Liabilities._----------------- 25,000.00 1,500.00 407.08 none none 1,000.00 311.91 none 126,311.31 20,851.23 none none none none 1,950.29 Total...... _.-.-- .... -.. -------------$ 177,331.82 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BANK OF EDISON Edison, Ga. As called for by the Superintendent of Banks. L. C. MANRY, THEDFORD TURNER, President. Cashier. Date of Charter: 9-~4-1904 Began Business: 1(}-1904 RE.SOURCES: Loans and Discounts--------------$ 244,818.37 State of Georgia and Municival Bonds owned--------------------- none U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ BOathnekrinSgtoHckosusaenadnBdoLnodts_o__w__n_e_<__L_._ Furniture and Fixtures. __________ _ Other Real Estate owned_________ _ none none 3,000.00 2,250.00 3, 765.40 Cash in Vault and amount due from approved Reserve Agents.. 87,482.28 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Overdrafts.. ---------------- _______ _ Advance on Cotton and other 361.25 154.02 118.39 Commodities__________ ------------ 81,548.54 CuCsrteodmiterasnLdiAabcicleitvytaonnceLs_e_t_t_e_r_s___o_f none POrtohfeirt aRnedsoLuOrcSeSs_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ - - none -no- ne TotaL-------------------------------$ 423,498.25 LIABILITIES: Capital Stock... ____________________$ Capital Notes----------------------Surolus Fund.. -------------------RUensdeirvviedFedunPdros.f.it_s_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Due to Banks----------------------CDaivsihdieenr'dssCUhnecpkasid__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks___________________ _ Demand DepositS-----------------Time Certificates of Deposits...... Savings Deposits------------------Letters of Credit and Acceptances executed for Customers---------BNiolltse sPaanyda bBl eil.l.s. R- -e-d- -i-s-c-o-u- -n-t-e-d- -_-_-__- -_ Other Liabilities.. ----------------- 50,000.00 25,000.00 26,000.00 4,289.05 1,500.00 none none 701.72 none 191,263.11 124,744.37 none none none none none TotaL------------------- ---------$ 423,498.25 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the GRANITE CITY BANK Elberton, Ga. As called for by the Superintendent of Banks. W. E. FORTSON, F. S. FORTSON, President. Cashier. Date of Charter: l!l-8-19~7 Began Business: 1-8-19~8 RJl;SOURCES: Loans and Discounts--------------$ StBatoendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_p__al_ U. S. Government Securities OothwenreSdt-o-c-k--s--a-n--d--B--o-n-d--s--o-w--n-e--c-L--. BFuarnnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ Other Real Estate owned---------Cash in Vault and amount due from approved Reserve Agents._ Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Overdrafts_------------------------AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r CuCsrteodmiterasnLdiAabciclietpYtaonnceLs_e_t_t_e_r_s__o_ f_ Profit and Loss____________________ _ Other Resources-------------------- 191,086.07 13,134.88 105,716.44 none 15.000.00 1, 750.00 none 278,035.64 7,140.01 183.95 472.18 3,536.12 none none 735.43 Total--------------------------------S 616,790.72 LIABILITIES; Capital Stock--------------_--------$ Surplus Fund. __ ------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of Deposits-----Savings Deposits------------------Letters of Credit and Acceptances executed for Customers---------Bills Payable.-_-------------------Notes and Bills Rediscounted----Other Liabilities------------------- 50,000.00 5,000.00 9,102.82 1,115.58 20,022.10 none 1, 975.67 none 395,441.24 28,512.99 105,620.32 none none none none Total--------------------------------$ 616,790.72 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF ELLAVILLE Ellaville, Ga. As called for by the Superintendent of Bank. J. H. STEVENS, H. F. DIXON, President. Cashier. Date of Charter: 9-1G-1910 Began Business: 9-16--1910 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip__a_l U. S. Government Securities BOaothnweknrienSdgt-o-Rc--ok-us--sa-en--ad-n-B-d-o-Ln--od-ts-_-_o-_w-_-_n-_-_e-_c-_L_--_. Furniture and Fixtures___________ _ Other Real Estate owned_________ _ Cash in Vault and amount due from approved Reserve Agents.Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Overdrafts. _________ ---------------Advance on Cotton and other Commodities---------------------CuCsrteodmiterasnLdiAabcicleitpytaonnceLs_e_t_t_e_r_s__o_ f_ Profit and LOSS--------------------Other Resources-------------------- TotaL------------------------------S 40,853.64 none 29,711.74 none 2,844.57 898.00 none 98,992.22 10,150.00 none none 26,392.67 none none 1,484.31 211,327.15 LIABILITIES: Capital Stock..---------------------$ US unrdpivl uids eFduPnrdo. f_i-t-s-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_- -_ Reserve Funds_____________________ _ Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits.----------------Time Certificates of DepositS-----Savings Deposits------------------LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__ta__n_c_e_s_ BNiolitsesPaanydabBleil.l-s--R--e-d-i-s-c-o--u-n--te--d-_-_-__--_ Other Liabilities.------------------ 25.000.00 5,000.00 6,093.16 none none none none none 119,130.47 56.103.52 none none none none none TotaL------------------------------$ 211,327.15 SIXTEENTH ANNUAL REPORT 43 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BANK OF ELLIJAY Ellijay, Ga. As called for by the Superintendent of Banks. E. T. HUDSON, DOW HAMRICK, President. Cashier. Date of Charter .'Hll-1914 Began Business: 6-1-1914 RESOURCES: Loans and Discounts______________$ State of Georgia and Municipal Bonds owned--------------------u. S. Government Securities OothwenreSdt-o-c-k--s--a-n--d--B--o-n--d-s--o-w--n-e-<--L-_Banking House and Lot----------FOuthrneirtRureealaEnsdtaFtiextouwrense-d--_-_-_-__-_-_-_-_--_ Cash in Vault and amount due from approved Reserve Agents-Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------Overdrafts ____ ---------------------Advance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and Acceptances---------Profit and LOSS--------------------Other Resources-------------------- Total--------------------------------S 177,480.24 122,615.69 19,352.33 16,172.88 none 4,900.00 5,375.00 106,126.94 none none none none none none 553.60 452,576.68 LIABILITIES: Capital Stock-----------------------S Capital Notes_____ -----------------Suri>lus Fund.--------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deoosits-----------------Time Certificates of Deoosits-----Savings Deoosits------------------Letters of Credit and Acceotances executed for Customers---------Bills Payable.---------------------Notes and Bills Rediscounted----Other Liabilities.------------------ 15,000.00 15,000.00 8,000.00 2,028.30 none none none 875.18 380.14 168,639.76 16,236.17 228,417.13 none none none none Total--------------------------------S 452,576.68 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF ETON Eton, Ga. As called for by the Superintendent of Banks. W. W. KEITH, H. R. JAMES, President. Cashier. Date of Charter: 5-!28-1910 Began Business: 9-1-1910 RESOURCES: Loans and Discounts--------------$ 26,668.57 State of Georgia and Municioal Bonds owned--------------------- none U. S. Government Securities owned----------------------------Other Stocks and Bonds owned--- none 1,650.00 BFuarnnkiitnugreHaonudseFaixntdurLeos_t-_-__-_-_-_-_-_-_-_--_ none 2,100.00 Other Real Estate owned---------- 11,921.95 Cash in Vault and amount due from aooroved Reserve Agents-- 20,530.54 Checks for Clearing and Due from CaosthheItreBmasn_k__s_-_-_-_-_-_-__________-_-_-_-_-_-_______-_--_ none none Overdrafts- ___ ---------------------- 45.19 Advance on Cotton and other Commodities---------------------- none CuCsrteodmiterasnLd iAabcicleitoytaonnceLs _e_t_t_e_r_s__o_ f_ Profit and Loss____________________ _ Other Resources___________________ _ Total. _____________________________ ---$ none none - -no-ne 62,916.25 LIABILITIES: Caoital Stock-----------------------S Caoital Notes----------------------SUunrdoilvuids eFduPnrdo-f-i-t-s-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_- -_ Reserve Funds---------------------DDiuveidtoenBdsanUknso--a-i-d--_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_--_ Cashier's Checks------------------Certified Checks-------------------TDiemmeaCnedrDtifeiocaotseistso-f--D--e-o--o-s-i-t-s-_-_-_-__--_ Savings Deoosits. -----------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_o__t_a_n_c__es_ NBOiotlhtlesesrPaLanyiadabbBilleiitl-li-se-sR---e-__-d_-i_-s_-c_-o---u_-_n-_t-_e_-_-d_-__-__-___--_- 15,000.00 6,000.00 529.00 562.23 none none none none none 24,445.20 16,379.82 none none none none none Total--------------------------------S 62,916.25 44 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the FAIRBURN BANKING CO. Fairburn, Ga. As called for by the Superintendent of Banks. J. H. LONGINO, Y. H. LONGINO, President. Cashier. Date of Charter: 9-14-1891 Began Business: 190~ RESOURCES! Loans and Discounts--------------$ 82,198.01 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__iv__a_l none U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ 13,500.00 Other Stocks and Bonds owned__ _ none BFuarnnkiitnugreHaonudseFaixntdurLeos_t_-_-_-_-_-_-_-_-_-_--_ Other Real Estate owned_________ _ 9,500.00 3,000.00 20,653.00 Cash in Vault and amount due from avvroved Reserve Agents.- 78,548.66 Checks for Clearing and Due from other Bauks---------------------- Cash Items-------------------------- Overdrafts.- ..----.----------------Advance on Cotton and other none none none Commodities---------------------- 503.65 Customers LiabilitY on Letters of - - - - Credit and Accevtances_________ _ Profit and Loss____________________ _ Other Resources___________________ _ none none 796.91 TotaL------------------------------$ 208,700.23 LIABILITIES! Cavital Stock-----------------------$ SUunridJiIvUiSdeFduPnrdo.f-i-t-s-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_--_ DReuseertvoeBFaunnkdss_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_ CDaivsihdieenr'dssCUhnevckasld__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks-------------------DTiemmeaCnderDtifeivcoatseistso--f-D--e-v--o-s-i-t-s-_-_-__-_--_ Savings Devosits------------------Letters of Credit and Accevtances BielxlsePcuatyeadbfloer__C__u_s_t_o__m__e_r_s_-_-_-_-_-_-_-_-_--_ Notes and Bills Rediscounted----Other Liabllities. ------------------ 25,000.00 5,000.00 41.59 none none none 1,091.05 none 106,757.51 3, 720.65 67.089.43 none none none none Total------------------------------ ..$ 208.700.23 STATEMENT Showing condition at the close of Business December 31, 1935, of the FARMERS & MERCHANTS BANK Fayetteville, Ga. As called for by the Superintendent of Banks. C. D. REDWINE, H. C. HEWELL, President. Cashier. Date of Charter: 2-16-1906 Began Business: 3-13-1906 RESOURCES! Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_u_i_c__iv__a_l U. S. Government Securities owned----------------------------Other Stocks and Bonds owned... BF ua rnnkiitnugr eHaonuds eFai xntdu rLeos _t -_-__-_-_-_-_-_-_-_- -_ Other Real Estate owned_________ _ Cash in Vault and amount due from avvroved Reserve Agents.. Checks for Clearing and Due from CaosthheIrteBmasu_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Overdrafts. _______________ ---------Advance on Cotton and other Commodities---------------------Customers Liability on Letters of PrCorfeitdaitnadnLdoAssc_c_e_v__t_a_n_c__e_s_._.______________ __ Other Resources___________________ _ Total.... ___________________ ._-------$ 136,137.04 none none 598.86 2,266. 79 3,358.96 22,958.78 49,404.45 none l, 196.55 3,916.92 21.027.03 none 254.23 none 241.119.61 LIABILITIES! Cavltal Stock-----------------------$ SuriJlUS Fund---------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidt oenBdas nUknsv- -a-f-d- -_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_- -_ Cashier's Checks __________________ _ Certified Checks-------------------Demand Devosits-----------------Time Certificates of Devosits-----Savings Devosits. -----------------L eetxt eecr sutoefdCf or erdCi tuas tnodmAe rcsc_e_v__t_a_n_c_e_ s_ Bills Payable.---------------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 25,000.00 none none none none none 454.95 none 178,762.82 21,860.29. none none 15,041.55 none none Total.. ____ ------------------------ ..$ 241,119.61 SIXTEENTH ANNUAL REPORT 45 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF FINLEYSON Finleyson, Ga. As called for by the Superintendent of Banks. J. W. CONNER, Sr., CLARENCE FINLEYSON, President. Cashier. Date of Charter: 9-~G-1910 Began Business: 9-~G-1910 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_e_i_v_a_1_ U. S. Government Securities owned----------------------------BOathnekrinSgtoHcoksusaenadnBdoLnodts__o_w__n__e_d______ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ Cash in Vault and amount due from avvroved Reserve Agents-_ Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------Overdrafts-------------------------Advance on Cotton and other Commodities______ ------------ ... Customers Liability on Letters of Credit and Accevtances_________ _ POrtohfeirt aRnedsoLuOrcSeSs-_-_-_-_-_-_- _ TotaL---------------- __________ $ 18,207.35 none none 3,100.00 750.00 750.00 4,481.63 38,610.54 none 198.35 none 8,366.28 none none none 74,464.15 LIABILITIES: Cavital Stock.. ___ .----------------.$ Survlus Fund__ -------------------Undivided Profits-----------------RDeuseertvoeBFaunnkdss______________________-_-_-_-_-_-_-_-_-_-_--_ CDaivsihdieenr'dssCUhnevckasid__--_.-__-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks----- __ ------.-----Demand Devosits.- ---------------Time Certificates of Devosits-----Savings Devosits- __ ---------------Letters of Credit and Aceevtances executed for Customers---------Bills Payable_________ -------------Notes and Bills Rediscounted----Other Liabilities._.---------------- 15,000.00 5,000.00 7,216.ll 200.00 none none 173.64 none 39,756.25 7,118.15 none none none none none TotaL------------------------------S 74,464.15 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE CITIZENS BANK Folkston, Ga. As called for by the Superintendent of Banks. Wm. MIZELL, Jr., J. H. WRENCH, President. Cashier. Date of Charter: 1~-19-1911 Began Business: 1-4-11112 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municival U.Bowosnn.desdG_o_ow__vn_e_er_dn_-_m-__-e_-n_-_-t_-_-_-S_-e_-c_-_-u_-r_-i-t_-ie--s-- Other Stocks and Bonds owned.. _ Banking House and Lot. _________ _ Furniture and Fixtures.. -... -. ___ _ Other Real Estate owned..... ____ _ Cash in Vault and amount due from avvroved Reserve Agents-_ Choetchkesr fBoarfCiklse_a_r_i_n_g__a_n__d__D__u_e__f_r_o_m_ Cash Items______________ ----------- Overdrafts_----.------ .. -------- .. -Advance on Cotton and other Commodities.... ____ _ Customers Liability on Letters of Credit and Accevtances. _ Profit and Loss.. -.-.-.Other Resources...-.- .. TotaL----------------- _____ $ 225,927.42 none 52,350.00 25,000.00 none 1,600.00 2,963.05 152,387.94 1, 182.47 15.00 none none none none none 461,430.88 LIABILITIES: Cavital Stock_________________ . ____ .$ Surolus Fund __ -------------------RUensdeirvviedFedunPdrosf_i_t_s_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ DDiuveidtoenBdsanUkns-v-a-i-d--_-_-__-_-_-_-_-_-_---------------CCearsthifieierd's CChheecckkss_-_-_-_-_-_-__-_-_-_-_-_--_-----Demand Devosits.. ---------------STaimvienCgserDtiefvicoastietss.o_f, _D__e_v__o_s_i_t_s_-_-_-_-_--_ Letters of Credit and Accevtances executed for Customers_________ _ Bills Payable___ -------------------Notes and Bills Rediscounted----Other Liabilities.. ___ -------------- 15,000.00 15,000.00 14,237.62 15,000.00 none 8.40 2,594.52 none 163,952.29 46,045.23 183,834.04 none none none 758.78 TotaL ________________ _ -----$ 461,430.88 46 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the CITIZENS BANK OF FORSYTH Forsyth, Ga. As called for by the Superintendent of Banks. H. H. HARDIN, JNO. T. STEPHENS, President. Cashier. Date of Charter: :t-17-19:l0 Began Business: 8-1-19~0 RESOURCES: Loans and Discounts ______________$ 60,230.69 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_v__a_l 16,156.80 U.owsn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ 17,450.84 BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n_e_d__.._.._ 2,127.90 3,000.00 FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-_-_-__-_-_--_ 350.00 5, 706.46 Cash in Vault and amount due from avvroved Reserve Agents.- 71,434.72 Checks for Clearing and Due from other Banks---------------------- 3, 161.65 COavsehrdIrtaefmtss.-_-_-_-----_-_-_-_-_-_-_--------------------------- 410.03 none AdCvoamncmeodointiesC__o_t_t_o__n___a_n__d___o__t_h_e_ r_ 20.00 Customers Liability on Letters of - - - - Credit and Accevtances_________ _ Profit and Loss___________________ __ Other Resources.. _____ . ________ -Total. ______________________________ .$ none none none 180,049.09 LIABILITIES: Cavital Stock---------------------..$ US unrdoivl uids eFduPnrdo-f-i-t-s-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_- -__Reserve Funds---------------------DDuiveidtoenBdsanUkns-v-a-i-d--_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_-_ Cashier's Checks _________________ __ Certified Checks.. __________ -------DTiemmeaCnderDtifeivcaotseistso--f-D--e-v--o-s-i-t-s-_-_-__--__Savings Devosits.....-------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_v__t_a_n_c_e_s_ Bills Payable.. --------------------Notes and Bills Rediscounted..... Other Liabilities.------------------ 40,000.00 10,000.00 3,380.21 none none none none 5,549.90 117,655.36 3,463.62 none none none none none TotaL... __________________ --- ______ .$ 180,049.09 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE FARMERS BANK Forsyth, Ga. As called for by the Superintendent of Banks. R. T. PERSONS, R. J. BITTICK. President. Cashier. Date of Charter: 3-9-1910 Began Business: 1910 RESOURCES: Loans and Discounts--------------$ 78,368.20 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_v_a__l none U.owSn.edG...o.v_e__rn__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ none Other Stocks and Bonds owned... none BFuarnnkiitnugreHaonudseFaixntdurLeos.t-_-__-_-_-_-_-_-_--_-_ 2,500.00 400.00 Other Real Estate owned_________ _ 50,744.00 Cash in Vault and amount due from avvroved Reserve Agents.. 147,465.06 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_.__________________------_-__-_-_-_--------- 411.00 none Overdrafts.------------------------- none Advance on Cotton and other Commodities.. _______ --_---- ___ --- none - - - - CuCsrteodmiterasnLdiAabcicleitvytaonnceLs_e_t_t_e_r_s__o__f Profit and Loss.. _________________ __ Other Resources.. _____ -- __________ - none none none Total.. -- _______ ------_-------------.$ 279,868.26 LIABILITIES: Cavital Stock_______________________$ SUunrdoilvuids eFduPnrdo.f-i-t-s-_-_-_-_-_-_-_-_-_-----------------Reserve Funds---------------------DDiuveidteonBdsanUknsp--a-i-d--_-_-__-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks _________________ __ Certified 0 hecks.. ________________ __ Demand Devosits. ----------------Time Certificates of Devosits...... Savings Deposits------------------Letters of Credit and Accevtances executed for Customers________ __ BNiolltsesPaanyadbBleil.l.s-R--e--d-i-s-c-o--u-n-t-e--d-_-_-__--_ Other Liabilities.. ----------------- 50,000.00 50,000.00 none none none none none none 179,868.26 none none none none none none Total.. -----------------------------.$ 279,868.26 SIXTEENTH ANNUAL REPORT 47 STATEMENT Showing condition at the close of Business December 31, 1935, of the MONROE COUNTY BANK Forsyth, Ga. As called for by the Superintendent of Banks. W. C. HILL, C. F. HEARD, President. Cashier. Date of Charter: 11-!i!-1908 Began Business: 1G-15-1908 RESOURCES: Loans and Discounts--------------$ 191,112.60 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip__a_l 11,925.00 U. S. Government Securities owned----------------------------- 12,275.00 BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n_e_d_._._.._. Furniture and Fixtures___________ _ Other Real Estate owned_________ _ 3,800.00 none 1,000.00 14,297.55 Cash in Vault and amount due from approved Reserve Agents.. 55,490.51 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_ Overdrafts-_. ___________ ---- _______ _ 780.36 none none Advance on Cotton and other Commodities---------------------- none CuCsrteodmiterasnLdiAabcicleitpytaonnceLs_e_t_t_e_r_s__o_ f_ none POrtohfeirt aRnedsoLurocsess-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ - - none -no-ne Total--------------------------------$ 290,681.02 LIABILITIES: Capital Stock_______________________$ SUunrdpilvuids eFduPnrdo.f-i-t-s-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_--_ Reserve Funds_____________________ _ Due to Banks----------------------Dividends Unpaid-----------------CC earsthi fi ei erd' s CChheecckkss_-_-_-_-_-_-_-_-__- _-_-_-_-_-_-_-_-_- -_ DSTaiemvmienaCgnsderDDtiefepipcooastsietistsS_o_-_f-_-D_-_-e_-_p-_-o_-s_-i_-t_-s_-__-__-__-___--__ LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ BNiolltsesPaanydabBleil-l-s--R-e--d-i-s-c-o--u-n-t-e--d-_-_-__--_ Other Liabilities_------------------ 25,000.00 12,500.00 none none none none 1, 175.75 none 107,584.05 12,900.00 129,852.40 none none none 1,668.82 Total----- ____ -----------------------$ 290,681.02 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF FORT VALLEY Fort Valley, Ga. As called for by the Superintendent of Bank. W. E. GREENE, H. HUCKABEE, President. Vice-Pres. & Cashier. Date of Charter: 10-11-191!4 Began Business: 1G-15-19!i!4 RESOURCES: Loans and Discounts______________$ 134,656.73 StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_p__a_l U. s. Government Securities none owned----------------------------- 43,099.31 Other Stocks and Bonds owneal Capital Notes------------------- 5,000.00 Bonds owned--------------------- none Surplus l<'und __ ------------------ 3,000.00 U. S. Government Securities Oothwenr eSdt-o-c-k--s-a--n-d--B--o--n-d--s-o--w--n-e-<--L-. Banking House and Lot----------- 775.00 none 1, 700.00 RUensdeirVviedFedunPdrosf_i_t_s_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ DDiuVeidtoenBdsanUknsP--a-i-d--_-_-__-_-_-_-_-_-_-_-_-_-_-_-_-_--_ 75.04 none none none Furniture and Fixtures------------ 1,650.00 Cashier's Checks------------------- 616.78 Other Real Estate owned---------Cash in Vault and amount due 9,000.00 CDeermtiafinedd DCehveocskists--_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ none 4,954.99 from avvroved Reserve Agents.. 6,226.41 Time Certificates of Devosits_____ _ 4,456.49 Checks for Clearing and Due from SaVings Devosits ______ ------------- none other Banks---------------------Cash Items.....--------------------- none 29.03 LeetxteecrsutoefdCforerdCituastnodmAercsc_e_v__t_a_n_c_e_s_ none Overdrafts_- -----------------------Advance on Cotton and other none BNiolltsesPaanydabBleil-l_s-R--e-d--i-s-c-o-u--n-t-e-d--.-.-.-_-_ none none Commodities---------------------- none Other Liabilities._.-------------- none Customers Liability on Letters of Credit and Accevtances---------- none Profit and LOSS--------------------- none Other Resources-------------------- - -no-ne TotaL.---.---_------ .. __ ------------$ 48,103.30 Total... --.-- __ -------------------- .$ 48,103.30 56 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF ILA lla, Ga. As called for by the Superintendent of Banks. A. S. WESTBROOK. J. L. THOMPSON, President. Cashier. Date of Charter: 1Q-ll-1910 Began Business: 1Q-15-1910 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municipal Bonds owned--------------------U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e__c_u_r_i_t_i_e_s_ _ BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n__e_d_._.._ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ Cash in Vault and amount due from approved Reserve Agents._ Checks for Clearing and Due from other Banks.--------------------Cash Items-------------------------Overdrafts. __ ----------------------Advance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and Acceptances... POrtohfeirt aRnedsoLuOrcSeSs_-_--_-_-_-_-_-_-_-_--_ TotaL-------------------- ---------$ 29,727.07 none none none 2.000.00 900.00 17,375.22 16.525.24 none none 254.00 none none none none 66,781.53 LIABILITIES : Capital Stock_____ ------------------$ Surplus Fund._-------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidtoenBdsanUknsp--a-i-d--_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_--_ CCearsthifieierd'sCChheecckkss_._-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Demand Deposits-----------------STaimviengCserDtiefpicoastietss_o__f_D__e_p__o_s_i_t_S_-_-_-_-_--_ LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable._--------------------Notes and Bills Rediscounted..... Other Liabilities._----------------- 15,000.00 15,301.22 none none none none none none 18,803.42 17,676.89 none none none none none TotaL __________________ -- __________ .$ 66,781.53 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF JONESBORO Jonesboro, Ga. As called for by the Superintendent of Banks. ELIZABETH M. BLALOCK, J. B. PULLIAM, President. Cashier. Date of Charter: 10-6-1903 Began Business: 11-7-1903 RESOURCES: Loans and Discounts.. ____________$ 106,503.36 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n__ic__i_p_a_l none U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ 52,016.38 BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n__e_d_._.._ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ 10,500.00 1,500.00 1,500.00 38,184.90 Cash in Vault and amount due from approved Reserve Agents.- 147,452.06 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_ Overdrafts. ______________________ --- none 14.93 none Advance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and Acceptances_________ _ 3,440.07 none POrtohfeirt TotaL aRnedsoLuorcsess-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ _______________________________ - $ none - -no-ne 361,111.70 LIABILITIES: Capital Stock______________________ .$ Surplus Fund_____________________ _ Undivided Profits-----------------RDeuseertvoeBFaunnkdss_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_--_ Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks______ -------------Demand Deposits.. ---------------Time Certificates of Deposits-----Savings Deposits------------------Letters of Credit and Acceptances executed for Customers_________ _ Bills Payable. __ -------------------Notes and Bills Rediscounted----Other Liabilities.------------------ 25,000.00 25,000.00 35.03 482.22 none none 201.33 none 206,226.41 none 104,166.71 none none none none TotaL _____________ -----------------.$ 361,lll. 70 SIXTEENTH ANNUAL REPORT 57 STATEMENT Showing condition at the close of Business December 31, 1935, of the FARMERS & MERCHANTS BANK Junction City, Ga. As called for by the Superintendent of Banks. C. W. MOORE, W. A. BLYTHE, President. Cashier. Date of Charter: 3-23-1912 Began Business: 4-3-1912 RESOURCES: Loans and Discounts.-------------$ 23,528.79 State of Georgia and Municioal Bonds owned------------------- none U. S. Government Securities owned----------------------------- none Other Stocks and Bonds owned... 700.00 Banking House and Lot.......... . 1,000.00 Furniture and Fixtures........... . 1,200.00 Other Real Estate owned......... . 1.382.39 Cash in Vault and amount due from aooroved Reserve Agents.. 50,431.79 Checks for Clearing and Due from other Banks...................... 119.82 Cash Items...... --- ............... .. 88.09 Overdrafts.. ________ ... ------------- none AdCvoamncmeodoitniesC..o..tt_o__n___a__n_d____o_t_h__er_ 860.12 Customers Liability on Letters of Credit and Acceotances.......... none Profit and Loss..................... none Other Resources.................... 500.00 ---- Total................................$ 79,811.00 LIABILITIES: Caoital Stock.......................$ Surolus Fund... ------------------Undivided Profits.................. Reserve Funds............... ------Due to Banks....................... Dividends Unoaid............ ---- .. Cashier's Checks................... Certified Checks.................... Demand Deoosits.. ---------------Time Certificates of Deoosits...... Savings Deoosits................... Letters of Credit and Acceotances executed for Customers.......... Bills Payable........ --------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 15,000.00 15,000.00 1,197.22 none none none 157.19 none 29,792.24 18,664.35 none none none none none TotaL ...... ---- .... ------------- ..$ 79,811.00 STATEMENT Showing condition at the close of Business December 31, 1935, of the KENNESAW STATE BANK Kennesaw, Ga. As called for by the Superintendent of Banks. J. G. LEWIS, L. C. CHALKER, President. Cashier. Date of Charter: 4-20-1910 Began Business: 3-1910 RESOURCF..S: Loans and Discounts..............$ State of Georgia and Municioal Bonds owned..................... U. S. Government Securities owned----------------------------Other Stocks and Bonds owned... Banking House and Lot........... Furniture and Fixtures............ Other Real Estate owned.......... Cash in Vault and amount due from aooroved Reserve Agents.. Checks for Clearing and Due from other Banks.................... .. Cash Items........................ .. Overdrafts............ __ .......... .. Advance on Cotton and other Commodities....... _............. _ Customers Liability on Letters of Credit and Acceptances.......... Profit and Loss................... .. Other Resources.................. .. TotaL ------------ .................$ 33,609.50 none none none 3,500.00 2,222.68 3,189.00 8,078.68 none none 85.07 3,500.00 none none none 54,184.91 LIABILITIES: Capital Stock.......................$ Surolus Fund........ __ .......... . Undivided Profits................. . Reserve Funds...... --------------Due to Banks...................... . Dividends Unoaid................ .. Cashier's Checks................... Certified Checks.................... Demand Deoosits...............--. Time Certificates of Deposits...... Savings Deoosits............... .. Letters of Credit and Acceotances executed for Customers.......... Bills Payable..... -------- .. -------Notes and Bills Rediscounted.... . Other Liabilities ................. . 15,000.00 none 4,608.03 530.50 none none 2.75 none 12,787.88 21,255.75 none none none none none TotaL .... 54,184.91 58 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the STATE BANK OF KINGSLAND Kingsland, Ga. As called for by the Superintendent of Banks S. C. SHEFFIELD, F. T. TILLER, President. Cashier. Date of Charter: 11-26-1912 Began Business: 1!l-lo-19U RESOURCES: Loans and Discounts..............$ 35,636.16 State of Georgia and MuniciDal Bonds owned--------------------- none U. S. Government Securities owned............................ none Other Stocks and Bonds owned-- none Banking House and Lot.......... . l, 700.00 Furniture and Fixtures............ 1,300.00 Other Real Estate owned.......... 782.89 Cash in Vault and amount due from approved Reserve Agents.. 49,348.01 Checks for Clearing and Due from other Banks................ none Cash Items........................ none Overdrafts ......................... . 19.60 Advance on Cotton and other Commodities...................... none Customers Liability on Letters of Credit and Acceptances.......... none Profit and Loss..................... none Other Resources.................. ..- - -no-ne TotaL...............................$ 88,786.66 LIABILITIES: Capital Stock.......................$ 15,000.00 Surplus Fund...................... 9,000.()() Undivided Profits....... 1,265.41 Reserve Funds....... none Due to Banks....................... none Dividends Unpaid.................. none Cashier's Checks.......... 23.39 Certified Checks......... none Demand Deposits........... 49,001.08 Time Certificates of Deposits.. none Savings Deposits.......... 14,448.37 Letters of Credit and Acceptances executed for Customers...... none Bills Payable....................... none Notes and Bills Rediscounted... none Other Liabilities................... 48.41 Total................................$ 88,786.66 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF LAFAYETTE LaFayette, Ga. As called for by the Superintendent of Banks. W. A. ENLOE, C. C. GILBERT, President. Cashier. Date of Charter: 11-13-1889 Began Business: 1899 RESOURCES: Loans and Discounts..............$ 285,596.99 State of Georgia and Municipal Bonds owned..................... 20,055.56 U. S. Government Securities owned............... __ ._ ......... . 72,833.40 Other Stocks and Bonds owned... 27,992.43 Banking House and Lot......... .. 28,790.22 Furniture and Fixtures........... . 5,000.00 Other Real Estate owned.......... 90,743.35 Cash in Vault and amount due from approved Reserve Agents.. 231,576.82 Checks for Clearing and Due from other Banks..................... . 10,000.00 Cash Items.......................... none Overdrafts................. --.-- .... 401.71 Advance on Cotton and other Commodities..................... . none Customers Liability on Letters of Credit and Acceptances.......... none Profit and Loss..................... none Other Resources....................- - -877-.99 Total................................$ 773,868.47 LIABILITIES: Capital Stock.......................$ Surplus Fund...................... Undivided Profits........ _________ _ Reserve Funds-----------------DDiuveidtoenBdas nUknsp..a.i.d.._._._._.__._._._._._._._._._._._. ._ Cashier's Checks........ __________ _ Certified Checks------------- Demand Deposits------- Time Certificates of Deposits...... Savings Deposits................... Letters of Credit and Acceptances executed for Customers.......... Bills Payable....................... Notes and Bills Rediscounted..... Other Liabilities................... 50,000.00 15,000.00 12,309.95 none none none 719.89 none 385,033.64 127,527.46 183,277.53 none none none none Total.... ------------------$ 773,868.47 SIXTEENTH ANNUAL REPORT 59 STATEMENT Showing condition at the close of Business December 31, 1935, of the FARMERS & MERCHANTS BANK Lakeland, Ga. As called for by the Superintendent of Banks. W. L. MILLER, W. C. BA~KS, President. Cashier. Date of Charter: 4-18-1907 Began Business: 1907 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_i>__a_l U. S. Government Securities Oot hwenr eSdt-o-c-k- -s- -a-n-d- - -B-o- -n-d- -s- -o-w- -n-e-c-L- -_-_ Banking House and Lot----------FOuthrneirtRureealaEnsdtaFtiextouwrense-d--_-_-_-__-_-_-_-_--_ Cash in Vault and amount due from approved Reserve Agents._ Checks for Clearing and Due from CaosthheIrteBmasnk..s____-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Overdrafts __ -----------------------Advance on Cotton and other Commodities.--------------------Customers Liability on Letters of Credit and Acceptances__________ Profit and LOSS--------------------Other Resources-------------------- 66,174.14 5,000.00 none none 2,167.00 2, 700.00 16,862.05 78,057.19 none none 61.20 none none none 189.95 TotaL.-------------------------------$-17-l-.2-11-.5-3 LIABILITIES: Capital Stock-----------------------$ Capital Notes----------------------Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid.----------------Cashier's Checks------------------Certified Checks-------------------TDiemmeaCnderDtifeipcoatseistSo-f--D--e-p--o-s-i-t-s-_-_-_-__--_ Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable----------------------Notes and Bills Rediscounted----Other Liabilities------------------ 25,000.00 20,000.00 1,000.00 1,424.99 none none 30.00 1,496. 71 none 84,355.46 34,477.11 3,427.26 none none none none TotaL-------------------------------$ 171,211.53 STATEMENT Showing condition at the close of Business December 31, 1935, of the LAKE PARK BANK Lake Park, Ga. As called for by the Superintendent o: Banks. EWELL BROWN, EWELL BROWN, President. Cashier. Date of Charter: 1-22-1906 Began Business: 3-1906 RESOURCES: Loans and Discounts--------------$ 18,866.19 State of Georgia and Municipal U.Bosn.ds owned--------------------Government Securities none BOaothnweknrienSdgt-oH-c-ko--su-s-ae-n-ad--n-Bd-o-L-n-od--ts-_-_o_-w_-_-n_-e_-c_-L_-_-__-_ none none 2,000.00 FOuthrneirtRureealaEndstFatiextouwrense-d--_-_-_-_-_-_-__-_--_ 1,500.00 3,298.21 Cash in Vault and amount due from approved Reserve Agents__ 6,868.92 Checks for Clearing and Due from CaosthheItreBmasn_k__s_________-_-_-_-_-_-_-_-_-__-_-_-_-________ __ none 86.85 Overdrafts_------------------------- 11.07 Advance on Cotton and other Commodities---------------------- none CuCsrteodmiterasnLdiAabcicleitpytaonnceLs_e_t_t_e_r_s__o_ f_ none - - - - POrtohfeirt RanedsoLurOcSesS_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_-_-_--_ 192.63 none TotaL-------------------------------$ 32,823.87 LIABILITIES: CSuarpoitluals SFtuonckd-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-____________$ Undivided Profits _________________ _ Reserve Funds---------------------DDiuveidteonBdsanUknsp--a-i-d--_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ CCearsthifiieerd'sCChheecckkss_-_-_-__-_-_-_-_-_--------------------STDaiemvmienagCnsdeDrDtiefepipcoaostisetissts_o_-_f-_-D_-_-e_-p_-_-o_-s_-i_-t_-s_-__-__-___-__--__ LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__ta__n_c_e_s_ BNioltlessPaanydabBleil-l-s--R-e--d-i-s-c-o--u-n-t-e--d-_-_-__--_ Other Liabilities ___ ---------------- 15,000.00 3, 770.21 17.11 none none none none none 12,24-3.08 1, 793.47 none none none none none Total---- _____ ----------------------$ 32,823.87 60 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BRAND BANKING CO. Lawrenceville, Ga. As called for by the Superintendent of Banks. R. SMITH, H. G. HUTCHINSON, President. Cashier. Date of Charter: 6-2-1905 Began Business: 7-17-1905 Rl!.SOURCES: Loans and Discounts ______________$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip__a_l U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n__e_d_._.._ Furniture and Fixtures___________ _ Other Real Estate owned._ Cash in Vault and amount due from approved Agents----------Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_--_ Overdrafts.---------------------- -AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__er_ Customers Liability on Letters of PrCorfeitdaitnadnLdoAssc_c_e__p_t_a_n_c__e_s_____________ Other Resources________________ _ Total.... _______ --.----- _______ .- .. --$ 132,122.04 44,436.28 96,225.00 46,917.60 none 2,130.00 33,650.73 177,583.25 2,693.95 none 6.56 none none none 792.06 536,557.47 LIABILITIES: Capital Stock... ______ -------- ____ ..$ USunrdpivluidseFduPnrdo.f_i_t_s _-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Reserve Funds---------------------DDiuveidteonBdsanUknsp--a-i-d--_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ Cashier's Checks __________________ _ Certified Checks___________________ _ Demand Deposits-----------------TSaimvienCgserDtiefpicoastietss_o__f_D__e_p__o_s_i_t_s_.________ __ Letters of Credit and Acceptances executed for Customers_________ _ Bills Payable.---------------------Notes and Bills Rediscounted____ _ Other Liabilities __ ----------------- 50,000.00 50,000.00 5.181. 68 none none 1.000.00 440.16 none 204,546.33 none 225.389.30 none none none none Total------------------ ----------- .$ 536,557.47 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF LENOX Lenox, Ga. As called for by the Superintendent of Banks. J. D. ROBINSON, R H. ROBINSON, President. Cashier. Date of Charter: 6-2o--1907 Began Business: 6-25-1907 RESOURCES: Loans and Discounts ______________ $ State of Georgia and Municipal U.Bo wosnn.de sdG.o_ow__vn_e_er_dn__-m_- _-e_-n_-_-t _-_-_S-_-e_-c_-_-u_-r_-i_-t_-i_e-_-s_- -_ Other Stocks and Bonds owned... BFuarnnkiitnugreHaonudseFaixntdurLeos_t-_-_-__-_-_-_-_-_-_--_ Other Real Estate owned_________ _ Cash in Vault and amount due from approved Reserve Agents._ Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--. Overdrafts. ________________ --------Advance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and Acceptances____ _ Profit and Loss______________ _ Other Resources___________ _ Total--------- --$ 57,523.47 none none none 1.000.00 1,100. 00 5,970.08 81,242.26 557.59 none 8.61 none none none 102.62 147,504.63 LIABILITIES: Capital Stock______________________ .$ Surplus Fund---------------------Undivided Profits-----------------RDeuseertvoeBFaunnkdss.-.-.-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_ Dividends Unpaid_________________ _ Cashier's Checks __________________ _ Certified Checks___________________ _ Demand Deposits.. ---------------Time Certificates of Deposits_____ _ Savings Deposits__________________ _ Letters of Credit and Acceptances executed for Customers---------BNiolltsesPaanydabBleil.l-s-R--e-d-i-s-c-o--u-n--te--d-_-_-_-_-_ Other Liabilities _----------------- 25,000.00 2.200.00 1.988.90 none none 1.000.00 795.55 171.93 57.261.50 59.086.75 none none none none none Total .. ------------------------------$ 147,504.63 SIXTEENTH ANNUAL REPORT 61 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BANK OF LESLIE Leslie, Ga. As called for by the Superintendent of Banks. E. B. WALLACE, W. T. ANDERSON, President. Vice- Pres.- Cashier. Date of Charter: 2-4-1905 Began Business: 1905 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municii>al Bonds owned--------------------U. S. Government Securities OothwenreSdt-o-c-k--s--a-n--d--B--o-n-d--s--o-w--n-e-d--..-.-. BFuanrnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ Other Real Estate owned_________ _ Cash In Vault and amount due from aiJIJroved Reserve Agents.. Checks for Clearing and Due from other Banks---------------------COavsehrdIrtaefmtss.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.--. AdCvoamncmeodoitniesC..o..t_to__n___a__n_d____o_t_h__e_r CuCsrteodmiterasnLdiAabcicleitiJytaonnceLs.e_t_t_e_r_s__o_ f_ POrtohfeirt RanesdouLro.csess-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ TotaL---------------------------- ..$ 22,475.60 22,000.00 none 2,000.00 4,500.00 2,375.00 3,250.00 85,526.34 none .50 none none none none 620.96 142,748.40 LIABILITIJLS: CSuariiJ>itlauls SFtuonckd-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_$ Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends UniJaid-----------------CCearsthifiieerd'sCChheecckkss_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ Demand DeiJosits-----------------Time Certificates of DeiJosits-----Savings DeiJosits------------------Letters of Credit and AcceiJtances executed for Customers---------Bills Payable._.-------------------Notes and Bills Rediscounted----Other Liabilities.. _---------------- 25,000.00 12,500.00 3, 708.21 none none none 666.47 none 91,966.45 8,907.27 none none none none none TotaL------------------------------$ 142,748.40 STATEMENT Showing condition at the close of Business December 31, 1935, of the FARMERS STATE BANK Lincolnton, Ga. As called for by the Superintendent of Banks. JAS. H. BOYKIN, H. B. PITT, President. Cashier. Date of Charter: 9-26-1911 Began Business: 12-2-1911 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_i>__a_l U.owSn.edG__o__v_e_r_n__m__e_n_t____S_e_c__u_r_i_t_ie__s_ _ BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n_e__d_._.._. FOuthrneirtRureealaEndstFatiextouwrense-d--_-_-_-_-__-_-_-_--_ Cash in Vault and amount due from aiJIJroved Reserve Agents._ Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_--_ Overdrafts._-------------------- ___ _ AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r CuCsrteodmiterasnLdiAabcicleiitJytaonnceLs_e_t_t_e_r_s__o_ f_ POrtohfeirt aRnedsoLuorcsess-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ 55,011.97 5, 705.50 44,017.66 1,200.00 4,500.00 1,500.00 2,066.00 102,119.60 24,940.91 565.89 253.32 2,628. 29 none none none Total--------------------- ___ --------$ 244,509.14 LB. BILITIES: CaiJital Stock_______________________ $ Suri>lUS Fund.--------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidtoenBdsanUknsp--a-i-d--_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ Cashier's Checks__________________ _ Certified Checks___________________ _ TDiemmeaCnedrDtifeipcaotseistso-f--D--e-p--o-s-i-t-s-_-_-__-_--_ Savings Deposits------------------LeetxteercsutoefdCfroerdCituastnodmAercsc_e_p__t_a_n_c_e_s_ Bills Payable __ --------------------Notes and Bills Rediscounted____ _ Other Liabilities.. ----------------- 25,000.00 15,000.00 8,000.00 2,831.22 2,500.00 2,000.00 551.50 none 115,409.55 27.333.07 45,883.80 none none none none Total_________ _ ------------$ 244.509.14 62 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 3I, I935, of the THE PEOPLES BANK Lithonia, Ga. As called for by the Superintendent of Banks. I. M. STARR I. M. STARR, President. Cashier. Date of Charter: 8-26-1910 Began Business: 1910 RESOURCES: Loans and Discounts..------------$ 51,567.84 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_i>__a_l none U.owSn.edG__o__v_e_r_n__m__e_n__t__S__e_c_u__r_i_ti_e__s__ 43,069.82 Other Stocks and Bonds owned__ none Banking House and Lot----------- 4,000.00 Furniture and Fixtures.----------- 500.00 Other Real Estate owned---------- 1,080.25 Cash in Vault and amount due from avvroved Reserve Agents.- 68,664.55 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_--_ none none AOdCvveoarmndcmraeoftdsoi.tn_ie-s-C.-_-o_-t_-t_-o_-_-n_-_-_-a_-_n-_-d_-_-_-_o-_-t_-h_-_e--_r none none - - - - CuCsrteodmiterasnLdiAabcicleitvytaonnceLs_e_t_t_e_r_s__o_ f_ POrtohfeirt aRnedsoLuorcsess_______________________________________ __ none none none Total--------------------------------$ 168,882.46 LIABILITIES: Cavital Stock-----------------------S Survlus Fund---------------------RUensdeirVveidFedunPdrosf_i_t_s_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_--_ DDiuVeidtoenBdsanUknsv--a-i-d--_-__-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ CCearsthifieierd'sCChheecckkss_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_--_ DTiemmeaCnedrDtifeivcoasteitss.o.f-D--e-v--o-s-i-t-s-_-_-_-__--_ SaVings Devosits------------------Letters of Credit and Accevtances executed for Customers---------Bills Payable.---------------------Notes and Bills Rediscounted----Other Liabilities._----------------- 25,000.00 20,000.00 3,225.37 none none 2,000.00 7.50 none 79,977.18 31,183.90 7,488.51 none none none none Total.. ------------------------------$ 168,882.46 STATEMENT Showing condition at the close of Business December 3I, I935, of the THE FARMERS BANK Locust Grove, Ga. As called for hy the Superintendent of Banks. W. E. PARR, H. C. CHILDS, President. Cashier. Date of Charter: 1-3-1910 Began Business: 1-1910 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_i>__a_l U. s. Government Securities 17,315.55 none Oot hwenr eSdt-o-c-k--s-a--n-d---B--o-n-d--s--o-w--n-e--d-.-.-. none none Banking House and Lot----------- 1,350.00 FOuthrneirtRureealaEndstaFtiextouwrense.d--_-_-_-_-_-__-_-_--_ 400.00 1,200.00 Cash in Vault and amount due from avvroved Reserve Agents.. 65.921.25 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_--_ none none Overdrafts.. ------ __________ .. -----_ none AdCvoamncmeodoitniesC. _o_t_t_o__n___a__n_d____o_t_h__e_r 1, 431.61 CuCsrteodmiterasnLdiAabcicleitvytaonnceLs_e_t_t_e_r_s__o_ f_ none POrtohfeirt RanesdoLurOcSesS_-_-_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_--_ - - rione -no-ne Total--------------------------------$ 87,618.41 LIABILITIES: Cavital Stock_______________________$ Survlus Fund.. -------------------Undivided Profits.----------------RDeuseertvoeBFaunnkdss_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Dividends UniJaid. ________________ _ CCearsthifiieerd'sCChheecckkss_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Demand Devosits-----------------Time Certificates of Devosits...... SaVings Devosits------------------Letters of Credit and Accevtances executed for Customers---------Bills Payable... -------------------Notes and Bills Rediscounted..... Other Liabilities._----------------- 15,000.00 3,000.00 2,221.85 none none 2.50 74.80 none 67,319.26 none none none none none none Total... --.------------------------ ..$ 87,618.41 SIXTEENTH ANNUAL REPORT 68 STATEMENT Showing condition at the close of Business December 31, 1935, of the FARMERS STATE BANK Lumpkin, Ga. As called for by the Superintendent of Banks. E. L. CARTER, A. T. FORT, President. Cashier. Date of Charter: 1G-ft1-1911 Began Business: 12-1911 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municii>al Bonds owned--------------------U. S. Government Securities owned----------------------------Other Stocks and Bonds owneI>roved Reserve Agents.Ohecks for Olearing and Due from other Banks---------------------Oash Items-------------------------Overdrafts.. ___ ---------_----------Advance on Cotton and other CuCCsorteomdmmiteorasdniLdtiieAasbc-ic-l-ei-it>-y-t-ao-n-nc-e-Ls--_e-_t-_t-_e_-r_-s_-_-o_--_f Profit and LOSS--------------------Other Resources.------------------- Total---.-----------------------------$ 84,000.32 none 28,129.62 28,254.50 none 6,853.80 13,600.74 88,987.93 none none none 26,292.93 none none none 276, 119.84 LIABILITIES: Oai>ital Stock-----------------------S Oai>ital Notes. -------------------SUII>lus Fund.. -------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidteonBdsanUknsi->-a-i-d--_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ OasWer's Ohecks------------------Certified Checks-------------------TDiemmeaCnderDtifeiic>aOteSsitoSf--D--e-i->-o--s-i-ts--__-_-_-_--_ Savings Dei>OSitS------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_i_>_t_a_n_c__es_ BNiolltsesPaanydabBleil.l-s--R-e--d-i-s-c-o--u-n-t-e--d-_-_-__--_ Other Liabilities.. ----------------- 28,000.00 22,000.00 12,000.00 325.83 6,222.89 none none 1,202.95 12.00 150,713.36 49,330.61 6,312.20 none none none none Total--------------------------------$ 276,119.84 STATEMENT Showing condition at the close of Business December 31, 1935, of the LUTHERSVILLE BANKING CO. Luthersville, Ga. As called for by the Superintendent of Banks. E. C. NORRIS, L. W. McKOON, President. Cashier. Date of Charter: 1G-11-1905 Began Business: 8-3-1906 RESOURCES: Loans and Discounts ______________$ 35,871.75 StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_i>__a_l none U. S. Government Securities OothwenreSdt-o-c-k--s--a-n--d--B--o-n-d--s--o-w--n-e--<-L--. 425.00 none BFuanrnkiitnugreHaonudseFaixntdurLeos_t-_-_-__-_-_-_-_-_-_--_ Other Real Estate owned_________ _ 1, 700.00 949.00 10,995.47 Oash in Vault and amount due from ai>I>roved Reserve Agents.. 19,986.79 Ohecks for Clearing and Due from CaosthheItreBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Overdrafts. __ .-- _____ ----- _____ -_--- none none 404.69 Advance on Ootton and other Commodities---------------------- 282.67 CPruOosrfteoitdmaitenradsnLLdoiAasbsc_ic_lei_it_>y_t_ao_n_nc__eL_s__e__t__t__e__r__s____o__ f__ Other Resources___________________ _ - - none none -no-ne Total... ------------.----------------$ 70,615.37 LIABILITIES: Cai>ital Stock------------------- ....$ Suri>lus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidteonBdsanUknsi->--a-i-d---------------------------_-__-_--_ CasWer's Ohecks------------------Oertified Ohecks-------------------DTiemmeaCnderDtifeiic>aOteSsitoSf--D--e-i->-o--s-it-s-_-_-_-_-_--_ Savings Dei>Osits----- -------------Letters of Oredit and Accei>tances executed for Customers---------BNiolltsesPaanyadbBleil.l-s--R--e-d-i-s-c-o--u-n-t-e--d-_-_-__--_ Other Liabilities... ---------------- 25,000.00 1,373.06 none 1, 706.97 none none 176.76 none 33,989.99 8,363.59 none none none none none Total.. ______ -.---.----.-.--.---.-- ..$ 70,615.37 64 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, on the THE PEOPLES BANK Lyons, Ga. As called for by the Superintendent of Banks. WM. A. ESTROFF, W. T. CHINA. President. Cashier. Date of Charter: 5-4-1935 Began Business: 6-1-1935 RESOURCES: Loans and Discounts______________$ State of Georgia and Municipal U.BoSn.dsGoowvneerdn-m--e-n-t---S--e-c-u--r-i-ti-e-s--- owned----------------------------Other Stocks and Bonds owne__t_a_n_c__es,_-__--_-_-_-_-_-_- nnoonnee Other Resources____________________ 4,675.50 ---- TotaL------------------------------$ 666,127.90 LIABILITIES: Cai>ital Stock_______________________ $ Suri>lus Fund---------------------Undivided Profits-----------------DReuseertvoeBFaunnkdss_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ CDaivsihdieenr'dssCUhneic>kasi_d_._-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks___________________ _ Demand Dei>osits _________________ _ Time Certificates of Deposits-----Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_i_>_t_a_n_c__es_ Bills Payable__ --------------------Notes and Bills Rediscounted----Other Liabilities._----------------- 50,000.00 100,000.00 8.823.32 none none 5,425.00 1,673.46 none 265,948.21 83,569.57 137,678.14 none none none 13,010.20 Total--------------------------------$ 666,127.90 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE CITIZENS BANK Marshallville, Ga. As called for by the Superintendent of Banks. C. C. HASLAM, C. C. HASLAM, President. Cashier. Date of Charter: 12-24-1906 Began Business: 1-1-1907 RESOURCES: Loans and Discounts ______________$ 81,737.16 State of Georgia and Municii>al Bonds owned--------------------- U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ none 3,450.00 Other Stocks and Bonds owned.... Banking House and Lot----------Furniture and :nxtures-----------Other Real Estate owned---------Cash in Vault and amount due from aiJprovlld Reserve Agents-. none 3,669. 00 855.00 7,666.00 62,986.76 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_ Overdrafts________________ ---------- 154.41 none 9.15 AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r none Customers Liability on Letters of Credit and Accei>tances---------- none Profit and Loss--------------------- none Other Resources--------------------- - -177-.43 Total--------------------------------$ 160,704.91 LIABILITIE.S; Cai>ital Stock-----------------------$ Suri>lus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Uni>aid-----------------Casbier's Checks------------------Certified Checks-------------------TDiemmeaCnedrDtifeipcoatseistso--f-D--e-i->-o-s-i-t-s-_-_-_-__--_ Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_i_>_t_a_n_c__es_ BNiolltsesPaanydabBleil-l-s--R-e--d-i-s-c-o--u-n-t-e--d-_-_-__--_ Other Liabilities-_--------------- __ 18,000.00 30,000.00 15,282.01 none none 354.00 l, 150.79 none 55,821.76 507.50 39,588.85 none none none none Total-_------------------------------* 160,704.91 SIXTEENTH ANNUAL REPORT 67 STATEMENT Showing condition at the close of Business December 31, 1935, of the GEORGIA BANKING COMPANY Marshallville, Ga. As called for by the Superintendent of Banks. J. C. WALKER, JOHN C. WALKER, JR., President. Cashier. Date of Charter 9-19-1910 Began Business: 9-27-1910 RESOURCES: Loans and Discounts--------------$ 42,284.60 StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_l>__a_l none U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ none Other Stocks and Bonds owneal U.Bosn.dsGoowvneerdn.m--e-n--t--S--e-c-u--r-i-ti-e-s--- none owned---------- ___ ---------------- 52,125.75 Other Stocks and Bonds owned... none Banking House and Lot----------- 7,300.00 Furniture and Fixtures------------ 1,000.00 Other Real Estate owned---------- none Cash in Vault and amount due from approved Reserve Agents.- 75,551.07 Checks for Clearing and Due from other Banks---------------------- none Cash Items-------------------------- none Overdrafts.------------------------- none Advance on Cotton and other Commodities_______ --- __ ---------- 4,915.10 Customers Liability on Letters of Credit and Acceptances---------- none - - - - - Profit and LOSS--------------------- Other Resources-------------------- none none Total.------------------------------.$ 180,791.29 LIABILITIES: Capital Stock-----------------------S Surplus Fund---------------------Undivided ProfitS-----------------ReservP Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks.-----------------Certified Checks-------------------Demand Deposits.----------------Time Certificates of Deposits-----Savings Deposits------------------LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c_e_s_ Bills Payable.---------------------Notes and Bills Rediscounted----Other Liabilities.. ----------------- 25,000.00 5,000.00 1,368.10 200.00 none none 3,037.14 none 146,186.05 none none none none none none TotaL----- __ -______________________ .$ 180,791.29 SIXTEENTH ANNUAL REPORT 69 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF MILAN Milan, Ga. As called for by the Superintendent of Banks, J. M. COOK, D. R. NEWTON, President. Cashier. Date of Charter: 12-5-1906 Began Business: 12-1906 RESOURCES: Loans and Discounts--------------$ 23,971.34 State of Georgia and Municipal Bonds owned.-------------------U. S. Government Securities none BOaothnweknrienSdgt-oH-c-ko--su-sa-e-n-ad--n-Bd-o-L-n-od--ts-_-_o-_w_-_-n_-e_-_d-_-._.-.-_. 14,478.12 3,097.51 6,000.00 FOuthrneirtRureealaEnsdtaFtiextouwrense-d--_-__-_-_-_-_-_-_--_ Cash in Vault and amount due from approved Reserve Agents._ Checks for Clearing and Due from 1,200.00 7,860.00 60,013.25 other Banks---------------------Cash Items-------------------------Overdrafts.. ------------------ __ ---Advance on Cotton and other none none none Commodities---------------------CuCsrteodmiterasnLdiAabccileipttyanocens_L__e_tt_e_r_s__o_f 3,341.61 none Profit and Loss--------------------- none - - - - Other Resources-------------------- 101.42 Total----------------.---------------$ 120,063.25 LIABILITIES: Capital Stock-----------------------$ Capital Notes----------------------SUunrdpilvuisdeFduPnrdo.f.it-s--_-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_--_ Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------CCearsthifiieerd'sCChheecckkss_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_--_ Demand Deposits-----------------TSiamvienCgserDtiefpicoastietss _o_f__D__e_p__o_s_i_t_S_-_-_-_-_--_ LeetxteercsutoefdCfroerdCituastnodmAercsc_e_p__ta__n_c_e_s_ BNiolltsesPaanyadbBleil-l-s--R-e--d-i-s-c-o--u-n--te--d-_-_-_-_-_ Other Liabilities._----------------- 15,000.00 7,500.00 1,500.00 126.65 none none none 115.73 none 72,078.20 23,742.67 none none none none none Total--------------------------------$ 120,063.25 STATEMENT Showing condition at the close of Business December 31, 1935, of the EXCHANGE BANK Milledgeville, Ga. As called for by the Superintendent of Banks. OTTO M. CONN, H. G. BANKS, President. Cashier. Date of Charter: 5-iW-1908 Began Business: 6-1908 Rl.SOURCES: Loans and Discounts--------------$ State of Georgia and Municipal Bonds owned--------------------U. S. Government Securities Oot hwenr eSdt.o-c- -k-s- -a-n- -d- -B- -o-n-d- -s- -o-w- -n-e-d- -..-.-. Banking House and Lot----------Furniture and Fixtures-----------Other Real Estate owned---------Cash in Vault and amount due from approved Reserve Agents.Checks for Clearing and Due from other Banks---------------------Cash Items______ -------------------Overdrafts._------ __ ---------------Advance on Cotton and other Commodities---------------------CuCsrteodmiterasnLd iAabcicleitpytaonnceLs _e_t_t_e_r_s__o_ _f Profit and LOSS-------'------------Other Resources-------------------Total---------------------- ______ ----$ 351,749.40 3,992. 76 72,910.80 13,508.12 none 2, 737.13 36,867.65 191,001.97 6,389.60 539.76 213.28 7,503.88 none none 37,046.65 724,461.00 LIABILITIES: Capital Stock-----------------------$ Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------CDaivsihdieenr'dssCUhnepckasid__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks___________________ _ Demand DepositS-----------------Time Certificates of Deposits-----Savings Deposits------------------LeetxteercsutoefdCfroerdCituastnodmAercsc_e_p__t_a_n_c_e_s_ BNiolltsesPaanydabBleil-l-s--R-e--d-i-s-c-o--u-n-t-e-d--_-_-__--_ Other Liabilities. __ ---------------- 100,000,00 60,000.00 6, 724.64 8,086.19 none 530.67 978.10 none 548,141.40 none none none none none none TotaL------------------------------$ 724,461.00 70 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the THE MERCHANTS & FARMERS BANK Milledgeville, Ga. As called for by the Superintendent of Banks. MARION H. ALLEN, L. C. HALL, President. Cashier. Date of Charter: 3-22-1898 Began Business: 8-1898 RESOURCES: Loans and Discounts______________ $ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_p__a_l U. S. Government Securities OothwenreSdt-o-c-k--s--a-n--d--B--o-n-d--s--o-w--n--e-d-_-_Banking House and Lot----------FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-_-__-_-_-_--_ Cash in Vault and amount due from approved Reserve Agents __ Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------AOdvvearndcreaftos-n---C--o-t-t-o--n---a-n--d---o--t-h-e--r 315,948.23 none 9,625.00 none 9,467.61 5,]09.64 45.490.18 97,535.19 4,479. 92 321.55 none Commodities---------------------Customers Liability on Letters of Credit and Acceptances__________ Profit and Loss_____________________ none none none Other Resources--------------------- - -516-.60 Total------------------------ ________$ 488,493.92 LIABILITIES: Capital Stock-----------------------$ Surx>lus Fund---------------------Undivided Profits-----------------RDeuseertvoeBFaunnkdss_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ Dividends Unpaid-----------------CCearsthifieierd'sCChheecckkss_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_--_ DTiemmeaCnedrDtifeipcoatseitsSo-f--D--e-p--o-s-i-t-s-_-_-__-_--_ Savings Deposits------------------Letters of Credit and Acceptances executed for Customers---------BNiolltsesPaanyadbBleil-l-s--R-e--d-i-s-c-o--u-n-t-e--d-_-_-__--_ Other Liabilities------------------- 80,000.00 80,000.00 6,298.85 3,443.44 none 3,200.00 162.4.3 none 315,389.20 none none none none none none Total_________ -__ -------- ___ -- ___ ----$ 488,493.92 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE MILLEDGEVILLE BANKING COMPANY Milledgeville, Ga. As called for by the Superintendent of Banks. MILLERS. BELL, MILLER R. BELL, President. Asst. Cashier. Date of Charter: 9-13-1874 Began Business: 11-13-1884 Rl'.SOURCES: Loans and Discounts ______________$ 480,016.69 State of Georgia and Municipal Bonds owned--------------------- 106,130.30 U. S. Government Securities OothwenreSdt-o-c-k--s--a-n--d--B--o-n-d--s--o-w--n-e-d------- 50,250.00 7,000.00 Banking House and Lot----------- 2,272.55 Furniture and Fixtures------------ 1.00 Other Real Estate owned---------- 37,222.00 Cash in Vault and amount due from approved Reserve Agents__ 603,188.12 Checks for Clearing and Due from other Banks---------------------- 11,079.53 Cash Items-------------------------Overdrafts-------------------------- none 830.32 AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__er_ none Customers Liability on Letters of Credit and Acceptances---------- none Profit and LOSS--------------------- none Other Resources--------------------- - -no-ne Total----------- _____________________$ 1, 297,990.51 LIABILITIES: Capital Stock_______________________ $ 50,000.00 Surplus Fund-_-------------------- 100,000.00 Undivided Profits------------------ 51,211.00 Reserve Funds---------------------- 18,000.00 Due to Banks----------------------Dividends Unpaid------------------ none 533.60 Cashier's Checks------------------- 5,121. 54 CDeermtiafinedd DCehpeocskist-s-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ none 1,073,124.37 Time Certificates of Deposits------ none Savings DepositS------------------- none LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ none BNiolltsesPaanydabBleil-l-s--R-e--d-i-s-c-o--u-n--te--d-_-_-_-_-_ none none Other Liabilities------------------- none Total________________________________$ 1,297,990. 51 SIXTEENTH ANNUAL REPORT 71 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF MILLEN Millen, Ga. As called for by the Superintendent of Banks. S. C. PARKER, W. H. SHEPPARD, JR., President, Cashier. Date of Charter: 1-4-1893 Began Business: 3-1-1893 RESOURCES: Loans and Discounts--------------$ State of Georgia and MuniciiJal Bonds owned--------------------U. S. Government Securities Oot hwenr eSdt-o-c-k--s-a--n-d---B-o--n-d--s--o-w--n-e--d-.-.-. Banking House and Lot----------Furniture and Fixtures-----------Other Real Estate owned---------Cash in Vault and amount due from aiJIJroved Reserve Agents _ Checks for Clearing and Due from other Banks.--------------------Cash Items-------------------------Overdrafts __ -----------------------Advance on Cotton and other Commodities---------------------CuCsrteodmitearsnLdiAabcicleiitJytaonnceLs_e_t_t_e_r_s__o_ f_ Profit and LOSS--------------------Other Resources-------------------- 91,800.68 none 124,387.50 3,000.00 14,500.00 4,500.00 6,942.54 406,371.26 665.84 none none none none none 1,570.38 Total--------------------------------$ 653,738.20 LIABILITIES: CaiJital Stock.______________________$ Surolus Fund.--------------------Undivided Profits-----------------RDeuseertvoeBFaunnkdss_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_ CDaivsihdieenr'dssCUhneicJkasi_d_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ CDeermtiafinedd DCehieJocskists--_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Time Certificates of DepositS-----Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable.---------------------Notes and Bills Rediscounted..... Other Liabilities._----------------- 50,000.00 50,000.00 10,187.50 none none none 1,450.96 none 332,183.58 19,200.00 190,716.16 none none none none Total. __________ -------_------------.$ 653,738.20 STATEMENT Showing conditio~ at the close of Business December 31, 1935, of the BANK OF MOLENA Molena, Ga. As called for by the Superintendent of Banks. W. 0. JORDAN, R. H. FLETCHER, President. Cashier. Date of Charter: 1Q-7-1901 Began Business: 3-1899 RE.SOURCES: Loans and Discounts--------------$ 25,803.29 StBaotendosf oGwenoerdg.i_a__a__n_d___M___u_n_i_c_i_p__a_l none U. s. Government Securities BOaothnweknrienSdgt-oH-c-ko--su-sa-e-n-ad--n-Bd-o-L-n-od--ts-_-_o_-w_-_-n_-e_-_-<_-L_--_. Furniture and Fixtures___________ _ Other Real Estate owned_________ _ 4,950.00 none l, 700.CO 2,250.00 4,546.00 Cash in Vault and amount due from approved Reserve Agents.. 40,353.37 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ 101.17 23.73 Overdrafts. ___ --------------- _____ -- none Advance on Cotton and other Commodities---------------------- 4,543.24 Customers Liability on Letters of Credit and Acceptances---------- none Profit and LOSS--------------------- none Other Resources--------------------_ _ _429_.3_2 Total--------------------------------$ 84,700.12 LIABILITIES: Capital Stock_______________________$ US unrdoivl uids eFduPnrdo. f_i-t-s-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_- -_ Reserve Funds____________ ---------Due to Banks----------------------CDaivsihdieenr'dssCUhnecpkasid__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks.... ---------------DSTaiemvmienagCnsderDDtiefepipcooastsietissts_o_-_-f_-D_-_-e_-p_-_-o_-s_-i_-t_-s_-__-__-__-___--__ LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__ta__n_c_e_s_ Bills Payable._--------------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 15,000.00 none 1,167.85 none none none 432.00 none 40,843.47 26,733.39 523.41 none none none none Total--------------------------------$ 84,700.12 72 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the THE FARMERS BANK Monroe, Ga. As called for by the Superintendent of Banks. J. M. NOWELL, C. R. BRADFORD, President. Cashier. Date of Charter: Hl-2-1905 Began Business: 1-1-1906 RESOURCES: Loans and Discounts______________$ State of Georgia and Municipal Bonds owned--------------------U. S. Government Securities owned----------------------------Other Stocks and Bonds ownecL. Banking House and Lot----------Furniture and Fixtures-----------Other Real Estate owned---------Cash in Vault and amount due from approved Reserve Agents.. Checks for Clearing and Due from other Banks.--------------------Cash Items-------------------------AOdvveardnrcaeftso.n. --C--o--t-to--n---a-n--d---o--t-h-er Commodities---------------------Customers Liability on Letters of Credit and Acceptances---------Profit and LOSS--------------------Other Resources-------------------- Total..... -------------------------.$ 126,799.37 92,936.81 73,552.25 none none 1,390.00 14,178.81 377,115.96 5,815.62 none none none none none 33,621.15 725,409.97 LIABILITIES: Capital Stock-----------------------$ Surolus Fund..-------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand DepositS-----------------Time Certificates of Deposits-----Savings DepositS------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c_e_s_ BNiolltsesPaaynadbBleil.l.s--R-e--d-i-s-c-o--u-n-t-e--d-.-.-.-.-. Other Liabilities.------------------ 100,000.00 30,000.00 11,313.10 none none none none none 380,574.23 25,043.95 145,703.54 none none none 32,775.15 Total.... ----------------------------$ 725,409.97 STATEMENT Showing condition at the close of Business Decen:tber 31, 1935, of the THE CITIZENS BANK Morven, Ga. As called for by the Superintendent of Banks. R. C. LESTER, SR., B. T. HARRIS, President. Cashier. Date of Charter: 2-12-1927 Began Business: 2-21-1927 RESOURCES: Loans and Discounts______________$ 36,494.85 State of Georgia and Municipal Bonds owned--------------------- none U. S. Government Securities owned----------------------------- 308.94 Other Sto<'ks and Bonds ownecL. none BFuarnnkiitnugreHaonudseFaixntdurLeos_t_-_-_-_-_-_-_-_-_-_--_ 1,000.00 2,000.00 Other Real Estate owned---------- 85.96 Cash in Vault and amount due from approved Reserve Agents.. 10,387.22 Checks for Clearing and Due from other Banks---------------------Cash Items...----------------------Overdrafts .. ------------------------ none none 18.91 Advance on Cotton and other Commodities---------------------- 2,931.36 Customers Liability on Letters of Credit and Acceptances---------- none Profit and LOSS--------------------- 304.97 Other Resources--------------------_ _ _65_.25_ Total--------------------------------$ 53,597.46 LIA lHLITIES: CCaappiittaall SNtoocteks-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_$ Surplus Fund.. -------------------Undivided ProfitS-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of Deposits...... LSaevttienrgssoDf Ceproedsiittsa.-n-d---A--c-c-e-p--ta--n-c-e-s- executed for Customers_________ _ Bills Payable.. --------------------Notes and Bills Rediscounted----Other Liabilities.. ----------------- 15,000.00 5,000.00 none none none none none 585.51 none 'l!/,366.43 2,996.15 2,649.37 none none none none TotaL.._. __..-- ...------ ..--------.$ 53,597.46 SIXTEENTH ANNUAL REPORT 73 STATEMENT Showing condition at the close of Business December 31, 1935, of the MOULTRffi BANKING COMPANY Moultrie, Ga. As called for by the Superintendent of Banks. W. C. VEREEN, M. L. LEE, President. Cashier. Date of Charter: 7-8-1896 Began Business: 1896 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municipal Bonds owned--------------------U. S. Government Securities owned..------ _____ ------ __ -- ____ -Other Stocks and Bonds owneosits-----Savings Devosits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_v__t_a_n_c__es_ Bills Payable ___ -------------- ____ -Notes and Bills Rediscounted____ _ Other Liabilities------------------- 15,000.00 5,500.00 2,158.37 none none none 75.45 none 54,674.33 21,979.72 none none none none none TotaL-------------------------------$ 99,387.87 78 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the FARMERS BANK OF PELHAM Pelham, Ga. As called for by the Superintendent of Banks. F. D. HOLLIS, J. R. PAYNE, President. Cashier. Date of Charter: 8-25-1902 Began Business: 9-1-1902 RESOURCES: Loans and Discounts______________$ 165,213.19 State of Georgia and Municipal Bonds owned--------------------U. S. Government Securities none Oothwenr eSdt.o-c-k--s--a-n--d--B--o-n-d--s--o-w--n-e--c-L--. none 10,418.00 Banking House and Lot----------FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-_-__-_-_-_--_ Cash in Vault and amount due from approved Reserve Agents.. Choetchkesr fBoar nCklse_a_r_i_n_g__a_n__d__D__u__e_f_r_o__m_ Cash Items_________________________ _ Overdrafts ________ -----------------AdCvoan=coed iotni e sC__o_t_t_o__n___a_n__d____o_t_h_e_ r_ Customers Liability on Letters of Credit and Acceptances__________ 4,400.00 1,629.91 18,898.54 243,754.84 1, 754.22 none 160.56 6,059.50 none Profit and Loss--------------------- none - - - - - Other Resources-------------------- 1,658.34 Total________________________________$ 453,947.10 LIABILITIES: Capital Stock-----------------------$ SuriJlus Fund._-------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Uwaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of Deposits-----Savings Deposits.---------------- __ LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable.---------------------Notes and Bills Rediscounted----Other Liabilities.------------------ 100,000.00 25,000.00 1,675.76 none none 1,350.00 757.49 3.00 230,553.68 none 93,457.17 none none none 1.150.00 TotaL-------------------------------$ 453,947.10 STATEMENT Showing condition at the close of Business December 31, 1935, of the PERRY LOAN & SAVINGS BANK Perry, Ga. As called for by the Superintendent of Banks. R. L. CATER, C. E. ANDREW, President. Cashier. Date of Charter: 8-2G-1889 Began Business: 1889 RESOURCES: Loans and Discounts--------------$ 79,356.54 BS toantdes oofwGn eedo_r_g_i_a__a__n_d___M___u_n_i_c_i_i>__a_l none U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ 50,000.00 Other Stocks and Bonds owned.... none Banking House and Lot----------- 10,000.00 FOuthrneirtRureealaEndstaFtiextouwrense-d--.-_-__-_-_-_-_-_--_ 2,000.00 9,450.00 Cash in Vault and amount due from approved Reserve Agents.- 141,775.64 Choethckesr fBoarnCklse_a_r_i_n_g__a__n_d__D__u__e_f_r_o__m_ Cash Items. ________________________ _ 213.02 none Overdrafts. ___ -__ ------ __ ----------- 2. 91 AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r none CuCsrteodmitearsnLdiAabciclietpYtaonnceLs_e_t_t_e_r_s__o_ f_ none Profit and LOSS--------------------- none Other Resources.-------------------- - -no-ne Total_____ ------------- ____________ ..$ 292,798.11 LIABILITIES: Capital Stock.------------------....$ SUunrdpilvuids eFduPnrdo-f-i-t-s-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_- -_ Reserve Funds---------------------DDiuveidtoenBdas nUkns-p-a-i-d--.-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_--_ CCearsthifiieerd'sCChheecckkss_-_-__-_-_-_-_-_-_--------------------Demand Deposits-----------------Time Certificates of Deposits-----Savings Deposits.-----------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c_e_s_ Bills Payable.---------------------Notes and Bills Rediscounted----Other Liabilities. __ ---------------- 25,000.00 27,500.00 5,933.89 none none 905.00 413.75 none 193,597.92 19,872.00 19,575.55 none none none none TotaL-------- ---------------------$ 292,798.11 SIXTEENTH ANNUAL REPORT 79 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF PINEHURST Pinehurst, Ga. As called for by the Superintendent of Banks. D. E. THOMPSON, A. M. WILSON, President. Cashier. Date of Charter: 1-1-1908 Began Business: 1904 RESOURCES: Loans and Discounts ______________$ 43,789.76 StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_l>__a_l none U. S. Government Securities owned----------------------------- none BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n_e_d__.._.._. Furniture and Fixtures____________ none 1,500.00 2,500.00 Other Real Estate owned---------- 2,500.00 Cash in Vault and amount due from ai>I>roved Reserve Agents._ 39,344.83 Checks for Clearing and Due from other Banks.--------------------- 837.50 Cash Items-------------------------- none OAdvveradnrcaeftso_n_ --C--o-t-t-o-n---a--n-d----o-t-h-e--r none Commodities---------------------- 10,717.50 CuCsrteodmiterasnLdiAabccileiit>ytaonnceLs_e_t_t_e_r_s__o_ f_ none - - - - POrtohfeitr aRnedsoLuorcsess-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ none none Total.... -- ___ -----------.-----------$ 101,189.59 LIABILITIES: Cai>ital Stock-----------------------$ Cai>ital Notes----------------------SUri>lus Fund.--------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Uni>aid-----------------Cashier's Checks------------------Certified Checks-------------------TDiemmeaCnderDtifeiic>aotesistso-f--D--e-i>--o-s-i-t-s-.-.-.-: -_-_ Savings Dei>OSitS------------------Letters of Credit and Accei>tances executed for Customers---------BNiolltsesPaanyadbBleil-l-s--R-e--d-i-s-c-o--u-n-t-e--d-_-_-__--_ Other Liabilities.------------------ 25,000.00 15,000.00 none none 825.00 none none 116.66 none 50,207.93 10,040.00 none none none none none TotaL------------------------------$ 101,189.59 STATEMENT Showing condition at the close of Business December 31, 1935, of the PITTS BANKING CO. Pitts, Ga. As called for by the Superintendent of Banks, L. 0. BENTON, A. C. SHELL, President. Cashier. Date of Charter: 6-2-1906 Began Business: 6-1906 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg.i_a__a__n_d___M__u__n_i_c_i_i>__a_l U. S. Government Securities BOaothnweknrienSdgt-o-Hc-k-o-su-s-ae-n-ad--n-Bd--o-Ln-od--ts-_-o_-_w-_-_n_-e_-_<-_-L_--._ Furniture and Fixtures___________ _ Other Real Estate owned... ______ _ Cash in Vault and amount due from ai>I>roved Reserve Agents.. Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Overdrafts _________________________ _ AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__er_ CuCsrteodmiterasnLdiAabccileiit>ytaonnceLs_e_t_t_e_r_s__o_ f_ POrtohfeirt RanedsoLurOcSesS_-_-_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_--_ TotaL------------------------------$ 24,744.64 none 1,500.00 none 450.00 1,150.00 5,500.00 117,037.63 none none none 366.97 none none none 150,749.24 LIABILITIES: Cai>ital Stock---------------------- $ USunrdoilvuids eFduPnrdo.f_i-t-s-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_ Reserve Funds---------------------DDiuveidteonBdsanUknsi->-a-i-d--_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks__________________ _ Certified Checks-------------------Demand Dei>osits.- ---------------Time Certificates of Dei>osits-----Savings Deposits------------------LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__ta__n_c_e_s_ BNiolltsesPaanydabBleil.l_s-R--e--d-i-s-c-o--u-n-t-e-d--_-_-__--_ Other Liabilities._----------------- 25,000.00 5,000.00 2.47 none none none 2, 731.20 none 109,913.31 8,102.26 none none none none none TotaL ____________ -------------_- ___$ 150,749.24 80 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BANK OF QUITMAN Quitman, Ga. As called for by the Superintendent of Banks. S. S. ROUNTREE H. W. STUBBS, President. Cashier. Date of Charter: 12-26-1888 Began Business: 1S!-27-1888 RESOURCliS: Loans and Discounts... -----------$ 128,540.85 StBaotendosf oGwenoerdg.i.a__a__n_d___M__u__n_i_c_i:_D__a_l none U. S. Government Securities OothwenreSdt-o-c-k--s--a-n--d--B--o-n-d--s--o-w--n-e-d--..-.-. none 66,392.00 Banking House and Lot----------- 16,000.00 Furniture and Fixtures.---------- 4,000.00 Other Real Estate owned---------- 15,991.21 Cash in Vault and amount due from a:D:Droved Reserve Agents._ 436,700.65 Checks for Clearing and Due from other Banks---------------------- 3, 984.26 Cash Items-------------------------- none Overdrafts.... -.------.--.-.-------- 94.20 AdCvoamncmeodoitniesC__o_t_t_o__n___a_n__d____o_t_h__er_ 3,132.28 Customers Liability on Letters of Credit and Acce:Dtances......... . none - - - - POrtohfeirt RanedsoLuorcsess-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.--.-.-.-. none none TotaL......-------------------------$ 674,835.45 LIABILITIES; Ca:Dital Stock-----------------------$' 100,000.00 Sur:DlUS Fund--------------------- RUensdeirvviedFedunPdros.f.it_s__.-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ 30,965.98 none 48,352.73 Due to Banks----------------------Dividends Un:Daid.----------------- none none Cashier's Checks------------------- 4,351.55 Certified Checks-------------------Demand De:Dosits.. ---------------- none 290,092.74 Time Certificates of De:Dosits...--- none Savings De:Dosits------------------- 201,072.45 LBeieltxltseePrcsuatyoefadbCfloreer.d_Ci_t_u_as_tn_o_dm__Ae__rc_sc__e__:_D____t_a__n___c___es__ none none Notes and Bills Rediscounted.... none Other Liabilities.. ----------------- none TotaL-------.---.-.-.-.-.--.-- ... -..$ 674,835.45 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE TATTNALL BANK Reidsville, Ga. As called for by the Superintendent of Banks. J. V. KELLEY, W. E. SMITH, JR., President. Cashier. Date of Charter: 9-14-1900 Began Business: 10-22-1900 RLSOURCES: Loans and Discounts..------------$ 90,845.97 State of Georgia and Munici:Dal Bonds owned.-------------------U. S. Government Securities none BOaothnweknrienSdgt.o.Hc..ko-su--sa-en--ad-n-B-d-o-Ln-o-d-ts-.-_o-_w-_-_n-__-e_-d_-__-_-_ 8,425.00 1,000.00 5,000.00 Furniture and Fixtures------------ 1,485.49 Other Real Estate owned.......... 17,917.25 Cash in Vault and amount due from a:D:Droved Reserve Agents._ 155,924.17 Checks for Clearing and Due from other Banks.--------------------- none COavsehrdIrtaefmtss.-.-.---.-_-_-.-_-.-.-_-_-_-.--------------------__- 83.00 none AdCvoan=coediotniesC..o..t.t.o_n___a__n_d____o_t_h__e_r 101.50 Customers Liability on Letters of Credit and Acce:Dtances.. ________ none Profit and Loss_____________________ none Other Resources____________________ 2,486.54 ---- .TotaL------------------------------$ 283,268.92 LIABILITIES; Ca:Dital Stock_______________________$ Sur:DlUS Fund.--------------------Undivided Profits-----------------Reserve Funds.....-----------------. Due to Banks----------------------Dividends Un:Daid.----------------Cashier's Checks------------------Certified Checks...----------------Demand De:DositS.----------------Time Certificates of De:Dosits...... Savings De:DositS------------------LeetxteercsutoefdCforerdCituastnodmAercsc_e_:D__t_a_n_c__es_ Bills Payable.. --------------------Notes and Bills Rediscounted..... Other Liabilities.. ---------------- 25,000.00 5,000.00 1,340.05 none none none 2. 362.48 none 177,302.24 29,257.11 43,007.04 none none none none TotaL----------------.--.-.---.-.--.$ 283,268.92 SIXTEENTH ANNUAL REPORT 81 STATEMENT Showing condition at the close of Business December 31, 1935, of the RENTZ BANKING CO. Rentz, Ga. As called for by the Superintendent of Banks. 0. D. BARRON, THERON WOODARD, President. Cashier. Date of Charter: 5-2-1914 Began Business: 5-5-1914 RESOURCES! Loans and Discormts--------------$ 23,377.82 State of Georgia and Mrmicipal Bonds owned--------------------U. S. Government Securities none owned----------------------------BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n_e_<__L_-_ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ Cash in Vault and amormt due none 800.00 2,500.00 45.00 1. 986.87 from approved Reserve Agents-- 54,375.91 Checks for Clearing and Due from other Banks---------------------- none COavsehrdIrtaefmtss_-_-_-_-----------_-_-_-_-_-_------------__--------- 247.79 127.60 Advance on Cotton and other Co=odities---------------------- 3,595.42 CPruCosrfteiotdmaitenradsnLLdoiAasbsci_cl_ie_tp_Y_t_ao_n_nc_e_L_s__e__t__t__e__r__s____o__ f__ Other Resources___________________ _ - - none none -no-ne TotaL-------------------------------$ 87,056.41 LIABILITIES! Capital Stock_______________________$ Surplus Frmd_ --------------------Undivided Profits------------------ RDeuseertvoeBFaunnkdss_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_--_ Dividends Unpaid_________________ _ CCaersthifieierd's CChheecckkss_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ DTiemmeaCnderDtifeiocoasteitss_o-f-D--e-o--o-s-i-t-s-_-_-_-__--_ Savings Deposits------------------Letters of Credit and Acceotances executed for Customers---------Bills Payable-_--------------------Notes and Bills Rediscormted----Other Liabilities-_----------------- 15,000.00 5,000.00 9,078.90 2,132.00 none none none none 50,538.64 5,306.87 none none none none none TotaL-------------------------------$ 87,056.41 STATEMENT Showing condition at the close of Business December 31, 1935, of the CITIZENS STATE BANK Reynolds, Ga. As called for by the Superintendent of Banks. C. H. NEISLER, R. L. BELL, President. Cashier. Date of Charter: 9-8-1922 Began Business: 9-8-19!!!! RESOURCES! Loans and Discormts ______________$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___r_m__ic__io__a_l U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ BOathnekrinSgtoHckosusaenadnBdoLnodts__o_w__n_e_d__..____ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ Cash in Vault and amormt due from aooroved Reserve Agents-_ Checks for Clearing and Duefrom other Banks_--------------------COavsehrdIrtaefmtss--_-_-_-_-_----------------------------------_-__--_ AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__er_ CPruCosrfteiotdmaitenradsnLLdoiAassbc_ic_lei_tp_y_t_a_on_nc_e_L_s__e___t_t__e__r__s____o__ f__ Other Resources___________________ _ Total-- __________ --- ___ -------- ____ --$ 85,065.74 none 1,550.00 900.00 7,000.00 2,250. 23 1,626.00 83,208.64 none none none l. 785.75 none none 350.38 183,736.74 LIABILITIES: Capital Stock_______________________$ Surplus Frmd-- -------------------DRUeunsdeeirtvvoiedBFedaunnPkdrsos_f__i__t__s__-__-__-__-__-__-___-__-__-___-__-__-__-__-__-__-__--__ Dividends Unoaid_________________ _ Cashier's Checks------------------Certified Checks-------------------TDiemmeaCnderDtifeipcaotseistso--f-D--e-p--o-s-i-t-s-_-_-_-__--_ Savings DepositS------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ BNiolltsesPaanyadbBleil_l_s-R--e-d--is-c--o-U--!-l-te--d-_-_-__--_ Other Liabilities __ ---------------- 25,000.00 5,000.00 677.38 1.192.13 none 1,000.00 474.21 none 92,155.77 21,988.57 36,248.68 none none none none TotaL-------------------------------$ 183.736.14 82 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the RICHLAND BANKING CO. Richland, Ga. As called for by the Superintendent of Banks. E. W. PARISH, WILLIS H. STRICKLAND, Jr., President. Cashier. Date of Charter: 1Q-13-1927 Began Business: 1Q-15-1927 RESOURCES: Loans and Discounts--------------$ 58,671.56 StBaotendosf oGwenoerdg.i_a__a__n_d___M__u__n_i_c_i_l>__a_l 1,619.43 U. S. Government Securities owned----~------------------------ Other Stocks and Bonds owned__ 5,000.00 150.00 BFuarnnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ 4, 715.00 2,430.00 Other Real Estate owned---------Cash in Vault and amount due 254.20 from apiJroved Reserve Agents.. 70,121.53 Checks for Clearing and Due from CaosthheItreBmasn_k__s_._._._._-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_--_ Overdrafts.... ____ . __ .. __ ----------. 61.61 179.86 none Advance on Cotton and other Commodities........ __ .. --.- .. ---- 18,171.63 Customers LiabilitY on Letters of Credit and Acceptances__________ none Profit and Loss.. ------------------- none - - - - Other Resources.------------------- 147.45 Total.. __ ..... ____ ._ .. _____ .... _____ .$ 161,522.27 LIABILITIES: CaiJital Stock______________________$ Surplus Fund---------------------RUensdeirvviedFedunPdrosf_i_t_s_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ DDiuveidtoenBdasnUknsi-J-a-i-d--_-_-_-_-_-__-_-_-_-_-_-_-_-_-_--_-_ Cashier's Checks__________________ _ Certiiied Checks-------------------Demand Deposits.. ---------------Time Certificates of DeiJosits...... Savings Deposits------------------Letters of Credit and Acceptances executed for Customers.......... BNioltlsesPaanyadbBleil.l.s-R--e-d--i-s-c-o--u-n-t-e--d-.-.-.-.-. Other Liabilities.. ----------------- 40,000.00 2,000.00 4,403.86 674.60 6,868.94 none 391.16 none 67,347.55 none 39,836.16 none none none none TotaL. ______ ...... _.-- .. __ ---- ......$ 161,522.27 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF RINGGOLD Ringgold, Ga. As called for by the Superintendent of Banks. M. W. MURPHY, J. COLTON WEEKS, President. Cashier. Date of Charter: 8-24-1904 Began Business: 8-1904 RESOURCES: Loans and Discounts______________$ 85,317.37 StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_i_J_a_l none U.owSn.edG...o.v__e.r.n.m__e_n__t___S_e__c_u_r.i_ti_e__s_ _ none Other Stocks and Bonds owned.... 6,000.00 Banking House and Lot----------- 2,170.25 Furniture and Fixtures------------ 3,247.94 Other Real Estate owned---------- 11,268.07 Cash in Vault and amount due from aiJIJroved Reserve Agents.. 33,551.50 Checks for Clearing and Due from CaosthheIrteBmasn.k..s...-.-_-_-.-.-_-_-.-.-.-.-.-.-.-.-.-.-.-.-.-. Overdrafts.... __________ ...... __ .. .. none none 4.43 AdCvoamncmeodoitniesC. _o__t_t_o.n___a..n.d. __o__t.h.e.r_ none Customers LiabilitY on Letters of Credit and AcceiJtances.......... none Profit and Loss_____________________ none Other Resources....................- - -1-92.-84 Total--------------------------------$ 141,752.40 LIABILITIES; Capital Stock....... -- .... -- .... -- ..$ Surplus Fund.--------------------URensdeirvviedFedunPdros.f.it_s_-__-_-_-_-_-_-_-_-_-_-_-_-_-_-_--__Due to Banks----------------------CDaivsihdieenr'dssCUhnepckasid__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks___________________ _ DTiemmeaCnderDtifeipcoatseistso--f-D--e-p--o-s-i-t-s-_-_-_-__--_ Savings Deposits------------------Letters of Credit and Acceptances executed for Customers.... _____ _ Bills Payable.. --------------------Notes and Bills Rediscounted..... Other Liabilities.------------------ 25,000.00 7,000.00 352.07 2,073.88 none 2.00 486.96 nonP. 59,210.56 5,158.66 42,468.27 none none none none TotaL .... ___ .-- ....... -.--- ..... -...$ 141,752.40 SIXTEENTH ANNUAL REPORT 88 STATEMENT Showing condition at the close of Business December 31, 1935, of the CRAWFORD COUNTY BANK Roberta, Ga. As called for by the Superintendent of Banks. ROBT. E. AVERA, F. E. BENTLEY, President. Cashier. Date of Charter: 1-7-1901 Began Business: 1-8-1901 RESOURCES: Loans and Discounts..............$ 24,988.13 State of Georgia and Municival Bonds owned..................... none U. S. Government Securities owned............................. 3,429.00 Other Stocks and Bonds owned... none Banking House and Lot.......... 1,950.00 Furniture and Fixtures........... 1,150.00 Other Real Estate owned......... 7,788.40 Cash in Vault and amount due from avvroved Reserve Agents.. 52,310.16 Checks for Clearing and Due from other Banks................. none Cash Items....................... 8.78 Overdrafts.......................... 60.63 Advance on Cotton and other Commodities..................... . none Customers LiabilitY on Letters of Credit and Accevtances.......... none Profit and Loss..................... none - - - - Other Resources.................... 117.61 TotaL.............................$ 91,802.71 LIABILITIES: Cavital Stock.......................$ Surolus Fund...................... Undivided Profits.................. Reserve Funds.................... Due to Banks....................... Dividends Unvaid.................. Cashier's Checks................... Certified Checks.................... Demand Devosits.................. Time Certificates of Devosits...... Savings Devosits .................. Letters of Credit and Accevtances executed for Customers......... Bills Payable....................... Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 15,000.00 none 957.31 none none none 897.44 none 59,912.86 15,035.10 none none none none none Total ................................$ 91,802.71 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE ROCKMART BANK Rockmart, Ga. As called for by the Superintendent of Banks. S.D. LEE, H. P. FAMBRO, President. Cashier. Date of Charter: 10-80-1900 Began Business: 10-80-1900 RESOURCES: Loans and Discounts..............$ 91,268.96 State of Georgia and Municival Bonds owned..................... none U. S. Government Securities owned............................. 112,135.00 Other Stocks and Bonds owned.. none Banking House and Lot.......... . 9,400.00 Furniture and Fixtures............ 3,000.00 Other Real Estate owned.......... none Cash in Vault and amount due from approved Reserve Agents.. 106,004.39 Checks for Clearing and Due from other Banks.................... none Cash Items........................ none Overdrafts ........................ none Advance on Cotton and other Commodities.................... none Customers Liability on Letters of Credit and Accevtances........ none Profit and Loss.................. none - - - - Other Resources.................. 409.34 Total............................$ 322,217.69 LIABILITIES: Capital Stock......................$ Surolus Fund..................... Undivided Profits................. Reserve Funds..................... . Due to Banks....................... Dividends Unpaid.................. Cashier's Checks................... Certified Checks.................... Demand Devosits.................. Time Certificates of Devosits..... . Savings Deposits................... Letters of Credit and Accevtances executed for Customers.......... Bills Payable....................... Notes and Bills Rediscounted..... Other Liabilities................. _. 30,000.00 6,000.00 6,055.31 none none 2,400.00 2,097.11 none 174,707.22 none 100,958.05 none none none none Total...............................$ 322,217.69 84 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the ROSWELL BANK Roswell, Ga. As called for by the Superintendent of Banks. J. H. FOSTER, C. G. WEBB, President. Cashier. Date of Charter: 3-11-1901 Began Business: 3-1901 RESOURCES: Loans and Discounts--------------$ 164,067.48 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_p__a_l 26,736.07 U. S. Government Securities Oothwenr eSdt-o-c-k--s--a-n-d---B--o-n-d--s--o-w--n-e--<-L--. 6,500.00 8,985.00 Banking House and Lot----------FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-__-_-_-_-_--_ none l, 184.32 none Cash in Vault and amount due from approved Reserve Agents._ 212,123.68 Checks for Clearing and Due from other Banks.--------------------Cash Items-------------------------Overdrafts-.-----------------------Advance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and Acceptances._________ 282.80 93.54 288.10 55.93 none Profit and Loss.-------------------- none Other - Resources-------------------- - -812-.63 Total------ ________ .--------------- ..$ 421, 129. 55 LIABILITIES: Capital Stock_______ ----------------$ Surplus Fund.--------------------Undivided Profits-----------------RDeuseertvoeBFaunnkdss_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_--_ Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand De:t:>ositS-----------------Time Certificates of DepositS-----Savings Deposits------------------Letters of Credit and Acceptances executed for Customers---------Bills Payable._.-------------------Notes and Bills Rediscounted----Other Liabilities._----------------- 25,000.00 25,000.00 20,187.21 none none none 976.56 none 206,067.99 143,752.24 none none none none 145.55 Total.--------------- __ ------------ __$ 421,129.55 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF RUTLEDGE Rutledge, Ga. As called for by the Superintendent of Banks. R. W. WALLACE, W. T. ROBERTS, President. Cashier. Date of Charter: 9-24-1898 Began Business: 10-1-1898 RESOURCES: Loans and Discounts--------------$ 54,058.03 State of Georgia and Municipal Bonds owned--------------------- none U. S. Government Securities Oothwenr eSdt-o-c-k--s-a--n-d---B-o--n-d--s--o-w--n-e-d-.-..-.-- 800.00 18,630.00 Banking House and Lot----------- 1,000.00 FOuthrneirtRureealaEnsdtaFtiextouwrense-d--_-__-_-_-_-_-_-_--_ 500.00 7,592.94 Cash in Vault and amount due from approved Reserve Agents._ 33,742.88 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-__-_--,-_-_-_-_-__-_-_-_-_--_ Overdrafts. ____ .-------- ___________ _ 183.87 32.90 none Advance on Cotton and other Commodities---------------------- 5,449.24 Customers Liability on Letters of Credit and Acceptances---------- none Profit and Loss--------------------- none Other Resources--------------------- - -no-ne TotaL-------------------------------$ 121,989.86 LIABILITIES: Capital Stock. _____________________ $ Capital Notes----------------------Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidteonBdsanUkns-p-a-i-d--_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ Cashier's Checks___________________ Certified Checks-------------------DTiemmeaCnderDtifeipcoatseistso--f-D--e-p--o-s-i-t-s-_-_-_-__--_ Savings Deposits------------------Letters of Credit and Acceptances executed for Customers---------.BNiolltsesPaanydabBleil.l_s-R--e-d--i-s-c-o--u-n-t-e-d--_-_-__--_ Other Liabilities.. ----------------- 25,000.00 7,500.00 5,000.00 3,233.29 none none none 207.77 none 65,839.94 5,976.30 9,232.56 none none none none TotaL-------------------------------$ 121,989.86 SIXTEENTH ANNUAL REPORT 85 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BANK OF CAMDEN COUNTY St. Marys, Ga. As called for by the Superintendent of Banks. T. B. KEMP, S. E. BRANDON, President. Cashier Date of Charter: 9-16-1911 Began Business: 12-6-1911 RESOURCES: Loans and Discounts--------------$ 31,423.01 State of Georgia and Municii>al Bonds owned--------------------- none U. S. Government Securities Oothwenr eSdt-o-c-k--s--a-n-d---B-o--n-d--s--o-w--n-e--d-.-.-. none none BFuarnnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ Other Real Estate owned__________ 3,300.00 2.400.00 150.00 Cash in Vault and amount due from approved Reserve Agents.. 13,547.73 Checks for Clearing and Due from other Banks---------------------- 511.86 COavsehrdIrtaefmtss_-_-_-_-.-_-_-_-_-_-_---------_-_-.--__-_-_--------- none none AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r none CuCsrteodmiterasnLdiAabcicleitpytaonnceLs_e_t_t_e_r_s__o_ _f none - - - - - Profit and LOSS--------------------- Other Resources-------------------- none none Total______ .------------------------.$ 51,332.60 LIABILITIES: Capital Stock-----------------------$ Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------CDaivsihdieenr'dssCUhnecPkasid__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks-------------------DTiemmeaCnderDtifeipcoatseistso--f-D--e-p--o-s-i-t-s-_-_-_-__--_ Savings Deposits------------------LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ BNiolltsesPaanyadbBleil.l-s--R--e-d-i-s-c-o--u-n--te--d-_-_-_-_-_ Other Liabilities.- _____ -------- ___ _ 15,000.00 3,000.00 1,016. 72 none none none 6.30 none 17,287.89 300.00 14,721.69 none none none none TotaL _______________________________$ 51,332.60 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF SASSER Sasser, Ga. As called for by the Superintendent of Banks. T. E. MILLER, B. H. HILL, President. Cashier. Date of Charter: 1-15-1905 Began Business: 1905 RE,SOURCES: Loans and Discounts. _____________$ 92,632.04 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_P__a_l none U. S. Government Securities Oothwenr eSdt-o-c-k--s--a-n-d---B-o--n-d--s--o-w--n-e--d-.-.- 21,625.00 12.750.00 Banking House and Lot----------- 2,000.00 FOuthrneirtRureealaEndstaFtiextouwrense-d--__-_-_-__-_-_-_--_ 1,800.00 1,500. 00 Cash in Vault and amount due from approved Reserve Agents._ 37,336.26 Checks for Clearing and Due from other Banks.--------------------- 145.82 Cash Items-------------------------- none Aovdevradnrcaeftso.n----C-o--t-t-o-n---a--n-d----o-t-h-e--r 21.29 CuCsotommmeorsdiLtiieasb-i-l-i-t-y--o--n--L--e-t-t-e-r-s--o--f none Credit and Acceptances---------- none Profit and Loss--------------------- none - - - - - Other Resources-------------------- none TotaL-------------------------------$ 169.810.41 LIABILITIES: Capital Stock-----------------------$ Surplus Fund.. -------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidteonBdsanUknsp--a-i-d--_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_--_ CCearsthifieierd's CChheecckkss_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_--_ Demand Deposits.. : ______________ _ Time Certificates of DepositS-----Savings Deposits------------------LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c_e_s_ BNiolltsesPaaynabdlBe-i-l-ls--R--e-d-i-s-c~o-u--n-t-e-d-_-_-_-_-_ Other Liabilities. __ ---------------- 25,000.00 32,500.00 1,250.21 none none 312.00 none none 110,461.33 286.87 none none none none none Total__________ . __ . ________________ ..$ 169,810.41 86 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the ATLANTIC SAVINGS AND TRUST COMPANY Savannah, Ga. As called for by the Superintendent of Banks. JAMES M. ROGERS, Wm. H. WHITEHEAD, President. Cashier. Date of Charter: 11-6-1933 Began Business: 11-6-1933 RESOURCES: Loans and Discounts..............$ State of Georgia and Municii>al Bonds owned..................... U. S. Government Securities owned............................ . Other Stocks and Bonds owned... Banking House and Lot........... Furniture and Fixtures............ Other Real Estate owned.......... Cash in Vault and amount due from avvroved Reserve Agents.. Ohecks for Clearing and Due from other Banks...................... Oash Items........................ .. Overdrafts........ -.-- ........ -----Advance on Cotton and other Commodities---------------------Customers LiabilitY on Letters of Credit and Accevtances.......... Profit and Loss..................... Other Resources.................... 679,903.78 none 292,683.25 none none 800.00 67,156.34 65,032.65 none none none none none none 1,446.21 Total................................$ 1,107,022. 23 LIABILITIES: Cavital Stock.......................$ Sul'I>lUS Fund...................... Undivided Profits.................. Reserve Funds.................... .. Due to Banks....................... Dividends Unvaid.................. Cashier's Checks................... Certified Checks.................... Demand Devosits.................. Time Certificates of Devosits...... Savings Devosits................... Letters of Credit and Accevtances executed for Customers.......... Bills Payable....................... Notes and Bills Rediscounted..... Other Liabilities................... 50,000.00 50,000.00 67,007.44 none none none none 161.17 none 443,175.46 495,847.40 none none none 830.76 Total................................$ 1,107,022.23 STATEMENT Showing condition at the close of Business December 31, 1935, of the CITIZENS BANK & TRUST COMPANY Savannah, Ga. As called for by the Superintendent of Banks. GEO. H. SMITH, PAUL T. JONES, President. Vice-Pres. & Cashier. Date of Charter: 5-22-1906 Began Business: 6-1-1906 RESOURCES: Loans and Discounts..............$ State of Georgia and Municipal Bonds owned..................... U.owSn.edG..o..v.e.r.n..m_.e.n__t_ . S__e_c.u..r_i.ti.e.s... Other Stocks and Bonds owned... Banking House and Lot........... Furniture and Fixtures............ Other Real Estate owned.......... Cash in Vault and amount due from avvroved Reserve Agents.. Checks for Clearing and Due from other Banks...................... Cash Items.......................... Overdrafts........................ .. Advance on Cotton and other Co=odities. . . . . . . . . . . . . . . . . . . . . . Customers Liability on Letters of Credit and Accevtances.......... Profit and Loss..................... Other Resources.................... 733,142.73 none 367,089.69 67,711.08 150,000.00 2,300.00 73,474.18 288,588.93 54,897.48 none 14.10 none none none 6,738.30 Total................................$ l, 743,956.49 LIABILITIES: Capital Stock.......................$ Cavital Notes...................... SUl'I>lus Fund- -................ --.. Undivided Profits.................. Reserve Funds.................... .. Due to Banks....................... Dividends Unvaid.................. Cashier's Checks................... Certified Ohecks.................. .. Demand Deposits.................. Time Certificates of Devosits.... .. Savings Devosits................... Letters of Credit and Acceptances executed for Customers.......... Bills Payable....................... Notes and Bills R.ediscounted..... Other Liabilities................... 200,000.00 150,000.00 50,000.00 14,532.61 4, 701.52 101,517.00 434.00 1,993.55 1,801.07 737,473.93 none 481,492.96 none none none 9.85 Total................................$ 1. 743,956.49 SIXTEENTH ANNUAL REPORT 87 STATEMENT Showing condition at the close of Business December 31, 1935, of the GEORGIA STATE SAVINGS ASSOCIATION Savannah, Ga. As called for by the Superintendent of Banks. HENRY BLUN, S. B. LAFAR, President. Asst. Secty. & Treas. Date of Charter: 7-29-1909 Began Business: 8-4-1909 RESOURCES: Loans and Discounts--------------$ 3,150,042.03 State of Georgia and Municil>al u.BoSn.ds owned--------------------Government Securities none owned----------------------------- 670,900.00 Other Stocks and Bonds owned.... 391,104.00 BFuarnnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ 116,000.00 1.00 Other Real Estate owned---------- 617,311.78 Cash in Vault and amount due from approved Reserve Agents.. 334,835.83 Checks for Clearing and Due from other Banks.--------------------- 791.32 Cash Items-------------------------- none Overdrafts.. -----------------------Advance on Cotton and other none Commodities---------------------- none Customers LiabilitY on Letters of Credit and Acceptances---------- none POrtohfeirt RanedsoLuOrcSesS_-_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_-_--_ none 17,766.85 Total.-------------------------------$ 5, 297,752.90 LIABILITIES: Capital Stock---------------------- $ 325,000.00 SurDlus Fund---------------------- 250,000.00 Undivided Profits------------------ 28,695.06 Reserve Funds---------------------Due to Banks----------------------- 162,717.47 none Dividends UnDaid------------------ none Cashier's Checks------------------- none Certified Checks-------------------- none Demand Deposits-----------------STaimviengCserDtiefpicoastietss_o__f_D__e__p_o_s_i_t_s_._._._._. _. none 1, 762,812.30 2, 726, 534. 57 LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ none Bills Payable.---------------------- none Notes and Bills Rediscounted..... none Other Liabilities.. ----------------- 41.993.50 Total____________________________ ....$ 5,297, 752.90 STATEMENT Showing condition at the close of Business December 31, 1935, of the SAVANNAH BANK & TRUST COMPANY Savannah, Ga. As called for by the Superintendent of Banks. JNO. J. CORNELL, J. H. THOMPSON, President. Cashier. Date of Charter: 3-4-1869 Began Business: 7-1-1869 RESOURCES: Loans and Discounts. _____________ $ 2,580,034.12 State of Georgia and Municil>al Bonds owned--------------------- U. S. Government Securities owned----------------------------- Other Stocks and Bonds owned.... Banking House and Lot----------Furniture and Fixtures............ 16,098.04 64,777.92 81,649.70 540,000.00 none Other Real Estate owned---------- 266,741.02 Cash in Vault and amount due from approved Reserve Agents.. 964,661.95 Checks for Clearing and Due from other Banks.--------------------- 83,048.73 Cash Items-------------------------- 1,011.18 Overdrafts._---------- ... ----- _____ 1,906.30 Advance on Cotton and other Commodities---------------------Customers LiabilitY on Letters of none Credit and Acceptances......... . 13,000.00 - - - - - Profit and LOSS--------------------- Other Resources-------------------- none none Total.. ------------.--------------- ..$ 4,612,930. 96 LIABILITIES: Capital Stock-----------------------$ 350,000.00 Capital Notes----------------------- 350,000.00 Surolus Fund.. -------------------Undivided Profits------------------ 100,000.00 17,221.56 Reserve Funds---------------------- 88,500.00 Due to Banks----------------------Dividends Unpaid..---------------- 763,274.66 none Cashier's Checks------------------- 88,660.56 CDeermtiafinedd DCehpeocksist.s._._._-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ none 1,563,727.60 Time Certificates of Deposits...... 21,561.74 Savings Deposits------------------- 1,256,984.84 Letters of Credit and Acceptances executed for Customers---------- 13,000.00 Bills Payable.---------------------- none Notes and Bills Rediscounted..... none Other Liabilities.. ----------------- none TotaL-------.---------------- .....$ 4, 612,930.96 88 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the FARMERS & MERCHANTS BANK Senoia, Ga. As called for by the Superintendent of Banks. R. L. HARDY, R. W. FREEMAN, President Cashier. Date of Charter: 3-2-1874 Began Business: 1889 RESOURCES: Loans and Discounts ______________$ 102,040.90 State of Georgia and Municipal Bonds owned--------------------- none U. s. Government Securities owned----------------------------- 900.00 Other Stocks and Bonds owned.... 8,000.00 Banking House and Lot-----------} 1,400.00 Furniture and Fixtures------------ Other Real Estate owned---------- 17.336.19 Cash in Vault and amount due from approved Reserve Agents.. 78,480.45 Checks for Clearing and Due from other Banks---------------------- none Cash Items--------- 163,53 Overdrafts. -- ------------- 63.39 Advance on Cotton and other Commodities------------- Customers Liability on Letters of 6,427.98 Credit and Acceptances.......... none Profit Other and LOSS---------- Resources. . - - - - - - - - none -no-ne TotaL-------------------$ 214,817.44 LIABILITIES: Capital Stock...................$ USunrdpilvuids eFduPnrdo-f-i-t-s-.-.--.-.-.--.-.-.-.-.-.-.-. .-.-Reserve Funds................... DDiuveidtoenBdsanUknsp-a-i-d.-.....______-_-_-__--_ Cashier's Checks------------------Certified Checks.................. Demand Deposits----------- Time Certificates of Deposits-----Savings DepositS------------------Letters of Credit and Acceptances executed for Customers......... BNiolltsesPaanyadbBleil-l-s--R-e--d-i-s-c-o--u-n-t-e-d--.---.-. Other Liabilities................. 50,000.00 15,000.00 633.42 none none none 118.05 none 89,121.23 59,944.74 none none none none none Total..... ------- .... _____ ...........$ 214,817.44 STATEMENT Showing condition at the close of Business December 31, 1935, of the CITIZENS BANK Shady Dale, Ga. As called for by the Superintendent of Banks. J. H. YOUNG, 0. H. BANKS, President. Cashier. Date of Charter: 2-6-1920 Began Business: 4-a-1920 RESOURCES: Loans and Discounts______________$ 21,815.99 State of Georgia and Municipal Bonds owned-------------------- none U. S. Government Securities Oothwenr eSdto--c-k-s--a-n-d--B--on-d-s--o-wne-d.-.. none 195.00 Banking House and Lot------ none Furniture and Fixtures........... . 3,000.00 Other Real Estate owned......... . 3,614. 31 Cash in Vault and amount due from approved Reserve Agents.. 9, 730.08 Checks for Clearing and Due from other Banks.---COavsehrdIrtaefmtss...._._._._._-_-_-...-.-_-__--.-..-.-_-____--_ none none none Advance on Cotton and other Commodities------------- none Customers LiabilitY on Letters of Credit and Acceptances.......... none Profit and LOSS---------- none Other Total. Resources------------- .. ____________ .. ________ .. .-_...- $ - -no-ne 38,355.38 LIABILITIES: Capital Stock-----------------------$ Surplus Fund.. -------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks------------------- Demand Deposits----------------- Time Certificates of Deposits-----Savings Deposits------------------Letters of Credit and Acceptances executed for Customers---------BNiolltsesPaanyadbBleil.l.s-R--e--d-i-s-c-o--u-n-t-e--d-_-_-__--_ Other Liabilities.------------------ 20,000.00 none 622.04 none none none 41.18 none 9,267.33 8,424.83 none none none none none TotaL. ____ -------------------- __ --_.$ 38,355.38 SIXTEENTH ANNUAL REPORT 89 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF SHARON Sharon, Ga. As called for by the Superintendent of Banks. W. F. DOZIER, B. R. DARDEN, President. Cashier. Date of Charter: 9-29-1904 Began Business: 9-1904 R]SOURCES: Loans and Discounts--------------$ 21,211.11 State of Georgia and Municipal U.Bosn.dsGoowvneerdn-m--e-n-t---S--e-c-u--r-i-ti-e-s--- none BOaothnweknrienSdgt-oH-c-ko--su-s-ae-n-a-d-n-Bd--oL-n-od--ts-_-_o-_w-__-n_-e_-_c-_-:L_--_. Furniture and Fixtures___________ _ Other Real Estate owned__________ 14,616.71 none none 500.00 1,500.00 Cash in Vault and amount due from approved Reserve Agents-_ 67,389.28 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Overdrafts. ________________________ _ 14.12 10.00 1,441.00 AdCvoamncmeodointiesC. _o_t_t_o__n___a__n_d____o_t_h__e_r none CuCsrteodmiterasnLdiAabcicleitpytaonnceLs_e_t_t_e_r_s__o_ f_ none POrtohfeitr - Ra nedsoLuOrcSeSs _-_-_-_-_-_-----------------------__-_--_ - none -no-ne Total--------------------------------$ 106,682.22 LIABILITIES: Capital Stock.----------------------$ Surolus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits._---------------TSaimviengCserDtiefpicoastietss_o__f_D__e_p__o_s_i_t_s_-_-_-_-_--_ LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable.---------------------Notes and Bills Rediscounted----Other Liabilities. __ ---------------- 15,000.00 7,000.00 2,303.32 none none none none none 70,406.90 11,972.00 none none none none none TotaL-------------------------------$ 106,682.22 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF SILOAM Siloam, Ga. As called for by the Superintendent of Banks. JAS. B. DOLVIN. W. M. REYNOLDS, President. Cashier. Date of Charter: 1Q--18-1904 Began Business: 9-1904 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_P__a_l U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ Other Stocks and Bonds owned... Banking House and Lot----------FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-__-_-_-_-_--_ Cash in Vault and amount due from approved Reserve Agents.. Checks for Clearing and Due from other Banks._-------------------COavsehrdIrtaefmtss_-_-.-_-_-_-_-_-_-.-_-_-_-_-_-_-_-_-.--__-_-_-_-_--_ AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r CPruCosrfteiotdmaitenradsnLLdoiAassbc_ic_lei_tp_y_t_a_on_nc__eL_s__e__t__t__e___r__s____o_ __f Other Resources___________________ _ Total--------------------------------$ 14,769.48 none none none 2,500.00 1.500.00 6,149.05 51,875.90 10,532.86 none 14.73 none none none 96.68 87,438.70 LIABILITIES: Capital Stock---------------------- $ SUunrdpilvuids eFduPnrdo.f.it-s-.-_--:-_-_-_-_-_-__-_-_-_-_-_-_-_--_ Reserve Funds---------------------DDiuveidteonBdsanUkns-p-a-i-d--_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_--_ CCaersthifieierd's CChheecckkss_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_----Demand Deposits-----------------Time Certificates of Deposits-----Savings Deposits------------------LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__ta__n_c_e_s_ BNiolltsesPaanyadbBleil.l-s--R--e-d-i-s-c-o--u-n--te--d-_-_-__--_ Other Liabilities.. ----------------- 15,000.00 10,000.00 4,181.19 1,000.00 none 39.40 none none 43,102.79 14,115.32 none none none none none Total------------------------ -------$ 87,438.70 90 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the SOCIAL CIRCLE BANK Social Circle, Ga. As called for by the Superintendent of Banks. W. B. SPEARMAN, W. S. McKIBBEN, President. Cashier. Date of Charter: 12-31-1923 Began Business: 3-8-:1924 RESOURCES: Loans and Discounts--------------$ 35,406.37 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip__a_l 17,847.40 U. S. Government Securities owned----------------------------Other Stocks and Bonds owned.... none 12,001.50 Banking House and Lot----------- 3,200.00 FOuthrneirtRureealaEnsdtaFtiextouwrense-d--_-_-_-_-__-_-_-_--_ 1,800.00 none Cash in Vault and amount due from avvroved Reserve Agents-_ 64,690.21 Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------Overdrafts.------------------------- 5,000.00 none none Advance on Cotton and other Commodities---------------------- 21,793.20 CuCsrteodmiterasnLdiAabciclietvYtaonnceLs_e_t_t_e_r_s__o_ f_ none Profit and LOSS--------------------- none Other Resources--------------------- - -no-ne Total--------------------------------$ 161,738.63 LIABILITIES: Cavital Stock..... -------- __ -----.$ SUII>1us Fund---------------------RUensdeirvviedFedunPdrosf_i_t_S__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Due to Banks----------------------Dividends Unvaid.----------------Cashier's Checks------------------Certified Checks-------------------Demand Devosits-----------------Time Certificates of Devosits-----Savings Devosits----------------- -LeetxteecrsutoefdCforerdCituastnodmAercsc_e_v__t_a_n_c__es_ Bills Payable----------------------Notes and Bills Rediscounted----Other Liabilities __ ----------------- 25,000.00 5,000.00 144.43 none none 2,000.00 40.00 40.00 110,550.42 159.20 18.804.63 none none none none TotaL-------------------------------$ 161,738.68 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BANK OF SOPERTON Soperton, Ga. As called for by the Superintendent of Banks. J. B. O'CONNER. J. E. HALL, President. Cashier. Date of Charter: 6-16-1906 Began Business: 6-1903 RESOURCES: Loans and Discounts ______________$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_i>__a_l U.owSn.edG__o__v_e_r_n__m__e_n_t____S_e_c__u_r_i_ti_e__s_ _ Other Stocks and Bonds owned.__ BFuarnnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ Other Real Estate owned_________ _ Cash in Vault and amount due from avvroved Reserve Agents.. Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-__-_-_-_-_--------------------Overdrafts- ___ -------- __ -----------AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r Customers Liability on Letters of PrCorfeitdaitnadnLdosAs_c_c__e_p_t_a_n__c_e_s_-_-_-_-_-_-_-_-_-_Other Resources____________________ 99,461.86 8,528.40 35,335.36 2,100.00 13,300.00 4,465.50 27,467.41 141,106.18 none none none 2,032.20 nnoonnee 1,209.20 ~--- Total_------ __________ ---------------$ 335,006.11 LIABILITIES: Cavital Stock-----------------------$ Cavital Notes----------------------Surplus Fund-_-------------------Undivided Profits ----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unvaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Devosits-- ----- ----------Time Certificates of Devosits..... . Savings Devosits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_v__t_a_n_c__es_ BNiolltsesPaaynadbBlei-ll.s. R- -e-d- -i-s-c-o- -u-n-t-e- -d-.-_-_-_ -_ Other Liabilities------------------- 25,000.00 35,000.00 10,000.00 1,555.56 none none none 1,199.83 none 171,425.77 68,180.63 18.055.09 none none none 4,589.23 TotaL-------------------------------S 335,006.11 SIXTEENTH ANNUAL REPORT 91 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE EXCHANGE BANK OF SPRINGFIELD Springfield, Ga. As called for by the Superintendent of Banks. J. W. TEBEAU, J. M. MARCHMAN, President. Cashier. Date of Charter: 12-31-1907 Began Business: 1-1-1908 RESOURCES: Loans and Discounts--------------$ 107,200.00 State of Georgia and Municil>a.l U.BoSn.ds Go wovneerdn-m- -e-n-t- -S- -e-c u-r-i-t-ie- -s- - none owned----------------------------- 10,000.00 Other Stocks and Bonds owned-- 500.00 BFuarnnkiitnugreHaonudseFaixntdurLeos _t-_-_-__-_-_-_-_-_-_--_ 2,800.00 1,000.00 Other Real Estate owned.-------- none Cash in Vault and amount due from approved Reserve Agents._ 77,223.21 Checks for Clearing and Due from Caosth eIrteBmasn__k_s_._-_-__-_-_-_-_-_-_-_-_-_-__-__-__ ___ none none Overdrafts._ .. -- .. ---------------- none Advance on Cotton and other Commodities---------------------- none Customers Liability on Letters of Credit and Acceptances---------- none Profit and Loss--------------------- none - - - - Other Resources----------------- none TotaL_ .. _------ __ -------- .... ------$ 198,783.21 LIABILITIES: Capital Stock---------------------..$ Surplus Fund.-------------------Undivided Profits.. ---------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits.----------------Time Certificates of Deposits-----LSaeevtxtieencrgsustoeDfdeCfporoersdCiittusa-s-tno-d-m--Ae-r-cs-c-_e_-p_-_-ta_-_-n_-c_-e_-s-_ Bills Payable.--------------------Notes and Bills Rediscounted.. Other Liabilities.----------------- 15,000.00 7,500.00 80.11 none none none 3,233.93 none 113,258.95 11,673.29 48,036.93 none none none none TotaL _____________ .. ______________ ..$ 198,783.21 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF STAPLETON Stapleton, Ga. As called for by the Superintendent of Banks. J. C. KILGORE, J. C. KILGORE, President. Cashier. Date of Charter: 9-24-1906 Began Business: 1906 RESOURCES: SLtoaatnes oafndGeDoirsgcioaunatnsd---M---u-n-i-c-i-p--a-l$ Bonds owned.-------------------- U. S. Government Securities Oot hwenr eSdt-o-c-k- -s- -a-n- -d- -B- -o-n-d- -s- -o-w- -n- -e-d-_-_FBuarnnkiitnugreHaonudseFaixntdurLeost_-_-_-_-_-__-_-_-_-_--_ Other Real Estate owned---------Cash in Vault and amount due from approved Reserve Agents._ Checks for Clearing and Due from CaosthheIrteBmasn.k..s.._-_-_-.-.-_-_-_-_-_-_-__--.-.-_-_-_------_AOdvveardncraeftso.n_--C--o-t-t-o--n---a--n-d---o--t-h-e--r Commodities---------------------CuCsrteodmiterasnLdiAabcicleitpytaonnceLs _e_t_t_e_r_s___of_ Profit and LOSS--------------------Other Resources-------------------- TotaL .... ---- __________________ ----$ 23,797.56 none 4,000.00 none 2,400.00 2,500.00 3,509.00 38,275.00 10,000.00 none 46.22 none none none 537.66 85,065.44 LIABILITIES: Capital Stock.... -------------------$ Surplus Fund._------------------RUensdeirvviedFedunPdros.f.i_ts__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--__Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------TDiemmeaCnderDtifeipcoatseitsSo-f--D--e-p--o-s-i-t-s-_-_-_-_-_-_ Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c_e_s_ BNiolltsesPaanydabBleil.l-s--R-e--d-i-s-c-o--u-n--te--d-.-.--_-_ Other Liabilities._----------------- 15.000.00 4.000.00 182.44 none none none 126.50 none 59,900.22 5,856.28 none none none none none TotaL _______ -------- ______________ ..$ 85,065.44 92 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the BULLOCH COUNTY BANK Statesboro, Ga. As called for by the Superintendent of Banks. S. W. LEWIS, W. L. deJARNETTE, President. Cashier. Date of Charter: 1-19-1934 Began B<~siness: 4-H-1934 RESOURCES: Loans and Discount~--------------$ 115,116.18 StBaotendosf oGwenoerdg_i_a__a__r_td___M___u_n_i_c__ip__a_l 3,071.67 U.owSn.edG..o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ 17,500.00 Other Stocks and Bonds owned... none BFuarnnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ 20,000.00 4,500.00 Other Real Estate owned........ .. none Cash in Vault and amount due from approved Reserve Agents __ 299,470.70 Checks for Olearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ 6,226.45 17.25 Overdrafts. ___ ---------- ______ ---. __ none AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__er_ 17,820.15 Customers Liability on Letters of PrCorfeitdaitnadnLdosAs_c_c_e__p_t_a_n_c_e__s_.-_-_-_-_-_-_-_-_- nnoonnee Other Resources____________________ 425.34 ---- Total__________ ----------------------$ 484,147.74 LIABILITIES: Capital Stock---------------------- $ Capital Notes-----------.------ __ --Surplus Fund.--------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidtoenBdas nUkns-p-a-i-d--_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks __________________ _ Certified Checks. __________________ _ DTSaiemvmienagCnsderDDtiefepipcooastsietissts_o_-_-f_-D_-_-e_-_p-_-o_-s_-i_-t_-s_-._-__-__-___--__ LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ BNiolltsesPaanyadbBleil.l.s-R--e--d-i-s-c-o--u-n-t-e--d-.-.-.-.-. Other Liabilities.. ----------------- 50.000.00 2w5..o0a0o0..o0o0 6,010.02 1.250.00 none 420.00 3,187.24 none 326,048.28 62,232.20 none none none none none Total.... __ -- __ ---- ____ ._.-.-.- ......$ 481,147.74 STATEMENT Showing condition at the close of Business December 31, 1935, of the SEA ISLAND BANK Statesboro, Ga. As called for by the Superintendent of Banks. C. P. OLLIFF, C. B. McALLISTER, President. Cashier. Date of Charter: 3-11-1901 Began Business: 1901 RESOURCES: Loans and Discounts..............$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip__a_l U.owSn.edG..o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ Other Stocks and Bonds owned... BFuanrnkiitnugreHaonudseFaixntdurLeos_t-_-__-_-_-_-_-_-_--_-_ Other Real Estate owned_________ _ Cash in Vault and amount due from approved Reserve Agents.. Checks for Olearing and Due from CaosthheIrteBmasn_k__s_._._-_-_-_-__-_-_-_-_-_-_-_-_-_--.-.-.-.-.-. Overdrafts. __________ .-------------Advance on Cotton and other Commodities.. ______ .. _.-.--.- .... Customers LiabilitY on Letters of Credit and Acceptances........ .. b;;dit and Acceptances---------- none - - - - Profit and LOSS-------------------- Other Resources------------------ none 261.64 TotaL------------------------------S 253,472.33 LIABILITIES: Capital Stock_______________ --------$ US unrdoilvuids eFduPnrdo.f-i-t-s-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_- -_ Reserve Funds---------------------DDiuveidteonBdsanUkns-p-a-i-d--_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks------------------CDeermtiafinedd DCehpeocskist-s-.-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_ Time Certificates of Deposits-----Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ BNOiotlhltseesPr aaLyniaadbbBilleiil.tli.se-sR-.-e_-_d-_-i_-s_-c_-o_-_u-_-n_-_t-e_-_d-_-._-__-___--__ 25.000.00 15,000.00 830.48 none none none 4,329. 77 none 183,856.56 24,455.52 none none none none none TotaL-----------------------$ 253,472.33 SIXTEENTH ANNUAL REPORT 95 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE CITIZENS BANK OF SWAINSBORO Swainsboro, Ga. As called for by the Superintendent of Banks. J. R. COLEMAN, OTIS G. PRICE, President. Cashier. Date of Charter: ll-1Q-1900 Began Business: 1900 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municii>al Bonds owned--------------------U.owSn.edG. . o__v_e__rn__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ Other Stocks and Bonds ownecL. BFuanrnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ Other Real Estate owned_________ _ Cash in Vault and amount due from ai>I>roved Reserve Agents.. Checks for Clearing and Due from other Banks---------------------Cash Items... --- __ -----------------Overdrafts._------------ ____ -------Advance on Cotton and other CuCCsroteomdmmiteorasdniLdtiieAasbc-ic-le-it-iY>--t-ao-n-nc-e-Ls--_e-_t-_t_-e_-r_-s_-_-o_--f_ Profit and Loss--------------------Other Resources.------------------- 198,752.49 5,050.00 49,016.78 548.86 none I, 750.00 58,720.74 357,410.14 2,257.26 I, 184.08 none none none none none Total--------------------------------$ 674,690.35 LaBILITIES: Cai>ital Stock ----------------------$ USunrdi>ivluids eFduPnrdo-f-i-t-s-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_- -_ Reserve Funds---------------------Due to BankS----------------------Dividends Uni>aid-----------------Cashier's Checks------------------Certified Checks-------------------TDiemmeaCnderDtifeiic>aotessitos.f--D--e-i>--o-s-i-t-s-.-.-.-.-.-. Savings Dei>osits------------------Letters of Credit and Accei>tances executed for Customers........ BNiolltsesPaanydabBleil.l-s--R--e-d-i-s-c-o--u-n-t-e--d-.-.--.-. Other Liabilities.---------------:.. 25,000.00 40,000.00 2,141.88 4,878.32 none 7,500.00 3,927.02 none 372,611.10 218,632.03 none none none none none TotaL-------------------------------$ 674,690.35 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE EXCHANGE BANK Sycamore, Ga. As called for by the Superintendent of Banks. 0. W. SMITH, JOHN A. SMITH, President. Cashier. Date of Charter: 3-18-1918 Began Business: 3-18-1918 RESOURCES: Loans and Discounts. _____________$ 7,898.16 State of Georgia and Municipal Bonds owned..------------------U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ none none BOathnekrinSgtoHckosusaenadnBdoLnodts..o_w__n__e_d___ ._ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ none 3,500.00 2,745.00 2,319.46 Cash in Vault and amount due from approved Reserve Agents.. 29,783.94 Choetchkesr fBoarnCklse_a_r_i_n_g__a_n__d__D__u__e_f_r_o__m_ Cash Items_________________________ _ Overdrafts. ________________________ _ none none none AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h_e_ r_ none CuCsrteodmiterasnLd iAa bcicleiit>ytaonnceLs _e_t_t_e_r_s___of_ none Profit and Loss--------------------- 367.06 Other Resources--------------------- - -no-ne TotaL-------------------------------$ 46,613.62 LIABILITIES: Cai>ital Stock-----------------------$ Surolus Fund.--------------------RUensdeirvviedeFdunPdrosf. _it_s_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_-_--_ Due to Banks----------------------Dividends Unpaid-----------------CCearsthifieierd's CChheecckkss_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_ TDiemmeaCnderDtifeiic>aotseitss .o.f-D- -e- p- -o-s-i-t-s-.-.-.-.-.-. Savings Deposits------------------Letters of Credit and Accei>tances executed for Customers---------BNiolltsesPaanydabBleil.l-s--R--e-d-i-s-c-o--u-n--te--d-_-_-_-_-_ Other Liabilities.- _____ ------------ 15,000.00 none none none none none 5.95 none 24,460.77 7,146.90 none none none none none TotaL... _____ -------- ____ -----------$ 46,613.62 96 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF SCREVEN COUNTY Sylvania, Ga. As called for by the Superintendent of Banks. J. A. MILLS, JOHN A. MILLS, JR., President. Cashier. Date of Charter: 4-1(}-1913 Began Business: 5-1-1911 RESOURCES: Loans and Discounts--------------$ 289,405.73 State of Georgia and Municipal Bonds owned--------------------- 48,765.38 U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ 50,450.00 Other Stocks and Bonds owned___ none Banking House and Lot----------- none Furniture and Fixtures------------ 3,000.00 Other Real Estate owned---------- 7,389.94 Cash in Vault and amount due from avvroved Reserve Agents-- 169,542.65 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_--_ 1,157.43 265.92 Overdrafts.--- __ -------------------Advance on Cotton and other none Commodities---------------------- none Customers Liability on Letters of Credit and Accevtances---------- none Profit and Loss--------------------- none Other - Resources-------------------- - -414-.94 Total-.-- __ -------------~---- __ ---- ..$ 570,391. 99 LIABILITIES: Cavita1 Stock-----------------------$ Cavital Notes_____ ----_------------Survlus Fund.. ------------------- Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unvaid-----------------CasWer's Checks------------------Certified Checks-------------------Demand Devosits-----------------Time Certificates of Devosits-----Savings Devosits------------------Letters of Credit and Accevtances executed for Customers---------BNiolltsesPaanydabBleil.l.s-R--e--d-i-s-c-o--u-n-t-e-d--_-_-__--_ Other Liabilities. __ ---------------- 50,000.00 25,000.00 10,000.00 21,042.78 none none 3,000.00 3,016.02 none 305,026.43 112,010.39 37,296.57 none none none 3,999.80 Total-.. ____________________ ---------$ 570,391.99 STATEMENT Showing condition at the close of Business December 31, 1935, of the SYLVESTER BANKING COMPANY Sylvester, Ga. As called for by the Superintendent of Banks. T. C. JEFFORD, J. H. WESTBERRY, SR., President. Cashier. Date of Charter: 7-5-1898 Began Business: 7-1898 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_v__a_l U. S. Government Securities BOaothnweknrienSdgt-oH-c-ko--su-sa-e-n-ad--n-Bd-o-L-n-od--ts-_-_o-_w-__-n_-_e-_-d_-__-_-__ FOuthrneirtRureealaEnsdtaFtiextouwrense-d--_-_-__-_-_-_-_-_--_ Cash in Vault and amount due from avvroved Reserve Agents.Checks for ClEiaring and Due from 79,723.50 7,000.00 35,175.00 2,000.00 6,000.00 2,500.00 none 333,006.89 CaosthheIrteBmasn_k__s_._-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_--_ Overdrafts._------------ ______ -----Advance on Cotton and other CuCsotommmeorsdiLtiieasb-i-l-i-t-y--o--n--L--e-t-t-e-r-s--o--f Credit and Accevtances__________ Profit and Loss_____________________ none none none 15,415.12 none none Other Resources--------------------- - -498-.17 TotaL-----------------------------$ 481,318.68 LIABILITIES: Cavita1 Stock_______________________$ USunrdvilvuids eFduPnrdo-f-i-t-s-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_- -_ Reserve Funds_____________________ _ Due to BankS----------------------Dividends Unvaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Devosits-----------------Time Certificates of Devosits-----Savings Devosits. __ ---------------Letters of Credit and Accevtances executed for Customers_________ _ Bills Payable.. _-------------------Notes and Bills Rediscounted----Other Liabilities. __ ---------------- 50,000.00 25,000.00 9,937.89 517.30 none 332.00 1,922.29 none 330,025.69 63,583.51 none none none none none TotaL----------------------'--------$ 481,318.68 SIXTEENTH ANNUAL REPORT 97 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE PEOPLES BANK Talbotton, Ga. As called for by the Superintendent of Banks. R. K. PERSONS, FANNIE MAHONE, President. Cashier. Date of Charter: Hl-3-1890 Began Business: 1-13-1891 RESOURCES! Loans and Discounts--------------$ State of Georgia and Municil>al Bonds owned--------------------U. S. Government Securities Oothwenr eSdt-o-c-k--s-a--n-d---B-o--n-d--s--o-w--n-e--<-L--. Banking House and Lot----------FOut hr neirtRu reealaEn sdt aFtiextouwrense-d--. -_-_-_-__-_-_-_--_ Cash in Vault and amount due from ai>proved Reserve Agents._ Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------Overdrafts. ___ ---------------------Advance on Cotton and other Commodities---------------------CuCsrteodmiterasnLdiAabcicleitpytaonnceLs.e.t.t.e_r_s__o_ f_ POrtohfeirt aRnedsoLurocsess-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ TotaL. ______ -----------------------$ 53,175.27 none 57,500.00 none 4,063.27 1,402.25 1,162.21 40,826.26 244.87 757.73 none 170.43 none none 181.44 159,483.73 LIABILITIES! Capital Stock-----------------------$ Surplus Fund---------------------Undivided Profits.----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------CCearsthifieierd's CChheecckkss_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ DTiemmeaCnderDtifeipcaotseistso--f-D--e-p--o-s-i-t-s-.-_-_-__--_ Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__ta__n_c_e_s_ Bills Payable----------------------Notes and Bills Rediscounted..... Other Liabilities.----------------- 25,000.00 15,000.00 2,405.43 none none 15.00 299.99 none 76,148.89 40,614.42 none none none none none TotaL--.-----------------.--_-._.-.$ 159,483.73 STATEMENT Showing condition at the close of Business December 31, 1935, of the CITZENS BANK OF TALLAPOOSA Tallapoosa, Ga. As called for by the Superintendent of Banks. W. H. WRIGHT, W. H. WRIGHT, President. Cashier. Date of Charter: 1o-!l-1935 Began Business: 1o-7-1935 RESOURCES! Loans and Discounts--------------$ 7,617.19 State of Georgia and Municil>al U.BoSn.dsGoowvneerdn-m--e-n-t---S--e-c-u--r-i-ti-e--s-- none BOaothnweknrienSdgt-oH-c-ko--su-sa-e-n-ad--n-Bd-o--Ln-od--ts-_-o_-_w-__-n_-_e-_-d_-._-.-_ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ none 100.00 none 495.00 none Cash in Vault and amount due from approved Reserve Agents.. 64,338.06 Checks for Clearing and Due from other Banks---------------------Cash Items.------------------------Overdrafts.- ------.----------.-----AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r none none 70.37 5,831.45 Customers Liability on Letters of Credit and Accei>tances__________ none POTrotohtafeilrt._Ra.ne-s-do_u_Lr-co-e-ss_-s-_--_--_--_-__-_-__-__-__-__-_--_--_---_---_--_--_--_--_---_-$- - -4n0o0-.n0e0 78,852. 07 LIABILITIES! Capital Stock----------------------$ Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------CDaivsihdieenr'dssCUhnepckasid. _-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks___________________ _ Demand Deposits-----------------Time Certificates of Deposits-----Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ BNiolltsesPaanydabBleil.l-s--R--e-d-i-s-c-o--u-n--te--d-_-_-__--_ Other Liabilities----------------- 25,000.00 4,925.50 none none none none none none 43.926.57 none 5,000.00 none none none none TotaL _______ ---------------------- ..$ 78,852.07 98 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF TAYLORSVILLE Taylorsville, Ga. As called for by the Superintendent of Banks. J. I. HARRIS, M.A. PERRY, President. Cashier. Date of Charter: 6-5-1905 Began Business: 6-13-1905 RESOURCES: Loans and Discounts.. ------------$ 32,786.79 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip_ a__l none U.owSn.edG..o..v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s __ 9,291.36 Other Stocks and Bonds owned... none Banking House and Lot----------- 1,400.00 FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-_-__-_-_-_--_ 2,000.00 550.00 Cash in Vault and amount due from aDProved Reserve Agents._ 55,650.15 Checks for Clearing and Due from other Banks---------------------- none Cash Items________ ------------------ none Overdrafts. ___ ---------------------- none AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__er_ none Customers LiabilitY on Letters of Credit and Acceptances__________ none Profit and Loss_____________________ none Other Resources____________________ 118.66 ---- Total-------------- __ ----------------$ 101.796.96 LIABILITIES: CaDital Stock._____________________ .$ SurDlUS Fund _____________________ _ RUensdeirvviedeFdunPdrosf_i_t_s_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_--_-_ Due to Banks______________________ _ CDaivsihdieenr'dssCUhneDckasi_d_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks________ -----------Demand DeDosits.. ---------------Time Certificates of DeDosits...... Savings DeDositS------------------Letters of Credit and AcceDtances executed for Customers---------Bills Payable._--------------------Notes and Bills Rediscounted.... Other Liabilities.. ----------------- 25,000.00 5,000.00 4,673.01 none none 1,000.00 8.00 none 48,020.37 6,407.27 11,688.31 none none none none Total.. -----------------------------.$ 101,796.96 STATEMENT Showing condition at the close of Business December 31, 1935, of the TENNILLE BANKING CO. Tennille, Ga. As called for by the Superintendent of Banks. S. D. MANDEVILI.E, HARVEL NORRIS, President. Cashier. Date of Charter: 4-4-1900 Began Business: 4-4-1900 RESOURCES: Loans and Discounts.. ---------- ..$ 66,554.17 StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_i_c_i_D__al_ u.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_i_e_s_ _ 16,366.35 none Other Stocks and Bonds owned... none Banking House and Lot__________ _ none FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-__-_-_-_--__- 2,000.00 6,928. 75 Cash in Vault and amount due from approved Reserve Agents._ 76,970.70 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_.____________-_-_--------------------------Overdrafts.- ___________ --- ________ __ none none none Advance on Cotton and other Commodities____________ ---_------ 28,462.71 Customers Liability on Letters of Credit and AcceDtances__________ none Profit and Loss_____________________ none Other Resources____________________ 300.20 ----- Total--------------------------------$ 197,582.88 LIABILITIES: Capital Stock.. ___________________ ..$ Surplus Fund ________________ --- __ _ Undivided ProfitS-----------------Reserve Funds---------- ____ -------DDiuveidtoenBdsanUknsD..a..id_______-_-_-_-_-__-_-_-_-_-_-_-_-_--_ Cashier's Checks __________________ _ Certified Checks.. _________________ Demand Deposits.. ---------------Time Certificates of DeDosits_____ _ Savings DeDosits------------------Letters of Credit and AcceDtances executed for Customers________ __ Bills PaYable._--------------------Notes and Bills Rediscounted____ _ Other Liabilities .. -------------- __ _ 30.000.00 6,000.00 3,293.01 595.00 none none 836.59 none 89,316.64 45.237.95 22,303.69 none none none none TotaL.------------ __ ---------------.$ 197,582.88 SIXTEENTH ANNUAL REPORT 99 STATEMENT Showing condition at the close of Business December 31, 1935, of the CITIZENS AND SOUTHERN BANK Thomaston, Ga. As called for by the Superintendent of Banks. JAS. R. ATWATER, H. W. WHEELESS, President. Cashier. Date of Charter: 1-16-1926 Began Business: 1-16-1926 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municival U.BoSn.ds Goowvneerdn-m--e-n-t---S--e-c-u--r-i-ti-e-s--Oot hwenr eSdt-o-c-k- -s- a- -n-d- - -B-o- -n-d- -s- -o-w- -n- -e-d- ---. BFuarnnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ Other Real Estate owned_________ _ Cash in Vault and amount due from avvroved Reserve Agents._ Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_--_ Overdrafts. _________________ -------AdCvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r CuCsrteodmiterasnLd iAabcicleitvytaonnceLs _e_t_t_e_r_s___o_f POrtohfeirt RanedsoLuOrcSesS_-_-_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_--_ 180,614.63 none 72,541.17 none 10,000.00 2,021.28 44., 787.24 743,393.33 l, 909.25 none none lll,065. 79 none none 4,917.31 TotaL------------------------------$ 1,171, 250.00 LIABILITIES: Capital Stock-----------------------S Surolus Fund---------------------Undivided Profits-----------------Reserve FundS---------------------Due to Banks----------------------Dividends unvaid------~---------- Cashier's Checks------------------Certified Checks-------------------Demand Devosits- ----------------Time Certificates of Devosits-----Savings Devosits------------------LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable-_--------------------Notes and Bills Rediscounted----Other Liabilities._----------------- 100,000.00 25,000.00 7,354.07 1,470.93 none none 2,132.24 none 718,064.24 189,532.33 127,696.19 none none none none Total--------------------------------$ l, 171,250.00 STATEMENT Showing condition at the close of Business December 31, 1935, of the COMMERCIAL BANK Thomasville, Ga. As called for by the Superintendent of Banks. J. TRUMAN HOLLAND, W. J. MILL~R. JR., President. Cashier. Date of Charter: 7-3-1916 Began Business: 7-22-1916 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_v__a_l U.owSn.edG__o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ Other Stocks and Bonds owned___ Banking House and Lot__________ _ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ Cash in Vault and amount due from avproved Reserve Agents._ Checks for Clearing and Due from other Banks---------------------COavsehrdIrtaefmtss--_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--------AdCvoamncmeodoitniesC__o_t_t_o__n___a_n__d_.___o_t_h__er_ CuCsrteodmiterasnLdiAabcicleitvytaonnceLs_e_t_t_e_r_s__o_ f_ POrtohfeirt RanedsoLurOcSesS_-_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_-_-_--_ 382,104.30 21,087.75 44,135.00 17,335.76 40,000.00 10,500.00 13,700.00 763,543.14 16,744.32 43.75 .82 15,188.37 none none 1,554.40 Total--------------------------------$ 1, 325,987.61 LIABILITIES: Capital Stock-----------------------$ Survlus Fund---------------------Undivided Profits-----------------RDeuseertvoeBFaunnkdss_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Dividends Unvaid_________________ _ CCearsthifieierd'sCChheecckkss_____________________________________ __ Demand Devosits-----------------Time Certificates of Devosits-----LSaeevtxtieencrgsustoeDfdeCfvoroersdCiittusa-s-tno-d-m--Ae-r-cs-c-_e_-v_-_-ta_-_-n_-c_-e_-s-_ BNiolltsesPaanyadbBleil.l.s-R--e--d-i-s-c-o--u-n-t-e-d--_-_-__--_ Other Liabilities.------------------ 50,000.00 40,000.00 2,213.96 none 22,104.60 201.00 6,128.33 5,029.41 870,964.21 21,943.33 307,382.77 none none none none Total___ ----------- __ ----------------$ 1, 325,987. 61 100 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF THOMSON Thomson, Ga. As called for by the Superintendent of Banks. J. E.. WILKERSON, E. C. HAWES, President. Cashier. Date of Charter: 7-18-1891 Began Business: 7-18-1891 RI!.SOURCES: Loans and Discounts--------------$ 78,448.05 State of Georgia and Municii>al Bonds owned--------------------- 42,502.29 U. S. Government Securities Oothwenr eSdt-o-c-k--s-a--n-d---B-o--n-d--s--o-w--n-e-d--..-.-. 60,017.50 lll,878.40 Banking House and Lot.......... 12,000.00 Furniture and Fixtures------------ 4,250.00 Other Real Estate owned.......... 10,052.77 Cash in Vault and amount due from avvroved Reserve Agents.. 233,318.73 Checks for Clearing and Due from other Banks......................' 5,360.16 Cash Items.......................... 28.87 AOdvvearndcreaftos.n---C--o--tt-o--n---a-n--d---o--t-h-e-r 63.91 Commodities---------------------Customers Liability on Letters of none Credit and Accevtances.......... none Profit and Loss..................... none - - - - Other Resources........------------ 717.84 TotaL.------ ...... -----------------$ 558,638.52 LIABILITIES: cavital Stock......................$ Survlus Fund---------------------Undivided Profits-----------------Reserve Funds.--------------------Due to Banks.---------------------Dividends Unvaid.......--------- Cashier's Checks................... Certified Checks-------------------Demand Devosits-----------------Time Certificates of Devosits...... Savings Devosits. ---------------- Letters of Credit and Acceptances BiellxsePcuatyeadbfloer__C__u_s_t_o_m__e__r_s_._._._._._._._._. ._ Notes and Bills Rediscounted..... Other Liabilities.------------------ 50,000.00 50,000.00 16,277.67 none none 4,000.00 1,165.39 675.00 249,958.25 186,562.21 none none none none none Total.......... ---------------.----.$ 558,638.52 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BANK OF TIFTON Tifton, Ga. As called for by the Superintendent of Banks. E. P. BOWEN, Sr. B. H. McLEOD, President. Vice-President & Cashier. Date of Charter: 1o-1o-1891 Began Business: 1896 RESOURCES: Loaus and Discounts ______________$ StBaotendosf oGwenoerdg.i_a__a__n_d___M__u__n_i_c_i_v__a_l U. S. Government Securities owned----------------------------Other Stocks and Bonds owned.... Banking House and Lot.......... Furniture and Fixtures............ Other Real Estate owned.......... Cash in Vault and amount due from avvroved Reserve Agents.Checks for Clearing and Due from other Banks.--------------------Cash Items...----------------------Overdrafts.. -----------------------Advance on Cotton and other Commodities---------------------Customers Liability on Letters of Credit and Accevtances.......... Profit and Loss..................... Other Resources.................... 493,465.52 none 119,171.90 49,553.05 26,993.35 none 69,349.02 891,276.55 21,071.76 1,182.83 413.08 none none none 1,683.05 Total--------------------------------$ 1,674,160.11 LIABILITIES: Capital Stock.......................$ Surplus Fund..................... Undivided Profits.................. RDeuseertvoeBFaunnkdss...-.-.-.-.-.-.-.-.-.-.-.-.-.-.-..-.-.-.-.-. Dividends Unvaid................. Cashier's Checks................... Certified Checks.................... Demand Devosits.................. Time Certificates of Devosits...... Savings DepositS------------------Letters of Credit and Accevtances executed for Customers.......... Bills Payable----------------------Notes and Bills Rediscounted..... Other Liabilities.------------------ 100,000.00 150,000.00 63,282.27 1,000.00 143,136.86 none 10,681.50 26,345.51 760,078.42 282,597.41 137,038.14 none none none none Total--------------------------------$ 1, 674,160.11 SIXTEENTH ANNUAL REPORT 101 STATEMENT Showing condition at the close of Business Decem.ber 31, 1935, of the THE BANK OF TIGNALL Tignall, Ga. As called for by the Superintendent of Banks. C. D. BOLTON, L. D. WARE, President. Cashier. Date of Charter: '7-5-1909 Began Business: 8-1909 RESOURCES: Loans and Discounts--------------$ 37,224.42 State of Georgia and Munici:oal Bonds owned--------------------- none U.owSn.edG. _o__v_e_r_n__m__e_n__t___S_e_c__u_r_i_t_ie__s_ _ none Other Stocks and Bonds owned... 693.19 Banking House and Lot----------- 4,750.00 FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-_-__-_-_-_--_ 1,250.00 8,400.03 Ca.sh in Vault and amount due from a:o:oroved Reserve Agents-_ 63,950.10 Checks for Clearing and Due from Cao.sthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Overdrafts- ________________________ _ none none none Advance on Cotton and other Commodities---------------------- none - - - - - PCruCosrfteiotdmaitenardsnLLdoiAasbsc_ic_le_i:t_oy_t_a_on_nc__eL_s__e__t__t__e__r__s____o__ f__ Other Resources___________________ _ none none none TotaL-------------------------------S 116,267.71 LIABILITIES: Ca:oital Stock-----------------------$ Ca:oital Notes----------------------Sur:olus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Un:oaid.----------------CCae.rsthifiieerd'sCChheecckkss_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ SDTaiemvmienagCnsderDDtiefe:io:cooaostiestsist_so_-_f-_-D_-_-e_-:_-o_-o_-_s-_i-t_-s_-__-__-_-_-_---__ LeetxteercsutoefdCforerdCituastnodmAercsc_e_:_o_t_a_n_c__es_ BNiolltsesPaanydabBleil_l-s-R--e-d--i-s-c-o-u--n-t-e-d--_-_-__--_ Other Liabilities._----------------- 25,000.00 10,000.00 none 300.00 none none none 209.68 none 63,427.98 17,330.05 none none none none none Total.--.-.------------------------ ..$ 116.267.71 STATEMENT Showing condition at the close of Business Decem.ber 31, 1935, of the BANK OF TOCCOA Toccoa, Ga. As called for by the Superintendent !)f Banks. J. C. ANDREWS, J. H. CURTIS, President. Cashier. Date of Charter: 8-1o-1911 Began Business: 9-1-1911 RESOURCES: Loans and Discounts--------------$ 176,871.99 State of Georgia and Munici:oal U.BoSn.ds Gowovneerdn-m--e-n--t ---S-e-c--u-r-i-ti-e--s-- none Oothwenr eSdt-o-c-k--s--a-n--d--B--o-n-d--s--o-w--n--e-d-.-.-. 50,000.00 4,000.00 Banking House and Lot----------Furniture and Fixtures-----------Other Real Estate owned---------Ca.sh in Vault and amount due from a:o:oroved Reserve Agents.. none 4,000.00 16,400.00 96,235.23 Checks for Clearing and Due from other Banks.--------------------Ca.sh Items-------------------------Overdrafts____ ---------------------AdCvoa=ncoediotinesC__o_t_t_o__n___a__n_d____o_t_h__e_r Customers LiabilitY on Letters of Credit and Acce:otances__________ 1,428.98 none none 14,536.05 none Profit and Loss--------------------- none Other - Resources-------------------- -1,-147-.16 Total.. ----------------------.----- ..$ 364,619.41 LIABILITIES: Ca:oital Stock-----------------------$ Ca:oital Notes----------------------Sur:olus Fund---------------------Undivided ProfitS-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Un:oaid-----------------Ca.shier's Checks------------------Certified Checks-------------------TDSaiemvmienagCnsderDDtiefe:io:cooaostsietistss_-o_-_f-_D-__-e_-:_-o_-o_-_-s_-it_-s_-__-__-__-___--__ LeetxteercsutoefdCforerdCituastnodmAercsc_e_:_o_t_a_n_c__es_ Bills Payable- __ -------------------Notes and Bills Rediscounted..... Other Liabilities. __ ---------------- 25,000.00 25,000.00 5,000.00 8, 728.46 none none none 777.82 none 237.806.02 20,640.51 41,666.60 none none none none Total--------------------------------5 364,619.41 102 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the WILKINSON COUNTY BANK Toomsboro, Ga. As called for by the Superintendent of Banks. F. B. CHAMBERS, H. E. STEPHENS, President. Cashier. Date of Charter: 7-16-1907 Began Btlsiness: 7-16-1907 RESOURCES: Loans and Discounts--------------$ State of Georgia and Municipal Bonds owned--------------------U. S. Government Securities Oot hwenr eSdt-o-c-k- -s- -a-n- d- - -B- -o-n-d- -s- -o-w- -n-e- -<-L- -. Banking House and Lot----------Furniture and Fixtures......... Other Real Estate owned---------Cash in Vault and amount due from apiJroved Reserve Agents._ Checks for Olearing and Due from other Banks---------------------Cash Items.------------------------Overdrafts. _..---.------ -----------Advance on Cotton and other CuCsotommmeorsdiLtiieasb-i-l-i-t-y--o--n--L--e-t-t-e-r-s--o--f Credit and AcceiJtances.......... Profit and Loss--------------------Other Resources-------------------- 58,382.86 none 2,900.00 none none 195.00 30,289.35 55,587.39 none none 139.55 none none none 162.50 TotaL--------------------------------$-1-47-.-656-.6-5 LIABILITIES: CaiJital Stock--------------------$ CaiJital Notes...........-----SUri>lus Fund-------------------- Undivided Profits--------------- Reserve Funds.............. DDiuveidteonBdsanUknsi-J-a-i-d-.-.-.-.--.-.--.-...-.--Cashier's Checks........... CDeermtiafinedd DCehiJeocskitss-.-.-..--..-...-..-. Time Certificates of Deposits... Savings DeiJosits-------------- Letters of Credit and AcceiJtances executed for Customers... BNiolltsesPaanYdaBblilel-s-R--e-d-i-sco-u-n--te-d..- Other Liabilities------------- 15,000.00 10,000.00 none 5,435.97 875.00 none none 617.65 none 75,451.35 40,276.68 none none none none none Total..... ---.-------- .. -------- ...$ 147,656.65 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF TRION Trion, Ga. As called for by the Superintendent of Banks. BENJ. D. REIGEL, GRADY W. COLE, President. Cashier. Date of Charter: 1Q-16-1912 Began Business: 12-17-1912 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg.i_a__a__n_d___M__u__n_i_c_i_D__a_l U. S. Government Securities owned----------------------------Other Stocks and Bonds owneal Bonds owned-------------------~ none U.owSn.edG---o-v_e_ -r-n-m__e_n__t___S-e-c_u__r_i_ti_e__s__ none Other Stocks and Bonds owned... none Banking House and Lot----------- 2,000.00 Furniture and Fixtures------------ 1,000.00 Other Real Estate owned---------- none Cash in Vault and amount due from approved Reserve Agents.. 18,354.85 Checks for Clearing and Due from other Banks---------------------- none Cash Items.... _------------------ none Overdrafts.. __ .--------------------- 51.30 Advance on Cotton and other Commodities---------------------- 2,858.48 Customers LiabilitY on Letters of Credit and Accevtances---------- none Profit and LOSS--------------------- none - - - - Other Resources-------------------- none Total--------------------------------$ 40,674.59 LIABILITIES: Capital Stock-----------------------$ US unrdvivl uids eFduPnrdo-f-i-t-s-.-_-_-_-_-_-_-_-__- -:-_-_-_-__-_- -_ Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits.. ---------------Time Certificates of Deposits-----LSaeevtxtieenrcgsustoeDfdeCfvoroersdCiittsu.as-tn-o-dm--Ae--rc-sc-_e-_v-_-_t-_a-_n_-c_-e_--s_ BNUotlsesPaanyadbBleU-l-s--R-e--d-i-s-c-o--u-n-t-e--d-.-_-__--_ Other Liabilities.------------------ 15,000.00 none 1,526.11 none none none 322.99 none 23,455.49 370.00 none none none none none Total-------------------------------$ 40.674.59 104 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF UNION POINT Union Point, Ga. As called for by the Superintendent of Banks. H. LAMB, R. A. RHODES, President. Cashier. Date of Charter: 5-15-1911 Began Business: 5-1911 RESOURCI>.S: Loans and Discounts--------------$ 114,684.20 State of Georgia and Municipal UB. oSn.dsGoowvneerdn-m--e-n-t---S--e-c-u--r-i-ti-e-s--- none Oothwenr eSdt-o-c-k--s-a--n-d---B-o--n-d--s--o-w--n-e-d--.,-.-. none none BF uarnnkiitnugr eHaonudseFaixntdurLeos _t_-_-_-_-_-_-_-_-_-_- -_ 2,088.00 508.00 Other Real Estate owned---------- 12,942.21 Cash in Vault and amount due from approved Reserve Agents.- 52,688.48 Checks for Clearing and Due from other Banks.--------------------Cash Items..------------------------ 1,326.98 none AOdvvearndcraeftso.n- --C--o--t-to--n---a--n-d---o--t-h-e--r 24.56 CuCsotommmeorsdiLtiieasb-i-l-i-t-y--o--n--L--e-t-t-e-r-s--o-f- none Credit and Acceptances.--------- none POrtohfeirt aRnesdouLrcoesS_S__--_-_-_-_-_-_--_-_-_-_-_-_--_-_-_-_-_- 1n5o6n.4e6 ---- TotaL .. ----------------------------$ 184,418.89 LIABILITIES: Capital Stock-----------------------$ Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits._---------------Time Certificates of DepositS-----Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable._--------------------Notes and Bills Rediscounted----Other Liabilities. __ ---------------- 25,000.00 25,000.00 597.46 1,000.00 none 1,000.00 1,501.62 none 119,829.24 none 10,490.57 none none none none Total.. _______ ------------------- ....$ 184,418.89 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE FARMERS BANK Union Point, Ga. As called for by the Superintendent of Banks. B. W. BOYD, A. J. STEWART, President. Cashier. Date of Charter: 9-6-1911 Began Business: 9-6-1911 RESOURCES: Loans and Discounts.. ____________$ 53,522.90 State of Georgia and Municipal Bonds owned--------------------U. S. Government Securities 6,262.80 Oot hwenr eSdt-o-c-k- -s- -a-n- d- - -B- -o-n-d- -s- -o-w- -n- -e-d- ---- 400.00 6,713.60 BFuanrnkiitnugreHaonudseFaixntdurLeos_t-__-_-_-_-_-_-_-_-_--_ Other Real Estate owned__________ 2, 700.00 1,500.00 7,595.00 Cash in Vault and amount due from approved Reserve Agents.- 45,388.94 Checks for Clearing and Due from other Banks---------------------- 1,454. 25 Cash Items-------------------------Overdrafts. ____ --------------------Advance on Cotton and other 339.32 42.20 CuCsotommmeorsdiLtiieasb-i-l-i-t-y--o--n--L--e-t-t-e-r-s--o--f none Credit and Acceptances---------- none Profit and LOSS--------------------- none Other Resources--------------------- - -n-on-e TotaL-------------------------------$ 125,919.01 LIABILITIES: CCaappiittaall NStootceks_-_-_-_-_-_-_-_-_-_-_-_-_-_-------------------$ SUIIJlus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------CCearsthifieierd's CChheecckkss_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_ Demand Deposits-----------------Time Certificates of Deposits-----Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__t_a_n_c__es_ Bills Payable.---------------------Notes and Bills Rediscounted----Other Liab.ilities. _----------------- 15,000.00 12,500.00 500.00 826.21 1,250.00 none none 822.24 none 64,473.82 2,894.80 27,651.94 none none none none Total... ________ ---------- ___ ------.$ 125,919.01 SIXTEENTH ANNUAL REPORT 105 STATEMENT Showing condition at the close of Business December 31, 1935, of the DARBY BANKING COMPANY Vidalia, Ga. As called for by the Superintendent of Banks. J. F. DARBY, 0. C. EIDSON, President. Cashier. Date of Charter: 6-22-1984 Began Business: 6-29-1984 RE.SOURCES: Loans and Discounts..............$ 67,986.06 State of Georgia and Municipal U.BoSn.dsGoowvneerdn.m. -e-n-t---S--e-c-u--r-i-ti-e-s--- 2,910.39 Oot hwenr eSdt-o-c-k--s--a-n-d---B-o--n-d--s--o-w--n-e--d-.-.-. Banking House and Lot----------FOuthrneirtRureealaEndstaFtiextouwrense-d--_-_-_-__-_-_-_-_--_ Cash in Vault and amount due from avvroved Reserve Agents._ Checks for Clearing and Due from 8.875.00 2,600.00 7,000.00 1,500.00 none 40,068.25 other Banks---------------------Cash Items-------------------------Overdrafts------------ __ -----------Advance on Cotton and other 1,402.01 none none Commodities---------------------Customers Liabllity on Letters of Credit and Accevtances__________ 65,170.62 none Profit and Loss--------------------- none Other - Resources-------------------- - -174-.28 Total--------------- ____ ---. ____ --- ..$ 197.686. 61 LIABILITIES: CCaappiittaall NStootceks_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_$ Surolus Fund. ____________________ _ RUensdeirvviedFedunPdrosf..i.ts_-. -_-_-_-__-_-_-_-_-_-_-_-_-_-_-_--_ Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of Devosits-----Savings Deposits------------------LeetxteercsutoefdCforerdCituastnodmAercsc.e_v__t_a_n_c_e_s_ Bills Payable._. ____________ .. _____ _ Notes and Bills Rediscounted----Other Liabilities... ---------------- 25,000.00 10,000.00 4,720.34 2,219.19 874.95 none none 234.25 none 121,601.44 33.036.44 none none none none none TotaL-------------------------------$ 197,686.61 STATEMENT Showing condition at the close'of Business December 31, 1935, of the CITIZENS BANK Vienna, Ga. As called for by thP Superintendent of Banks. J. B. WALTON, W. G. WILLIAMSON, President. Cashier. Date of Charter: 6-80-1981 Began Business: 7-1-1981 RESOURCES: Loans and Discounts--------------$ 51,645.71 State of Georgia and Municiva1 U.BowoSnn.desdG_o_wo__vn_e_er_dn__-m_-_-e_-n_-_-t_-_-_S-_-e_-c_-_u-_-r_-i_-t_i-e_-_s-_--_ Other Stocks and Bonds owned... none 17,625.00 83.33 Banking House and Lot----------Furniture and Fixtures-----------Other Real Estate owned---------Cash in Vault and amount due from approved Reserve Agents.- 5,000.00 1,325.00 none 97,012.28 Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------Overdrafts.------- __ --.----------.-Advance on Cotton and other Commodities---------------------CuCsrteodmiterasnLdiAabccielipttyanocens_L__e_tt_e_r_s__o_f 615.26 none none 20,925.07 none Profit and Loss.-------------------- none - - - - Other Resources-------------------- 101.55 Total---------- __________ . _____ ---- ..$ 194,333. 20 LIABILITIES; CCaavviittaa1l NStootceks_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_$ Surolus Fund. ____________________ _ RUensdeirvviedFedunPdros.f.it_s_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Due to Banks.. ___________________ __ Dividends Unvaid.... _____________ _ Cashier's Checks__________________ _ Certified Checks-------------------Demand Devosits.. ---------------Time Certificates of Devosits...... Savings DepositS------------------LeetxteecrsutoefdCforerdCituastnodmAercsc.e.v__t_a_n_c__es_ Bills Payable... -------------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 25,000.00 15,000.00 3,000.00 3,588.02 260.34 none 860.81 2,207.00 none 136,317.03 8,100.00 none none none none none Total..--.. _...--..------.-----.----.$ 194,333.20 106 DEPARTMENT OF BANKING STATEMENT Showing Condition at the close of Business December 31, 1935, of the BANK OF VILLA RICA Villa Rica, Ga. As called for by the Superintendent of Banks. S. 0. FIELDER, R. R. RICHARDSON, President. Cashier. Date of Charter: 5-4-1899 Began Business: 5-1899 RESOURCES: Loans and Discounts... ___________$ 101,434.94 State of Georgia and Municipal UB. oSn.dsGoowvneerdn-m--e-n-t---S--e-c-u--r-i-ti-e-s--- 8. 706.87 BOaothnweknrienSdgt-oH-c-ko--su-s-ae-n-a-d-n-Bd-o--Ln-od--ts-_-_o-_w-_-_n_-_-e_-d_-._-.-._ Furniture and Fixtures. __________ _ Other Real Estate owned_________ _ Cash in Vault and amount due from approved Reserve Agents.. Checks for Clearing and Due from 51,775.00 9,000.00 5,000.00 2,300.00 41,095.00 242,982.95 CaosthheIrteBmasn.k__s_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ AOdvvearndcreaftos-n---C--o-t-t-o--n---a-n--d---o--t-h-e--r 1.232.60 295.33 none Commodities---------------------CuCsrteodmiterasnLdiAabccileipttyanocens_L__e_tt_e_r_s__o_f 691.00 none Profit and Loss--------------------- none - - - - Other Resources.. ----------------- 71.00 Total.. ----------------.-----.---- ...$ 464, 584.69 LIABILITIES: Capital Stock----------------- ______$ USunrdpivluidseFduPnrdo-f-i-t-s-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_-_--_ Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of Deposits..... LSaevttienrgssoDf eCproesdiittsa--n-d---A-c--c-e-1->-t-a-n-c-e--s executed for Customers......... Bills Payable.. --------------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 50,0CO.OO 7,500.00 none 7.71 none none 2,311.17 none 299,501.36 105,264.45 none none none none none TotaL._. ________ .... ___ ___ ._._. _.$ 464,584.69 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF WADLEY Wadley, Ga. As called for by the Superintendent of Banks. DR. J. D. PEACOCK, B. A. WATSON, President. Cashier. Date of Charter: 1-29-1902 Began Business: 1-1902 RESOURCES: Loans and Discounts--------------$ 55,005.46 State of Georgia and Municipal Bonds owned--------------------U. S. Government Securities none owned-------------------------- Other Stocks and Bonds owneal Bonds owned......--------------U. S. Government Securities OothwenreSdt-o-c-k--s--a-n-d---B-o--n-d--s--o-w--n-e-<--L--. BFuarnnkiitnugreHaonudseFaixntdurLeos.t-__-_-_-_-_-_-_-_-_--_ Other Real Estate owned---------Cash in Vault and amount due from approved Reserve Agents.. Checks for Clearing and Due from other Banks---------------------COavsehrdIrtaefmtss.-.-.-.-.-.-.-_-_-_-_-_-_-_-_-.--------------------Advance on Cotton and other Commodities. . . . . . . - - - - - - - - - - Customers Liability on Letters of Credit and Acceptances.......... Profit and Loss--------------------Other Resources..... --------------- 487,919.87 28,717.74 203,372.39 none none 8,500.00 66,587.42 609,319.90 1,669.08 none none 96,924.09 none none 2,617.98 TotaL __ .. __ -------- ______ . __ ------.$ 1, 505, 628. 47 LIABILITIES! Capital Stock-----------------------$ Capital Notes----------------------Surplus Fund.-------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of Deposits...... Savings Deposits------------------Letters of Credit and Acceptances executed for Customers......... Bills Payable.. --------------------Notes and Bills Rediscounted----Other Liabilities.. ----------------- 100,000.00 100,000.00 10,000.00 11,487.91 2,688.28 none none none 247.00 817,300.13 8,517.92 455.387.23 none none none none TotaL ... _________ .. ______ .. ----- ...$ l, 505, 6~. 47 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE PEOPLES .BANK Winder, Ga. As called for hy the Superintendent of Banks. J. W. McWHORTER, C. 0. MADDOX, President. Cashier. Date of Charter: 1Q-29-1926 Began Business: 1Q-3Q-1926 RESOURCES! Loans and Discounts..............$ 140,135.78 StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c_i_p__a_l U. s. Government Securities 9,050.00 OothwenreSdt.o.c. -k-s -a-n--d--B--o-n-d--s--o-w--n-e--d.-.-. none 1,000.00 Banking House and Lot........... 15,000.00 Furniture and Fixtures............ 2,500.00 Other Real Estate owned.......... 7,500.00 Cash in Vault and amount due from approved Reserve Agents.. 352,229.92 Checks for Clearing and Due from C aosthh eItreBmasn. .k.s. ._-_-_-_-_-_-__ -_-_-__-_ -_-__-_____-_-_--_ none none Overdrafts.... ____ ------------------ none AdCvoamncmeodoitniesC..o..t_to__n___a__n_d____o_t_h__er_ 11,196.95 Customers Liability on Letters of Credit and Acceptances.......... none POrtohfeirt RanedsoLuOrcSesS.-_-_-_-_-_-_-_-_--_-_-_-_-_-_-_-_-_-_--_ - - - none n-on-e Total...... --------------------------$ 538,612.65 LIABILITIES: Capital Stock_______________________$ Surplus Fund.. -------------------Undivided Profits.----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid.... -------------Ca..'lhier's Checks...... -----------Certified Checks-------------------Demand Deposits.. ---------------Time Certificates of Deposits...... Savings Deposits----"------------- Letters of Credit and Acceptances executed for Customers.......... Bills Payable.------------------Notes and Bills Rediscounted..... Other Liabilities._---------------- 25,000.00 12,500.00 2,051. 78 none none 2,000.00 1,129.55 2.00 444,538.35 1, 541.75 49,849.22 none none none none Total....... -------------------------$ 538,612.65 110 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of Business December 31, 1935, of the THE WOODBURY BANKING CO. Woodbury, Ga. As called for by the Superintendent of Banks. J. E. GRIMSLEY, S. P. WILBURN, President. Cashier. Date of Charter: 1o-2o-1891 Began Business: 10-1902 RE.SOURCES: Loans and Discounts--------------$ 74,040.43 StBaotendosf oGwenoerdg_i_a__a__n_d___M__u__n_ic_i_._I>__a_l 31,920.70 U. S. Government Securities OothwenreSdt-o-c--k-s--a-n--d--B--o-n--d-s--o-w--n--e-d-_-_-_ 11.821.88 5,876.25 Banking House and Lot-------- __ none Furniture and Fixtures------------ 3, 776.73 Other Real Estate owned---------- 5,469.93 Cash in Vault and amount due from approved Reserve Agents.. 144,056.64 Checks for Clearing and Due from CaosthheIrteBmasn_k__s_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_-_-_--_ Overdrafts ______________ ._. ___ .----- none 454.65 5,337.37 Advance on Cotton and other Commodities---------------------- 12,839.67 Customers Liability on Letters of Credit and Acceptances---------- none POrtohfeirt aRnesdouLrcoess_s_-_-_-_--_-_-_-_-_-_-_-_-_--_-_-_-_-_-_- 4n6o8.n2e4 Total. __ -------------_--~~-- _______ - --$ --- 296,062.49 LIABILITIES: Capital Stock-----------------------$ Surplus Fund.. -------------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidtoenBdasnUkns-p-a-i-d--_-_-_-_-_-_-_-_-__-_-_-_-_-_-_-_--_ CCaersthifieierd's CChheecckkss_-_-_-_-_-_-_-__-_-_-_-_-_-_-_-_-_-_--_ Demand Deposits-----------------Time Certificates of Deposits...... Savings Deposits------------------LeetxteecrsutoefdCforerdCituastnodmAercsc_e_p__ta__n_c_e_s_ Bills Payable._--------------------Notes and Bills Rediscounted..... Other Liabilities._----------------- 25,000.00 10,000.00 5,537.13 none none none 861.09 none 164,568.06 90,096.21 none none none none none Total.. _____ ------.-----------------.$ 296,062.49 STATEMENT Showing condition at the close of Business December 31, 1935, of the WOODLAND BANK Woodland, Ga. As called for by the Superintendent of Banks. J. H. WOODALL, M. H. KING, "President. Cashier. Date of Charter: 11-18-1907 Began Business: 11-25-1907 RESOURCES: Loans and Discounts--------------$ StBaotendosf oGwenoerdg_i_a__a__n_d___M___u_n_i_c__ip__a_l U.owSn.edG__o__v_e_r_n__m__e_n__t ___S_e_c__u_r_i_t_ie__s_ _ BOathnekrinSgtoRcoksusaenadnBdoLnodst. o__w__n__e_d_._.._ Furniture and Fixtures___________ _ Other Real Estate owned_________ _ Cash in Vault and amount due from approved Reserve Agents._ Checks for Clearing and Due from CaosthheItreBmasn.k..s.___-_-_-_-.--__-_-_-_-_-_--. -_-__-_-_-_-_--_ Overdrafts _________________________ _ AdCvoamncmeodoitniesC__o__tt_o__n___a__n_d____o_t_h__er_ CuCsrteodmiterasnLdiAabcicleitpytaonnceLs_e_t_t_e_r_s__o_ f_ Profit and Loss____________________ _ Other Resources___________________ _ Total________________________________ $ 30,519.51 none 5,400.00 none 2,000.00 1,500.00 5,935.29 44,562.09 none none none none none 430.91 none 90,347.80 LIABILITIE.S: Capital Stock_______________________ $ USunrdpilvuids eFduPnrdo-f-i-t-s-.-_-_-_-_-_-_-_-_-_-_-_-__-_-_-_--_ Reserve Funds_____________________ _ Due to Banks______________________ _ CDaivsihdieenr'dssCUhnepckasid__-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_-_--_ Certified Checks___________________ _ Demand Deposits._---------------TSaimviengCserDtiefpicoastietss_o__f_D__e_p__o_s_i_t_s____________ LeetxteercsutoefdCforerdCituastnodmAercsc_e_p__ta__n_c_e_s_ BNOiotlhtlseesPr aaLnyiadabbBilleiil.tli_se_sR--e_-d_-_-i_-s_-c_-o_-_-u_-n_-t_-e_-_d-_-._-__-__-_-._ 15,000.00 12.000.00 237.75 800.00 none 183.60 215.79 none 52,412.04 9,498. 62 none none none none none TotaL _____________________________ $ 90,347.80 SIXTEENTH ANNUAL REPORT lll STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF WOODSTOCK Woodetock, Ga. As called for by the Superintendent of Banks. J. H. JOHNSTON, W. L. DuPREE, President. Cashier. Date of Charter: 10-10-1905 Began Business: 11-13-1905 RESOURCES: SLtoaatnes oafndGDeoirsgcioaunatnsd---M--u--n-i-c-i-i>--a-l$ 26,402.99 UB. oSn.dsGoowvneerdn-m--e-n-t---S--e-c-u--r-i-ti-e-s--- none OothwenreSdt.o.c..k.s--a-n--d--B--o-n--d-s--o-w--n--e-d----. 5,000.00 none Banking House and Lot.... 3,299.16 Furniture and Fixtures............ 2,000.00 Other Real Estate owned---------Cash in Vault and amount due 9,753.75 from aDvroved Reserve Agents. 61,077.51 Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------AOdvveardnrcaeftso.n. __C--o--t-t-o-n---a--n-d----o-t-h-e--r none none none CuCsotommmeords iLtieiasb. .i.l-i-ty---o-n--L--e-t.te.r.s--o--f 1,300.40 Credit and Accevtances.......... none Profit and LOSS--------------------- none Other - Resources-------------------- - -no-ne Total---------------------------.-- ..$ 108,833.81 LIABILITIES: Cavital Stock.......................$ Survlus Fund.. ---------------Undivided Profits-----------------Reserve Funds---------------------DDiuveidtoenBdsanUknsv--a-i-d--_-_-_-__-_-_-_-_-_-_-_-_-_-_-_-_--_ Cashier's Checks... Certified Checks-------------------Demand Devosits-----------------Time Certificates of Devosits.. LSaevttienrgssoDf eCvroesdiittsa--n-d---A--c-c-e-v--ta--n-c-e--s executed for Customers Bills Payable----------------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 25,000.00 5, 772.69 1,476.38 none none none 9.50 none 65,305.75 11,269.49 none none none none none Total.... ------------------------ ...$ 108,833.81 STATEMENT Showing condition at the close of Business December 31, 1935, of the BANK OF WRIGHTSVILLE Wrightsville, Ga. As called for by the Superintendent of Banks. R. L. KENT, H. T. JOHNSON, President. Cashier. Date of Charter: 2-16-1897 Began Business: 2-16-1897 RESOURCES: Loans and Discounts.-------------$ al Bonds owned--------------------- none U. S. Government Securities OothwenreSdt.o-c-k.-s--a-n--d--B--o-n--d-s--o-w--n--e-d----. 6,565.78 none Banking House and Lot..... 3,000.00 Furniture and Fixtures............ 2,000.00 Other Real Estate owned.......... 6,590. 72 Cash in Vault and amount due from avvroved Reserve Agents.. 212,348.47 Checks for Clearing and Due from other Banks---------------------- 18,145.47 Cash Items-------------------------- none Overdrafts.------------------------- none ACdvoamncmeodoitniesC__o_t_t_o__n___a__n_d____o_t_h__e_r none Customers Liability on Letters of Credit and Accevtances..... none Profit and Loss..................... none - - - - Other Resources.......... 993.11 Total.........---..---.-----......$ 284, 802.14 LIABILITIES; Cavital Stock.......................$ Survlus Fund...................... Undivided Profits.................. Reserve Funds...................... DDiuveidteonBdsanUknsD--a-i-d--.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-.-. Cashier's Checks................... Certified Checks.................... STDaiemvmienagCnsdeDrDtiefevivcooasstietistss_o._._f_-D_-_-e_-_v-_-o_-s_-_i-t_-s_-._-._-._-.-_._-. Letters of Credit and Accevtances executed for Customers.......... Bills Payable----------------------Notes and Bills Rediscounted..... Other Liabilities.. ----------------- 25,000.00 16,406.20 5,039.07 3,000.00 none none 3,280.18 none 176,175.09 55,901.60 none none none none none Total.... -------------- .........$ 284,802.14 112 DEPARTMENT OF BANKING STATEMENT Showing condition at the close of B1nine&l!l December Sl, 1935, of the THE EXCHANGE BANK OF WRIGHTSVILLE Wrightsville, Ga. As called for by the Superintendent of Banks. P. B. BEDINGFIELD, E. E. DALEY, President. Cashier. Date of Charter: 1~-~o-1909 Began Business: 12-~1909 RESOURCES: Loans and Discounts--------------$ 75,156.30 State of Georgia and Municipal U.BoSn.dsGoowvneerdn-m--e-n-t---S--e-c-u--r-i-ti-e-s--- none Oothwenr eSdt-o-c-k--s-a--n-d---B-o--n-d--s--o-w--n-e--d-.-.-. 11,800.00 none Banking House and Lot----------- 4,420.00 Furniture and Fixtures------------ 1,049.53 Other Real Estate owned---------- 1,235.41 Cash in Vault and amount due from approved R-eserve Agents.- 167,179.50 Checks for Clearing and Due from other Banks---------------------Cash Items-------------------------AOdvvearndcreaftos.n---C--o--tt-o--n---a-n--d---o--t-h-e--r 328.98 none none CuCsotommmeorsdiLtiieasb-i-l-i-t-y--o--n--L--e-t-t-e-r-s--o--f 3,920.48 Credit and Acceptances---------- none Profit and Loss--------------------- none Other - Resources-------------------- - -279-.60 Total--------------------------------$ 265,368.80 LIABILITIES: Capital Stook.L.------------------5 Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of Deposits-----Savings Deposits------------------Letters of Credit and Acceptances executed for Customers---------BNiolltsesPaanydabBleil.l-s--R-e--d-i-s-c-o--u-n-t-e-d----------Other Liabilities._----------------- 35,000.00 16,000.00 8,313.39 870.45 none none 3,810.80 none 169,310.29 33,563.87 none none none none none Total--------------------------------$ 265,368.80 STATEMENT Showing condition at the close of Business December 31, 1935, of the THE BANK OF ZEBULON Zebulon, Ga. As called for by the Superintendent of Banks. C. R. GWYN, . J. J. EDWARDS, President. Cashier. Date of Charter: 8-18-1905 Began Business: 1-31-1905 RESOURCES: Loans and Discounts--------------$ 74,549.81 State of Georgia and Municipal Bonds owned--------------------- none U.owSn.edG..o.-v-e.-rn. _m__e__n-t_-S-.e_c__u_r_i_t_ie-s_-. 4,874.00 Other Stocks and Bonds owned.. 3,112.35 Banking House and Lot----------- 4,500.00 Furniture and Fixtures------------ 1,71i0.00 Other Real Estate owned---------- 3,250.00 Cash in Vault and amount due from approved Reserve Agents._ 91,599.16 Checks for Clearing and Due from c~~~:~~~~~====:====:======== none 42.55 Overdrafts.-.----.----.--- __ -.-.-... 276.80 Advance on Cotton and other Commodities---------------------- 1,500.00 Customers LiabilitY on Letters of Credlt and Acceptances---------- none Profit Other and LOSS--------------------- - Resources-------------------- - none -no-ne Total.. --- _________ -________ --- ..$ 185,454.67 LIABILITIES: capital Stock-----------------------$ Surplus Fund---------------------Undivided Profits-----------------Reserve Funds---------------------Due to Banks----------------------Dividends Unpaid-----------------Cashier's Checks------------------Certified Checks-------------------Demand Deposits-----------------Time Certificates of Deposits-----Savings Deposits.-----------------Letters of Credlt and Acceptances executed for Customers---------BNiolltsesPaanydabBleil.lsR--e-d--i-s-c-o-u--n-t-e-d----.-.-. Other Liabil1ties. ------------------ 25,000.00 11,000.00 7,077.12 none 'none none 2,283.47 none 92,889.47 18,5'12.91 40,131.10 none none none none Total ________________ ---------- $ 185,4il.l'l