Annual report of the treasurer and state bank examiner, state of Georgia, for the year ending December 31, 1917

THE LIBRARY OF THE UNIVERSITY OF GEORGIA

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/& TAJUUM^ tit/"*
ANNUAL REPORT
OF
The Treasurer and State Bank Examiner
STATE OF GEORGIA
For the Year Ending December 31, 1917
Wm. J. SPEER, State Treasurer
Index Printing Co., State Pri: Atlanta, Ga. 1918
THE GENERAL LIE THE UNIVERSITY OF GE0:
ATHENS, GEORGiA .

LIST OF TREASURERS OF GEORGIA FROM 1781 TO 1917 INCLUSIVE, WITH TERM OF OFFICE.

James Bryan, 1781. John Lindsay, 1782. Joseph Clay, 1782. John Martin, 1783-4. Seth John Cuthbert, 1785-6. George Jones, 1787. John Meals, 1788 to 1791. John Gibbons, 1792 to 1795. John Berrien, 1796 to 1800. Edwin Mounger, 1801 to 1805. George R. Clayton, 1806 to 1825. James Bozeman, 1826 to 1828. Hines Holt, 1829 to 1832. John Williams, 1833. Thomas Haynes, 1834 to 1841. Benjamin B. Smith, 1842.

Walter H. Mitchell, 1843 to 1846. William B. Tinsley, 1847 to 1850. J. M. Patton, 1851. Walter H. Mitchell, 1851-2. John B. Trippe, 1853 to 1860. John Jones, 1861 to 1867. N. L. Angier, 1868 to 1872. John Jones, 1872 to 1876. J. W. Renfroe, 1876 to 1880. D. N. Speer, 1880 to 1884. R. U. Hardeman, 1884 to 1896. W. J. Speer, 1896 to 1900. R. E. Park, 1900 to May, 1909. J. Pope Brown, May, 1909, to July,
1911. W. J. Speer, July, 1911, to

ORGANIZATION
State Treasury Department
1917

W. J. SPEEE, Treasurer.

J. 0. ANDERSON, Chief Clerk.

H. Y. WALKER, Cashier.

J- BLALOCK, Bookkeeper.

BANK EXAMINERS

N. L. NORTH, Newnan.

C. E. TlDWELL,
Atlanta.

L. E. FENN, Cordele.
E. E. PLATT, Newnan.

J. P. PRICE, Atlanta.
M. J. JANES, Griffin.

E. A. THOMPSON, White Plains.

J. S. HOLLINSHEAD,
Decatur.

Booms 140-141.

THE GENERAL LIBRARY
THE UNIVERSITY Of G086!A STATE UJiEiww nnr j|3

THE GENERAL THE UNIVERSITY OF GEORGIA
ATHENS, GEORGIA

fcS

ANNUAL REPORT

STATE OF GEOEGIA.

TKEASUKY DEPAETMENT.

ATLANTA, GA., January 1, 1918.

HON. HUGH M. DOHSEY, Governor State of Georgia.

DEAE SIB: In pursuance with law I submit herewith the an-

nual report of this office showing the transactions of this depart-

ment of the State Government for the fiscal year ending Decem-

ber 31st, 1917.

The last annual report of this office for the fiscal

year ending December 31st, 1916, showed a balance

in the Treasury of



$1,386,135.42

I have received since that date, January 1st, 1917, to

December 31st, 1917, both days inclusive, from all

sources, as shown by Exhibit No. 1 of this report,

the sum of Making amount chargeable to Treasurer of

7,599,144.82 8,985,280.24

I have paid during the year upon warrants of the

vJ

Governor and the warrants of the President of the

Senate and the Speaker of the House, as shown by

Exhibit No. 1, the sum of

7,525,949.06

Leaving balance in the Treasury at the close of busi-

ness, December 31st, 1917.

$1,459,331.18

BONDED'DEBT.

The bonded debt of the State, as set forth in Exhibit

No 3, shows the outstanding indebtedness on De-

cember 31, 1917, to be

$6,027,202.00

(\

The first installment of bonds, amounting to $100,000.00, issued

under Act of 1889, due January 1, 1917, were paid.

ti'-'/Sd

x

TREASURER'S EEPORT

Included in the six million twenty-seven thousand two hundred and two dollars of bonded indebtedness is ($90,202.00) ninety tlousand two hundred and two dollars, which the State owes the University of Georgia. This amount was covered into the Treasv-y many years ago, a balance arising from the sale of "Land Script" donated by the general government for educational purposes, and upon which we pay annually to the University, interest at the rate of 7 per cent, per annum.

RETURNS OP STATE BANKS.
Under the law the Treasurer is required to include in his annual report a summary of the condition of every bank, or corporation, chartered by the laws of this State doing a banking business. In compliance therewith we have prepared and publish herewith a statement showing the condition of each bank, giving the names and location of said banks, as shown under the call of December 15th of this year. From these statements it will be seen that our banking institutions are in a remarkably fine condition. They show a splendid increase of resources over the aggregate of the previous year, amounting to $53,767,015.02; Total deposits for these banks amount to $174,848,960.56, a gain of $43,355,705.27 over 1916. Total deposits a year ago were $131,493,255.29. Two years ago they totaled $87,523,736.39.
The banks have doubled their deposits within the last two years and the large increased volume of their business is a sure index to the prosperous business condition now prevailing throughout the State.

STATEMENT OF THE CONDITION OF THE STATE BANKS UNDER CALL OF DECEMBER 15th, 1917. (629 banks and 28 branches.)

Loans and Discounts Overdrafts Bonds and Stocks Building, Furniture & Fixtures Other Real Estate

Increase over

Resources

1916

$140,580,510.82 $25,833,027.09

5,764,577.26 3,011,389.21

13,858,460.76 5,801,536.44

6,375,016.76 766,002.07

2,779,882.16 166,792.01

TREASURER'S REPORT

XI

Due from Banks Cash and Cash Items Other Resources
Total

52,510,237.21 10,079,411.47 24,089,240.88 6,654,691.86
4,025,241.27 1.454,164.87
$249,983,167.12 $53,767,015.02

LIABILITIES.

rnnlfal
surplus "a"nd"pr"omr::::::: Due to Banks
Dividends unpaid
Sr^os^its r;:z..
Other Liabilities

$ 28,377,071.75
20,452,399.11 14,254,460.18 21-305'48
^^^ 174,848,960.56 2,843,659.37

$ 113,630.08
^ 3,554,554.3b
*.;;; 4AO3,3J55',17TM05TM .27 899,716.41

Total

$249,983,167.12 $53,767,015.02

BANKING LAWS.
Under Section 2296 of the Code., the State Treasurer is expected to set forth in his annual report such amendments to the banking laws by which, in his judgment, the system may be improved and the. security of depositors and other creditors may be
increased. We do not believe that we can improve upon the amendments
suggested in our report of 1916, and we herewith recommend
the same amendments.
Our bank laws are in such a state of confusion, and are so unsatisfactory, that their condition has been fittingly described by competent judges as being "chaotic."
' No attempt to bring them into a systematic or harmonious whole has been made. There are numerous provisions, still the law of the State, which are applicable to the old banks of issue, but which are now entirely archaic and useless. Other statutes have been enacted, looking to the creation of banks of issue when Congress shall see fit to remove the ten per cent tax on State Bank notes. These are also laws, but whether applicable to the banks as at present organized and to what extent remains to be decided The banking laws are to be found scattered through

xii

TREASURER'S EEPORT

the three volumes of the Code of 1895, and the thirteen volumes of the Acts of the Legislature since the Code. Some of the Legislative Acts seem to have been passed in ignorance or disregard of existing laws, and some statutes have been amended and changed so often that it is difficult to determine what the present law really is. The Act of 1907, creating the Bank Bureau, is the most serious attempt to regulate the business of banking which has been made in some years. But this Act is very crude and unsatisfactory. It enacts as new provisions Acts which were the law long before the Code of 1895. It apparently ignores other Code sections, leaving it in doubt as to whether they are still the law. It defines the duties and powers of the State Bank Examiner in identical terms in two separate sections.
The condition, as above set forth, is especially true as to the .branch bank business in this State. There is no law authoriz-
ing branch banks, except by implication. They are referred to in two sections of the Code only, one of which requires them to be examined, the other an old "before the war" law says the term "bank" includes the parent bank and its branches.
This is all the law we have under which branch banks are being operated in many places, without any notice or sign to indicate that they are a branch of any particular bank, being apparently distinct and separate institutions.
It seems to be permissible, under the law, for a bank of $15 000.00 capital to put into operation a whole chain of branches without a dollar of additional capital, but depending solelv upon the public for their means of sustenance.
In view of the confused condition of our present laws Governing the operation of State banks, we believe an entire new set of laws should be enacted, but, if this suggestion is not acceptable, then the following amendments are recommended:
(1) Amend the law granting charters to banks so as to require evidence of the necessity of the bank and its probable success; the financial responsibility, business experience and moral character of the incorporators.

'

TREASURER'S EEPORT

xm

(2) Loan Limit--Prohibit any loans in excess of 10% of capital and surplus to anyone, not counting rediscounts in
good faith for value.
(3) Prohibit loans on real estate, except as provided by Na-
tional banking laws.
(4) Prohibit loans to any salaried officer or employee.
(5) Certain Credit On Examination Prohibited--In all bank examinations, no bank to be allowed credit for any obligation or security whereof the principal and interest shall be over twelve months past due; nor for any bond or other obligation upon which any interest may be in default for as much as twelve months; nor for any stock of its own held more than twelve months; nor for any unsecured overdrafts that may have existed for a greater period than three months preceding it, and in making up the statement of the condition of such bank any such item shall be charged off.
(6) When Last Public Statement Wrong--If upon the completion of any examination an examiner shall find that the last public statement of the bank is materially wrong, or that the condition of the bank has materially changed since the last public statement, he shall order the bank to publish a new statement, based upon the findings of his examination, and for failure to promptly publish said statement within ten days, the bank shall be subject to a penalty of fifty dollars for each day after the period mentioned, that it delays to make and transmit proof of such publication, said penalty to be collected in the same manner as prescribed in Section
2289 of the Civil Code of 1910. (7) When Banks May Commence Business--Requhe any bank
hereafter organized to notify the State Bank Examiner that the amount of its capital stock required by law, has been paid in cash-then the State Bank Examiner shall designate one of his assistants to make an examination of the bank immediately and if it is found that the amount required has been paid up, and that said bank has complied with

XXV

TREASURER'S EEPORT

; the requirements of law, and is entitled to commence business, the State Bank Examiner shall give such bank a certificate that it has complied with all the provisions of the law and is duly authorized to transact banking business. JSTo bank to transact any business except as is necessary preliminary to its organization, until it has been authorized by the State Bank Examiner to commence the banking business.
(8) Bank Stock Not Accepted As Collateral.--The shares of stock of banks shall be deemed personal property, and shall be transferred on the books of the bank in such manner as the by-laws thereof shall direct, and as by law required. But no such bank shall accept as collateral, or be the purchaser of its own capital stock, except in cases where the taking of such collateral or such purchase shall be necessary to prevent loss upon a debt previously contracted in good faith, and in such cases, unless full payment of such debt is made| such stock shall be sold by the bank within twelve months' from the time it was acquired.
(9) Surplus Provided And Increased--Set aside 10% of all earnings before paying any dividend until the surplus equals the capital.
(10) Dividends, How Paid--Prohibit the payment of dividends until all worthless and doubtful papers are charged off; any note or obligation due to the bank of six months past due maturity shall be classified as doubtful.
(11) Overdrafts Prohibited--Make it a misdemeanor for any officer, director or employee of any bank, banking association, savings bank or trust company, who knowingly overdraws his account and obtains the funds of the institution, or who asks or receives a consideration for procuring a loan from or discount by the institution, or for permitting any persons, firm or corporation to overdraw an account with the institution.
(12) -Restriction As To Branch Banks--Prohibit any bank with less than $25,000.00 paid in capital to operate more than

TREASURER'S REPORT

, xv

one branch; allow no bank with paid in capital of less than $100,000.00 to operate more than two branches and no bank with less than $1,000,000.00 paid in capital to operate more than three branches; provided, the financial condition of the parent bank justifies the establishment of a branch, or branches, and in no case should a branch be established without first having the approval of the State Bank Examiner in writing, after a special examination is made of the parent bank, by an assistant Bank Examiner designated to make such'investigation, to determine its solvency and ability to operate a branch, the location of which must be in the same town, city or county of the parent bank, or if a location is desired elsewhere--then the business facilities of such locality must be such as to warrant the establishment of a branch and be approved in writing by the State Bank Examiner. Empower the State Bank Examiner with authority to require any parent bank to suspend the operation of its branch when such branch is being conducted at a loss. Eequire all branches to bear the title selected, as the law provides, and to have printed on its stationery, doors and windows, (first) the title selected, then (second) "Branch of (giving name of parent
bank and location)," and in no case allow the branch to advertise the capital stock of the parent bank on its windows, doors and stationery, or in any manner whatever to the public.

CHANGES NOTED.
During the year 15 banks have been chartered and 2 trust companies, availing themselves of the banking privileges have come under the supervision of this department; 5 branch banks have been opened by the parent banks.
Fifteen banks have liquidated, or are in process of liquidation namely: Farmers & Merchants Bank, Alma; Bank of Arabi, Arabi; Mortgage Security Savings Bank, Atlanta; Farmers & Traders Bank, Canton; DeSoto Banking Co., DeSoto; Empire Banking Co., Empire; Jenkins County Bank, Millen; Farmers & Merchants Bank, Morven; Bank of Norwood, Norwood; Bank of

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- -

-"'TMn'

XVI

TREASURER'S BEPORT

Penfield, Penfield; Citizens Bank, Plains; Bank of Baymond, Raymond; Citizens Bank, Ehine; Farmers State Bank, Sparks, and the Bank of Stillmore, Stillmore.
The Georgia Trust & Savings Co., Albany, had its charter amended changing its name to the Georgia Bank and Trust Co and the Farmers & Merchants Bank consolidated with said bankj Bank of Blairsville, Blairsville, sold its business to the Union County Bank, Blairsville; The Citizens Bank, Elberton, sold its business to the First National Bank of Elberton; The Bank of Harlem assigned its assets to the Bank of Columbia County, Harlem, for liquidation; First Farmers Bank, Jackson, merged with the First National Bank, Jackson; Bank of Matthews consolidated with the Jefferson County Bank, Wadley; Commercial & Savings Bank, Eome, consolidated with the Floyd County Bank, Rome.
The following branch banks have ceased operation: Farmers & Merchants Bank, Ambrose, branch of the Weathers Banking Co., Dooling; Peoples Bank, Jacksonville, branch of the Bank of Milan Farmers Bank, Statham, branch of the North Georgia Bank & Trust Co., Winder; and the Bank of Tarrytown, branch of the Bank of Soperton.

A branch of the Farmers & Merchants Bank, Warthen, was op-
erated at Godfrey for a short while this year, but has been discontinued.

The Germania Savings Bank, Atlanta, amended its charter changing its name to the American Savings Bank; the charter of the Weathers Banking Co., was amended changing its principal office from Dooling to Ambrose and changing its name to the Ambrose-Enigma Banking Co.; the charter of the Germania Bank, Savannah, was amended changing its name to the Liberty Bank & Trust Co.

A receiver was appointed for the Bank of Mineral Bluff, Mineral Bluff.
The capital stock of a few banks became impaired during the year, but in every instance such impairment has been made good.

TREASURER'S EEPORT

XVII

or is in process of being made good, within the legal requirement of ninety days, provided by law.

This leaves 657 banks in active operation including 28 branches. The following abstract from the books show the receipts and disbursements of the Banking Bureau for the year ending December 31, 1917.

RECEIPTS.

Cash balance, January 1, 1917 Fees from banks for 1917

S 811.88 26,677.50

Total

-.

$27,489.38

DISBURSEMENTS.

W. J. Speer, State Bank Examiner N. L. North, Assistant Examiner R. E. Platt, Assistant Examiner L. E. Fenn, Assistant Examiner M. J. Janes, Assistant Examiner J. S. Hollinshead, Assistant Examiner E. A. Thompson, Assistant Examiner J. F. Price, Assistant Examiner T. J. Denmark, Assistant Examiner C. T. Furlow, Assistant Examiner C. R. Tidwell, Assistant Examiner W. J. Dibble, Assistant Examiner
Incidental

Salaries
$ 2,500.00 2,000.00 1,800.00 1,800.00 1,800.00 1,800.00 1,720.00 1,800.00 1,350.00 1,050.00 800.00 198.33

Expenses $
750.00 1,025.00 1,165.00 1,095.00
690.00 1,075.00 1,257.85
662.28
473.44
225.23

$18,618.33 $8,418.80 27,037.13

Cash on hand to balance

? 452.25

Eespectfully submitted, W. J. SPEEE,
State Treasurer and State Bank Examiner.

ui.DiuuumamiimiMiwiuaaMiiiuiuiiuiiiiHiiiiiiuuiiwiiuHimiiiimninnniFiimnnT,

XV111

TREASURER'S EEPORT

EXHIBIT No. 1.

Showing Receipts and Disbursements at the State Treasury for Year Ending December 31, 1917.

RECEIPTS.

Dr. 1917

Dr. 1916

TO BALANCE IN TREASURY, Jan. 1, 1917 $1,386,135.42 $ 842,799.09

To Abstract Companies' Tax

54.00

54.00

To Adding Machine Companies

450.00

540.00

To Agencies

1,620.00

1,080.00

To Artists

1,359.00

1,287.27

To Auctioneers

1,103.26

832.95

To Automobile Agents

33,171.34 23,476.13

To Back Taxes

11,597.15

3,093.76

To Ball and Other Parks

45.00

67.50

To Barber Fees

469.65

To Bicycles

949.50

819.09

To Billiards and Pool

30,551.35 31,316.61

To Bottlers

5,422.50

4,860.23

To Building and Loan Fees

10.00

To Cash Registers

270.00

180.00

To Cigarette Dealers

50,786.98 40,622.50

To Clerks' Cost Court ot Appeals

223.83

285.05

To Clerks' Cost Supreme Court

320.42

1,858.33

To Cold Storage Tax

4,383.00

4,329.00

To Corporation Tax (ad valorem)

87,772.96 79,364.73

To Cost on Fi Fas

3.50

7.00-

To Detective Agents

81.00

72.00

To Directory Tax

138.15

To Dividends on Stocks

2,968.00

2,782.00

To Electric Shows

10,950.08 10,328.51

To Equipment Companies' Tax

1,597.67

1,414.01

To Express Companies' Tax

5,396.94

5,329.41

To Fees from Fertilizers

89,994.78 81,925.00

To Fees from Pure Food

44,941.29 45,363.08

To Forest Reserve Fund

275.71

To Games

1,192.50

810.00

To Game Protection Fees

5,664.87

2,000.00

To General Tax

4,321,066.06 4,161,871.91

To Health Commissioner's Fees

20.00

To Poll Tax

T

To Inheritance Tax

307,438.21 320,690.28 245,103.61 81,745.23

To Insolvent General Tax

4,493.22

5,844.08

To Insolvent Poll Tax

267.44

1,958.79-

TREASURER'S EEPORT

xix

EXHIBIT No. 1--Continued.

Showing Receipts and Disbursements at the State Treasury for Year Ending December 31, 1917.

RECEIPTS--Continued.
To Insolvent Dog Tax To Insurance Agents To Insurance Fees To Insurance Tax by Companies To Interest from Depositories To Investment Companies To Lease Indian Springs To Liquor Package Fees To License Near Beer To Lightning Rods To Loan Agents To Locker TaxTo Manufacturers Soft Drinks To Money Refunded To Occupation Tax (Capital) To Office Fees To Oil Fees To Palmists " .... To Pawnbrokers To Peddlers To Pensions Refunded To Pistols and Cartridges To Railroad News Companies To Railroad Tax To-Real Estate Agents To Pental W. & A. Ra'lroad To Rental Public Property To Rinks To Sale of Farm Products To Sale of Public Property To Sale of Acts To Sale of Codes To Sale of Records To Sale of Court of Appeal Reports To Sale of Supreme Court Reports To Sale of Auto Tags To Sale of School Land To Sewing Machine Agents

Dr. 1917
2.95 18,801.86 42,871.00 220,872.81 13,256.42
50.00 110.00 27,162.54

.

270.00

648-00

, 3,874.30 5,390.65
115,953.51
2,971.50 217,378.39
315-00 10,102.50
6,367.50 22,464.69 7,313.40
360.00
583,927.81 2,476.26
420,012.00 4-00
81-00 2,066.40
5-00 499.05 325-25 66-40 3,490.29 6,442.91
71,730.34

2,359.00

Dr. 1916
51.25 17,746.25 43,894.00 198,921.40 11,767.33
50.00 110.00 11,632.93 49,308.36 135.00 513-00 5,850.30 3,758.70 1,830.30 114,103.13 2,842.70 167,007.20 224-50 9,820.44 6,441.75 20,012.98 7,312.95 360.00 538,091.16 2,295.27 420,012.00
"2.50 2,342.79
53-50 1,184.30
587-45 "7-45 5,156.07 13,116.84 37,000.00
4000
2,459.00

im.i;i.i<:i!i:ii:i.n,ui

xx

TREASURER'S EEPORT

EXHIBIT No. 1--Continued.

Showing Receipts and Disbursements at the State Treasury for Year Ending December 31, 1917.

RECEIPTS--Continued.
To Sewing Machine Companies To Show Tax To Sleeping Car Companies To Slot Machines To Soda Fount Tax To Specialists To State Road Automobile Tax To Street Railroad Tax To Telegraph Tax To Telephone Companies' Tax To Temporary Loan To Typewriter Agents To Weighing Scales
Aggregate, Including Balance

Dr. 1917 1,200.00 17,491.50
5,134.92 1,428.75 6,399.00
54.00 143,514.00
91,535.52 7,759.41
41,869.67 200,000.00
562.50 499.50

Dr. 1916 2,100.00
8,644.50 5,074.18 1,028.25 5,930.77
148.50 93,177.47 91,321.79
7,746.86 39,918.65 300,000.00
504.00 207.00

$8,985,280.24 $8,011,551.96

TREASURER'S EEPORT

xxi

EXHIBIT No. 1--Continued.

Showing Receipts and Disbursements at the State Treasury for Year Ending December 31, 1917.

DISBURSEMENTS.

By Academy for Blind

$

By Agricultural Schools

By Barbers' Examiners' Fund

By Binding Codes

By Binding Journals

By Board of Health

By Civil Establishment

-

By Clerks' Cost Court of Appeals

By Clerk to Tax Commissioner

By College for Colored

By Compiler of Records

By Contingent Fund

By Contingent Fund R. R. Commission

By Contingent Fund Court of Appeals

By Contingent Fund Supreme Court

By Department of Agriculture

By Experiment Station

By Dept. of Commerce and Labor

By Game Protection Fund

. By Geological Fund

By Georgia Medical College

By Ga. Normal and Industrial College

By Ga. Normal and Ind. College, Special

By Horticulture Fund

By Incidental Expenses General Assembly..

By Indexing House and Senate Journal

By Indian Springs Public Comfort House..

By Inspection of Fertilizers

By Inspection of Oils

By Insurance Public Buildings, Etc.

By Insurance Department Fund, Salaries _.

By Land Script Fund Interest

By Legislative Pay Roll

By Library Fund

1

By Library Fund Court of Appeals

By Library Fund Reference Bureau .__

By Market Bureau Fund

By Military Fund

Cr. 1917 30,000.00 193,150.00
619.70 275.00 37,500.00 259,817.93 248.75 1,000.00 8,000.00 4,030.90 15,923.61 4,000.00 82.98 1,354.40 110,521.07 760.66 8,700.00 1,000.00 13,732.24 30,000.00 67,500.00 50,000.00 53,000.00 134.50 200.00 105.00 40,351.85 1,999.86 80,932.85 8,100.00 6,314.14 87,104.76 3,440.60 18.90 1,095.87 6,250.00 20,006.00

Cr. 1916 29,500.00 111,000.00
476.31 533.25 1,100.00 40,500.00 246,021.48 590.00 812.50 7,670.00 4,008.05 22,469.06 2,000.00 966.74 888.14 74,436.13 3,300.00 7,800.00 2,000.00 10,957.32 28,750.00 64,067.u0
53,000.00 61.43
150.00 105.00 37,715,34 1,822.50 3,086.06 8,100.00 6,314.14 68,304.72 3,679.24 1,024.33 1,126.46
30,000.00

xxii

TREASURER'S EEPORT

EXHIBIT No. 1--Continued.

Showing Receipts and Disbursements at the State Treasury for Year Ending December 31, 1917.

DISBURSEMENTS--Continued.
By North Georgia A. & M. College By Overpayment Taxes Refunded By Pension Fund By Pension Fund Special By Pr'nting Fund By Printing Fund Geological Department-. By Printing Fund R. R. Commission By Prison Fund By Public Buildings and Grounds By Publishing Records (Col. & Con.) By Publishing Georgia Reports By Publishing Georgia Reports, Special .. By Public Debt Interest By Public Debt Refunding Bonds (1915) .. By Rate Expert Fund By Reward Fund By Roster Fund By School for the Deaf By School Fund By School of Technology By Sinking Fund Bv School of Tech., Special Appro'n By Soldiers' Home By Solicitors Generals' Fees By South Ga. A. & M. College, Val. By South Ga. A. & M. College, Special By Special Appropriations, Miscellaneous.. By Special Appro'n State Normal School.. By Special Appro'n, 3rd Dist. Agri. School.. By Special Appro'n, 4th Dist. Agri. School.. By State Normal School By State Road Fund (Automobile) By State Sanitarium By State Sanitarium, Special By State University, Support Fund ...... By State Univ. for Agri. College By State Univ. for Smith-Lever Fund By State Univ. for Summer School

Cr. 1917 26,500.00 7,676.07 1,146,861.20
180.00 33,812.94
1,227.89 118,911.70 47,295.84
11,809.75 1,000.00 248,861.25 3,000.00 4,000.00
850.00 4,281.68 54,256.89 2,742,856.18 100,000.00 100.000.00 15,000.00 40,500.00 7,055.00 2.500.00 62,500.00 18,316.70 83,000.00 5,000.00 6,000.00 57,500.00 128,059.00 732,916.63 30,000.00 68,000.00 129,415.00 28,000.00 7,500.00

Cr. 1916 25,185.00 2,163.42 1,035,392.50
35,000.00 695.00
1,916.46 124,318.79
51,948.08 869.00
9,077.54
250,370.00 91,000.00 4,171.59 1,100.00 3,550.62 51,033.83 2,458,871.24 95,010.00 105,000.00
36,000.00 6,285.00 2,396.00 23,960.00 6,132.18
59,185.00 98,248.72 588,067.48
65,187.50 142,529.00
7.500.00

A

TREASURER'S EEPORT

xxm

EXHIBIT No. 1--Continued.

Showing Receipts and Disbursements at the State Treasury for Year Ending December 31, 1917.

DISBURSEMENTS--Continued.
By Stationery, General Assembly By Supervisor Company, Officers By Tuberculosis Sanitarium By Temporary Loan Refunded By Training School for Girls By Training School for Girls, Special By Vocational Educational Fund By W. & A. R. R. Commission By Certificates Cancelled

Cr. 1917
601.70 4,096.75 40,000.00 203,377.77 18,000.00 5,000.00
969.80 9,487.75

Cr. 1916
315.54
27,500.00 305,998.60 16,600.00
18,489.13 2,409.62

Total Disbursements During 1917

-$ 7,525,949.06 $6,625,416.54

To Balance in the State Treasury, De-

cember 31, 1917

$1,459,331.18 $1,386,135.42

Aggregate

$8,985,280.24 $8,011,551.96

EXHIBIT No. 2.

A Descriptive List of the Valid Bonds of the State of Georgia, December 31, 1917.

Date of Bonds

aED

When Dne

eo.2c

Amount of Series'-2

Month

<u

Month

i <D -
a

Q

SIGNERS OF BONDS AND COUPONS

Signatures on Bonds

Signatures on Coupons

July . July . May July .
July . July . April April May . April June June June June July . July . April Feb. _ Oct. . Oct. . July _ July . July .

1866 $
1866 1877 1876 1885 1882 1883 1883 1883 1884 1885 1885 1885 1885 1885 1886 1886 1889 1890 1890 1892 1892)
18961

1,000 July
500July 1,000 Jan 1,000 July
1,000 July
500 July
11,000 April
50,000 April
1,000 May
96,000 April
16,000 June 7,000 June
56,000 June 7,000 June . 6.00C July . 1,000 Jan _. 1,000 April 15,000 Feb _. 2,000 Oct . 1,000 Oct . 1,500 July . 1,000 July .
7,OO0lJuly

1886 1,000 7% 1866 Governor and Secretary of State___|Treasurer

1886

500 7 1866 Governor and Comptroller General_|Treasurer

w

1889

1,000 6 1877 Governor and Secretary of State--_|Treasurer

>

1896 1915 1932

1,000 7 1876 Governor and Secretary of State--_|Treasurer

9,000 4y2 1884 Governor and Secretary of State.--|Treasurer

3,000 7 1881 Governor

|Obligat'n State University

w h w
H

1933 11,000 7 1881 Governor

|Obligat'n State University

1933 1933 1934
1935 1935

50,000 7 1,000 7
96,000 7 16,000 7
7.000 7

1881 Governor 1881 Governor 1881 Governor 1881 Governor 1881 Governor

Obligat'n State University

Obligat'n State University Obligat'n State University H

Obligat'n State University Obligat'n State University

O w

1935 1935 1935 1935 1936 1939 1940 1940 1942 1942 1946

56,000 7 7,000 7 6,000 7 1,000 7 1,000 7
15,000 7 2,000 7 1,000 7 1.500J7 1,00017 7,000 7

1881 Governor 1881 Governor. 1881 Governor. 1881 Governor. 1881|Governor. 1881|Governor. 1881|Governor. 1881fGovernor.
ioo, SVern0r ^!Vernor 1881|Governor

Obligat'n State University Obligat'n State University Obligat'n State University Obligat'n State University Obligat'n State University Obligat'n State University Obligat'n State University -- Obligat'n State University
Obligat'n State University lObligafn State University |Obligat'ri State University

Jan. Jan. July ___ July ... July ... July ... July ... July ... Jmy ...
July ... July ___
July ... July ___ July ... July ... July ... July ... July ...
July July July July July July
July July July July July July July July July July July

1908 1909 1890 1890 1890 1890 1890 1890 1890
11890
|1890|
|18901 118901 |1890| 118901 |1890| 118901 11890] 11890J |1890| |1890| J1890J |1890f 11890[
11890] [18901 11890| 11890| 118901 |1890| |1890| |l890| 11890| 1890] 11890|

2,000 Jan
7,000 Jan
1,000 Jan
1,000 Jan
5,000 Jan
1,000 Jan
1,000 Jan 5,000 Jan
1,000 Jan
1,000 Jan 5,000 Jan 5.00C Jan 5,000 Jan 5.000 Jan
5.00r Jan .
5.000 Tan . 1,000 Jan . 5.000 Jan . 1,000 Tan . 1,000 Jan . 1,000 Tan . 5,000 Jan . 1,000 Jan . 5.000 Tan 1,000 Tan 1,000 Tan 1,000 Tan 5.000 Tan 1,000 Jan 1.000 Tan
5,000 Tan 1,000 Jan 1,00 Tan 5.000 Tan
1,000 Jan

1958| 2,000|3% 1898 Gogevnor.

lObligat'n State University

19591 7,0003V2 1898 Gogevnor.

Obligat'n State University

1918| 34,000|3% 1889 Governor, Secretary of State and Treasurer..

-|Treasurer

19181 +11,000|3% 1889 Governor, Secretary of State and Treasurer..

-I Treasurer

1918] t55,00013y2 1889 Governor, Secretary of State and Treasurer..

-| Treasurer

1919| 19,00013% 1889 Governor, Secretary of State and Treasurer..

-| Treasurer

1919| 156.000 3%. 1889 Governor, Secretary of State and Treasurer..

.JTreasurer

1919] +25,000 3% 1889 Governor, Secretary of State and Treasurer..

.JTreasurer

1920| 21,000 3M 1889 Governor, Secretary of State and Treasurer..

.JTreasurer

19201 +29,000 3y2 1889 Governor, Secretary of State and Treasurer..

_|Treasurer

1920J |50,000 3y2 1889 Governor, Secretary of State and Treasurer.

-JTreasurer

1921] +100,000 3% 1889 Governor, Secretary of State and Treasurer.

-JTreasurer

J19221 +100,00013% 1.889 Governor, Secretary of State and Treasurer-

-[Treasurer

1923| +100,000|3% 1889 Governor, Secretary of State and Treasurer.

_| Treasurer

1924J +100,000131 1889 Governor, Secretary of State and Treasurer.

-[Treasurer

19251 +100.000|3% 1889 Governor, Secretary of State and Treasurer-

-JTreasurer

|1926j +31,0001"' 1889 Governor, Secretary of State and Treasurer.

.JTreasurer

119261 +66.00013%

Governor, Secretary of State and Treasurer-

-[Treasurer

119261 3,000|3% 1889]Governor, Secretary of State and Treasurer.

.[Treasurer

11927| 7,000|3% 1889 [Governor, Secretary of State and Treasurer.

_|Treasurer

|1927| +18,000|3% 1889|Governor, Secretary of State and Treasurer-

-JTreasurer H

|1927| +75,000|3% 1889|Governor, Secretary of State and Treasurer. 119281 47,000|3% 1889|Governor, Secretary of State and Treasurer.

-JTreasurer -JTreasurer

O w

.|1928| +10,00013% 1889|Governor, Secretary of State and Treasurer-

.JTreasurer 1-3

|1928| +43,00013% 1889|Governor, Secretary of State and Treasurer.

-JTreasurer

119291 22,000)3% 18891Governor, Secretary of State and Treasurer-

-JTreasurer

119291 +48,000|3% 1.889|Governor, Secretary of State and Treasurer.

.(Treasurer

.11929] +30,000|3% 1889|Governor, Secretary of State and Treasurer-

-JTreasurer

-11930| 36.000|3% 1889 [Governor, Secretary of State and Treasurer.

-JTreasurer

-|1930| +54,00013% 1889|Governor, Secretary of State and Treasurer.

-JTreasurer

.119301 +10,000|3% 1889JGovernor, Secretary of State and Treasurer-

_|Treasurer

-11931| 30,00013% 1889|Governor, Secretary of State and Treasurer.

.JTreasurer

_|1931| +40,000|3% 1889|Governor, Secretary of State and Treasurer-

-JTreasurer

.|19311 +3O,n00|3% 1889|Governor, Secretary of State and Treasurer. -11932| 46,000|3% 1889]Governor, Secretary of State and Treasurer.

-JTreasurer -JTreasurer

9

July July July July July July July July July May July July July July July July July
July July
July July July July
July July July July
July July July July July .

1890 1890 1890
1890 1890 1890 1890 1890 1890 1892 1896 1915 1915
1915 1915 1915 1915 1915 1915
1915 1915 1915
1915
1915 1915
1915 1915 1915 1915 1915 1915 1915

1.00C Jan 1,000 Jan 1,000 Jan 5,000 Jan 1,000 Jan 1,000 Jan 5,000 Jan 1,000 Jan 1,000 Jan 1,000 Jan 1,000 July 1,000 July
1,000 July
1,000 July
1,000 July 5,001 July 1,000 July
1,000" July
5,000 July 1,000 July 1,001 July 5,000 July 1,000 July 1,000 July
5,000 July
1,000 July 1,000 Tuly
5,000 July
1,000 July 1,000 July 1 000 July
1 000 July

EXHIBIT No. 2--Continued.

|1932 f54,000|3V2 t889|Governor, Secretary of State and Treasurer

J1933 17,00013% .889|Governor, Secretary of State and Treasurer

|1933 f 38,000 3% -889|Governor, Secretary of State and Treasurer

|1933 t45,000|3y2, .889|Governor, Secretary of State and Treasurer

[1934 46,000|3y2 i889[Governor, Secretary of State and Treasurer |1934 t39,000|3y2 i889|Governoi-, Secretary of State and Treasurer |1934 tl5,000|3y2 .889[Governor, Secretary of State and Treasurer

[1935 J1935 [1922

15,000J3y2 889|Governor, Secretary of State and Treasurer tl8,000|3y2 J.889|Govenioi-, Secretary of State and Treasurer 207,000 4% 1891|Governor, Secretary of State and Treasurer

J1926 230,000 4 1895|Governor, Secretary of State and Treasurer

[1935 82,000 4y4 1914|Governor, Secretary of State and Treasurer

|1935 t56,000 iVi 1914|Governor, Secretary of State and Treasurer

[1936 56,000 iV* 1914|Governor, Secretary of State and Treasurer

[1936 |14,000 4& 1914|Governor, Secretary of State and Treasurer

[1936 tl30,000 4y4 1914|Governor, Secretary of State and Treasurer

[1937 90,000 4V4 1914|Governor, Secretary of State and Treasurer

11937 f40,000 4V4 1914|Governor, Secretary of State and Treasurer

(1937 f70,000 4^4 i914|Governor, Secretary of State and Treasurer

J1938 135,000 414 L914|Governor, Secretary of State and Treasurer

J1938 f40,000 41/4 f914|Governor, Secretary of State and Treasurer

[1938 |25,000 41/4 .914JGovernor, Secretary of State and Treasurer

J1939 98,000 4% !914JGovernor, Secretary of State and Treasurer

|1939 fl7,000 4y4 1914|Governor, Secretary of State and Treasurer

1939 t85,000 41/4 1914|Governor, Secretary of State and Treasurer

|1940 49,000 iV* 1914|Governor, Secretary of State and Treasurer

J1940 t31,000 41/4 1914 Governor, Secretary of State and Treasurer

|1940 fl20,000 4y4 1914|Governor, Secretary of State and Treasurer |1941 167,000 4V4 1914|Governor, Secretary of State and Treasurer

|1941| f33,000 4y4 1914 Governor, Secretary of State and Treasurer

|1942| 46,000 4y4 1914 Governor, Secretary of State and Treasurer

119421 f94,000 4% 1914 Governor, Secretary of State and Treasurer

[Treasurer

[Treasurer

[Treasurer

[Treasurer

[Treasurer

[Treasurer

[Treasurer

[Treasurer

[Treasurer

[Treasurer [Treasurer

1w-3
H

[Treasurer [Treasurer [Treasurer

x>n
q w

[Treasurer

H Ed

[Treasurer

[Treasurer

[Treasurer

[Treasurer [Treasurer [Treasurer

ohw) H

JTreasurer

JTreasurer

JTreasurer

JTreasurer

[Treasurer

JTreasurer

JTreasurer

JTreasurer

[Treasurer

JTreasurer

JTreasurer

July July July July
July July July
July July

1915 915
1915 1915 1915 1915 1915
1915 1915

5,000|July
1,000 July 1,000 July 5,000 July 1,000 July
1,000 July 1,000 July 1,000 July 5,000 July

1942| t60,000 41/4 1914 Governor, Secretary of State and Treasurer

[Treasurer

1943J 137,000 4% 1914 Governor, Secretary of State and Treasurer

|Treasurer

1943] t33,000 4% 1914 Governor, Secretary of State and Treasurer

JTreasurer

1943J t30,000 4% 1914 Governor, Secretary of State and Treasurer

JTreasurer

1944J 192,000 4% 1914 Governor, Secretary of State and Treasurer 1944| t8,000 41/4 1914 Governor, Secretary of State and Treasurer ,

JTreasurer [Treasurer

1945| 1,032,000 41/4 .914|Governor, Secretary of State and Treasurer

JTreasurer

1945[ t238,000 4% 1914|Governor, Secretary of State and Treasurer

JTreasurer

1945| f255,000 41/4 1914|Governor, Secretary of State and Treasurer

|Treasurer

I I
|Land Script Fund See Code 1910 Sec. 6581.

I
$| 6,027,202

W H >

-Past due for which money is held in the Treasury to pay sa ;ic when presented. -Registered.

1

a o H

EXHTBIT No. 3.

Classification of Valid Interest-Bearing Bonds of the State of Georgia, Rate of Interest on Each Series When Due and



Total Amount Interest Per Annum, as of December 31, 1917.

DISCRIPTION OP BONDS

a o

3

i-s

d3 u>>

3

"S3 g

03

St-,

o

Bonds issued under Act of 1914, $138,000.00 due July 1, 1935, $200,000.00 on July 1st each year thereafter until July 1, 1945, on which date $1,525,000.00 mature
Fifty-year obligations to State University, Act 1881 Fifty-year obligations to State University, Act 1898 Bonds issued under Act 1889, beginning with January,
1917, $100,000.00 per annum *Bonds issued under Act 1891, due 1922 Coupon Bonds issued under Act 1895, due 1926 Outstanding past due bonds Land Script Fund (not bonded)

3,463,000.00 4%% 282,500.00 7%
9,000.00 3Mk%

1,733,000.00 207,000.00
230,000.00 12,500.00 90,202.00

3y2% 4%% 4%
7%

73,588.75 9,887.50 157.50
30,327.50 4,657.50 4,600.00
3,157.07

73,588.75 9,887.50 157.50
28,577.50 4,657.50 4,600.00
3,157.07

147,177.50 19,775.00 315.00 H
O Ed
58,905.00 9,315.00 9,200.00
6,314.14

$ 6,027,202.00 |
I

1$ 126,375.82 $ 124,625.82 $

I

I

*--No provision of law for registration of bonds of this issue.

Only registered or validated and registered bonds (no coupons) will be received for deposit.

251,001.64

TREASURER'S REPORT

xxrx

EXHIBIT No. 4.

Giving names of insurance and guarantee companies which

have deposits with the Treasurer of Georgia, as required by law,

December 31, 1917.

FIRE COMPANIES.

Name of Company

Deposit

Aachen & Munich, Germany

Bonds, Ga.

$

Aetna A. & L. Fire, Conn.

Bonds, Municipal

Aetna Fire, Conn.

Bonds, Ga

Agricultural, N. Y.

Bonds, Municipal

Alliance, Pa.

Bonds, Municipal

American Central, Mo.

Bonds, Municipal

American Eagle, N. Y.

Bonds, Municipal

American Druggist, Cincinnati Bonds, U. S. ...

American, N. J

Bonds, Municipa

Atlas Assurance, England

Bonds, Munic pal ....

Automobile Ins. Co., Conn.

Bonds, Municipa ___.

British-America, Canada Boston, Mass.

Bonds, Municipal Bon^. <fa- M. & U. S.

Camden Fire, N. J. .....

Bonds, Municipal ....

Caledonian. Scotland

50n!r' TT'C,

Central Mfrs. Mutual, Ohio Citizens Fire, Mo.

Bonds, ?" Bonds, Ga. .....

City of New York

.. Bonds, Municipal .--

Columbia, N. J.

Bonds, Munic pal ....

Commercial Union, England

Bonds, Municipal

Commercial Union Fire, N. Y. Bonds, U. S.

Commonwealth Ins. Co.

Bonds, U. S.

Concordia Fire, Wis.

Bonds, Munic pal .--

Continental, N. Y.

Bonds, Municipal

Connecticut, Hartford

Bonds, Municipal --

County Fire, Philadelphia

Bonds, Municipal .--

Dixie Fire, N. C.

Bonds, Municipal

Equitable Fire, S. C.~

Bonds, Ga. ....

Equitable F. & M., R. I.

Bonds, Municipal ....

Fidelity Phoenix, N. Y. Fitchburg Mutual, Mass.

__

Bonds, U. s. ... Bonds, Mun cipal ....

Firemen's, of Newark, N. J

Bonds, Municipal .

Firemen's Fund, of San Francisco. Bonds, U. S. & Surety

Fire Association of Philadelphia--Bonds, Municipal

First National Fire, Washington.-Bonds, Municipal

Franklin Fire, Philadelphia

Bonds, Municipal

German Alliance, N. Y.

Bonds, U. S.

Germania, N. Y.

Bonds, Ga.

German-American, N. Y.

Bonds, U. S.

Girard F. & M. Pa.

Bonds, Municipal

Glens Falls, N. Y.

Bonds, Ga.

Globe & Rutgers Fire, N. Y. Bonds, Municipal

Great Southern Fire, Ky.

Bonds, Municipal

Hamburg-Bremen, Germany

Bonds, Municipal

Hartford, Conn.

Bonds, Ga.

Hanover Fire, N. Y.

Bonds, Ga.

Home of New York

Bonds, Ga.

Amount 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00
10,000.00 10,000.0"
10,000.00 10,000.00 10,000.00
10,000.00 10,000.00 10,000.00 10,000.00 10,000.00
10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 11,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00
10,000.00 10,000.00 10,000.00 20,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 25,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00
10,000.00

XXX

TREASURER'S REPORT

EXHIBIT No. 4--Continued.

Name of Company

Deposit

Insurance Co. of N. A., Pa.

Bonds, Municipal

Insurance Co. of Pa.

Bonds, Municipal

Liverpool & London & Globe, Eng.Bonds, Ga.

Liverpool & London & Globe, N. Y.Bonds, Ga.

London & Lancashire, England ---Bonds, Ga.

London Assurance, England

Bonds, Ga.

Lumber Mutual, Boston, Mass Bonds, Municipal

Lumbermen's Mutual, Ohio

Bonds, Municipal

Mass. Fire & Marine, Boston Bonds, U. S.

Mechanics of Phila., Newark, N; J. Bonds, Municipal

Mercantile Mutual, R. I.

Bonds, Municipal

Milwaukee Mechanics, Wis.

Bonds, Ga.

National Ben Franklin

Bonds, Municipal

Nationale Fire, France

Bonds, Municipal

National Union, Pa.

Bonds, Municipal

National, Conn.

Bonds, U. S.

isewark Fire, N. J.

Bonds, U. S.

New Brunswick, N. J.

Bonds, Municipal

New Hampshire, Manchester Bonds, Ga.

New Jersey Fire, N. J.

Bonds, Municipal

Niagara, N. Y.

Bonds, Ga.

Northern Assurance, England Bonds, U. S.

Norwich Union, England

Bonds, Ga.

North British & Mercantile

Bonds, Ga.

Nord-Dutsche, Germany

Bonds, Municipal

North River, N. Y.

Bonds, Municipal

Northern Ins. Co., N. Y.

Bonds, U. S.

Northwestern National, Wis. Bonds, Municipal

Orient, Conn.

Bonds, Municipal

Pacific Fire, N. Y.

Bonds, Municipal

Pa. Millers* Mutual

Bonds, Municipal

Pa. Lumbermen's Mutual, Phila. --Bonds, Municipal

Palatine, England

Bonds, Municipal

Pennsylvania, Philadelphia

Bonds, Municipal

Peoples National, of Delaware, Pa.Bonds, Municipal

Phenix Fire, France

Bonds, Municipal

Phoenix of Hartford, Conn.

Bonds, Municipal

Phoenix Assurance, of London Bonds, Municipal

Providence, Washington, R. I Bonds, Municipal

Queen, N. Y.

Bonds, Ga.

Rhode Island Insurance

Bonds, Municipal

Royal, England

Bonds, Ga.

Royal Exchange, England

Bonds, U. S.

Scottish Union & National

Bonds, Ga.

Security of New Haven, Conn Bonds, Municipal

Southern Underwriters

Bonds, Municipal

Springfield F. & M.

Bonds, Ga.

St. Paul F. & M., Minn.

Bonds, Ga.

Sun Fire of London

Bonds, Municipal

Standard Fire, Conn.

Bonds, Municipal ___

Standard & Marine, Ltd., N. Y Bonds, Municipal ,,

Sterling Fire, Ind.

Bonds, Municipal

Stuyvesant, N. Y.

Bonds, Municipal

Svea Fire & Life, Sweden

Bonds, Municipal

Amount
10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,0 10,000.00 10,000.00
10,000.00 10,000.00 10,000.00
10,000.00
10,000.00 10,000.00 10,000.00
10,000.00 10,000.00 10,00"
10,000.00
10,000.00 10,000.00
10,000.00
10,000.00 10,000.00 10,000.00 10,000.00 10,000.00 10,000.00
10,000.00 10,000.00 10 000 on
10,000.00 10,000 00 10,000 00 10,000.00
10,000.00
10,000.00 10 000 00
10 00' 10 000 00 10 000 00
10 000 00

TREASURER'S REPORT

XXXI

EXHIBIT No. 4--Continued.

Name of Company

Deposit

Thames & Mersey, Marine, Eng.--Bonds, Ga.

The Tokio Marine, Japan Union Fire, France Union Assurance Society, Ltd. Union Marine, Liverpool
U. S. Fire, N. Y. Westchester, N. Y. U. S. Lloyds, N. Y. Western Assurance, Canada Yorkshire Ins. Co., Ltd., Eng

Bonds, U. S. Bonds, Municipal Bonds, U. S. Bonds, Municipal Bonds, Municipal Bonds, G-a. Bonds, Municipal Bonds, Ga. Bonds, Ga.

W. & A. R. R. deposited by lessees

as required by law

Bonds, Ga

Bonds of miscellaneous companies

Amount 10,000.00 10,000.00 in r 11,000.00 10,000.00 10,000.00 10,000.00 10,00 10.^ 10,000.00
$1,137,000.00
500,000.00 1,024,150.00

Grand Total

$2,661,150.00

MISCELLANEOUS COMPANIES

Name of Company

Depo sit

American, Savannah

Bonds, Municipal

$

Atlanta Mutual Ins. Co.

Bonds, Ga.

--

Atlantic Life

Bonds, U. S.

American Surety, N. Y.

Bonds, Municipal

Bankers Health & Life, Macon. --Bonds, Municipal

Cherokee Life, Rome, Ga.

Bonds, Ga. & Mun'p'l

Chatham Mut. L. & H., Savannah. Bonds, Municipal

Continental Aid Ass'n of Atlanta,-Bonds, Municipal

Equitable Surety Co., St. Louis--Bonds, Municipal

Fidelity & Deposit Co., of Md Bonds, U. S.

Georgia Casualty Co., Macon, Ga.__Bonds, Ga. & Mun. --

Georgia Casualty Co., Macon, Ga.--Bonds, Municipal

Georgia Casualty (held in trust)--Bonds & Mtge. Deeds

Ga. Mut. Ind. Life & Health, Aug.-Bonds, Municipal

Guaranty A. & R. Soc, Savannah. Bonds, Municipal

Hartford Accident & Ind. Co.

Bonds, Municipal

Industrial L. & H., Atlanta -- Bonds, Municipal

Life Ins. Co. of Virginia

Bonds, U. S.

Maryland Casualty Co., Baltimore-Bonds, Municipal

Maryland Life Ins. Co., Baltimore. Bonds, Municipal

Mass. Bonding Co., Boston

Bonds, Municipal

Mutual B. & I. As'n, Savannah Bonds, Municipal

National Surety Co., N. Y.

Bonds, Municipal

Pacific Mutual Life, Cal.

Bonds, Surety

Peoples Health & Life, Macon

Bonds, Municipal

Pilgrim's H. & L'., Augusta

Bonds, Municipal

Royal Indemnity Co., N. Y.

Bonds, Ga.

Standard Life Ins. Co., Atlanta---Bonds, Municipal

State Mutual Life, Rome, Ga. --Bonds, Ga.

The Aetna Ace. & Liab. Co., Conn.. Bonds, Municipal

Title Gr. & Sur. Co., Scranton, Pa.. Bonds, Municipal

U. S. Fidelity & Guar. Co., Md. ... Bonds, Ga.

Amount 5,000.00
15,000.00 15,000.00 25,000.00
5,000.00 100,000.00
5,000.00 5,000.00 25,000.00 25,000.00 100,000.00 25,000.00 101,250.00 5,000.00 5,000.00 25,000.00 30,000.00 30,000.00 25,000.00 60,000.00 25,000.00 5,000.00 25.000.00 20,000.00 5,000.00 5,000.00 25,000.00 100,900.00 107,000.00 25,000.00 25,000.00 25,000.00

Total

_$1,024,150.00

xxxii

TREASURER'S REPORT

EXHIBIT No. 5.
Showing assets and liabilities for the State of Georgia for the year ending December 31, 1917:

ASSETS.

Western & Atlantic Railroad (leased for $420,012.00 per

Value

annum) and public buildings

. Not estimated

186 shares Georgia Railroad Stock (Annual Interest

$1,023.00)

.,

? 48,360.00

440 shares Southern and Atlantic Telegraph Co., stocks,

indorsed by Western Union Telegraph Co. (annual

dividends $1,573.00), par value

11,000.00

LIABILITIES.

Valid interest-bearing bonds

$5,924,500.00

Non-interest-bearing bonds past due, for which money is

in Treasury to pay same, but not presented for pay-

ment

_ 12,500.00

Total bonded indebtedness

$5,937,000.00

Land-script fund, not funded, on which State pays Univer-

sity Trustees annually 7 per cent, interest

90,202.00

Total real debt

$6,027,202.00

EXHIBIT No. 6.

Showing undrawn balances forwarded to 1918 accounts:

Academy for Blind

_ 2 500 00

Agricultural Industrial & Normal College

2,080.00

Agricultural Schools

25 850 00

Binding Journals

275 00

Board of Health

'.'~~."~.'. 3,500.00

Clerk to Tax Commissioner

750 00

Colored College

~__

66000

Contingent Fund

11787 24

Contingent Fund Court of Appeals

968.02

Contingent Fund Railroad Commission

1,000.00

Contingent Fund Supreme Court

'724 33

Department of Agriculture, (from fertilizer fees)

2,000.00

Department of Agriculture, maintenance

3,750.00

Department of Agriculture, Chemicals

1,125.14

TREASURER'S EEPORT

xxxiii

EXHIBIT No. 6--Continued.

Department of Agriculture, Pure Foods and Drugs

2,500.00

Geological" Fund

2,901.29

Georgia Experiment Station

39.34

Georgia Normal & Industrial College

5,620.00

Horticultural Fund Incidental Expenses General Assembly

750.00 14.85

Insurance Public Buildings

66,121.59

Library Fund Library Fund Court of Appeals

880.55 995.03

Library Fund Legislative Reference Bureau

441.86

Market Bureau

8,750.00

Military Fund

10,000.00

North Georgia A. M. College

2,200.00

Pensions

6,430.69

Printing Fund Printing Fund, Railroad Commission

21,187.06 772.11

Prison Fund Public Debt, Interest Account

591.35 31,861.70

Public Debt, Refunding Bonds July 1915

10,000.00

Publishing Georgia Reports

2,737.18

Public Building and Grounds

405.13

Rate Expert, Railroad Commission

1,427.88

Reward Fund
Roster Fund School Fund

2'800-00 279'60
2,218,438.35

School of Technology

8,320.00

School of Technology, special

15,000.00

State Normal School

9,790.00

State Normal School, special

17,000.00

State University for Agricultural College

8,530.00

State University for Agricultural College, Smith-Lever.-- 39,129.28

State University, maintenance

5,000.00

State Medical College
State Sanitarium State Sanitarium, special for building
Stationery General Assembly _S.in,ki:ng F_und. Supervisor Co. officers and records, Expense

2'5WR7l
^tllnln 170*"'TM
23,500.00

Training School for Girls, building
Vocational Educational Fund W. & A. R. R. Commission

14030 20 ?'n?':!l2

Total

. _$2,812,640.43

xxxiv

TREASURER'S REPORT

EXHIBIT No. 7.

Treasury Department statement of monthly receipts and disbursements for the year 1917:

RECEIPTS
January 1, 1917, To Balance in Treasury January February March April May June July August September October November December

$1,386,135.42 1,855,324.20 638,478.25 535,824.66 692,133.17 273,917.13 338,018.84 294,837.49 629,365.05 422,509.93 170,610.62 305,076.55 1,443,048.93

DISBURSEMENTS.

January

February

March

April

May

_

June

July

August

September

October

November

December

By Balance in Treasury December 31, 1917

?8,985,280.24

$ 804,253.05

_'

897,035.59

1,904,370.32

759,007.47

491,692.89

417.592.71

313,017.35

198,973.76

625,116 59

457.656.67

233,637.08

423,595.58

?1,459,331.18

$8,985,280.24

TREASURER'S REPORT

XXXV

EXHIBIT No. 8.

STATE DEPOSITORIES.

Location.

Name of Bank.

Amount of Bond.

Atlanta

Atlanta National Bank

$100,000.00

Atlanta

Central Bank & Trust Corporation 50,000.00

Atlanta

Fourth National Bank

200,000.00

Atlanta --

Fulton National Bank

100,000.00

Atlanta _ -

Lowry National Bank

100,000.00

Albany

Albany National Bank

50,000.00

Albany

Citizens First National Bank

50,000.00

Alpharetta

Milton County Bank

25,000.00

Americus

Commercial City Bank

15,000.00

Americus

Planters Bank

10,000.00

Athens

American State Bank

75,000.00

Augusta

National Exchange Bank

100,000.00

Bainbridge

Bainbridge State Bank

20,000.00

Barnesville

-Barnesville Bank

,,

25,000.00

Blackshear

Citizens Bank

15,000.00

Blue Ridge

Fannin County Bank

12,500.00

Bremen

Bank of Bremen

25,000.00

Brunswick

- -National Bank of Brunswick

25,000.00

Cairo

Farmers & Merchants Bank

25,000.00

Calhoun

Calhoun National Bank

10,000.00

Camilla

Bank of Camilla

25.000.00

Canton

Bank of Canton

20,000.00

Carrollton

Carrollton Bank

50,000.00

Cartersville

First National Bank

50,000.00

Cedartown _ -- - Commercial Bank

25,000.00

Claxton .

Claxton Bank

10,000.00

Columbus

.Third National Bank

100,000.00

Comer

Peoples Bank

10,000.00

Commerce

Northeastern Banking Co.

25,000.00

Conyers

Bank of Rockdale

15,000.00

Cornelia

Cornelia Bank

50,000.00

Cumming

Bank of dimming

10.000.00

Dahlonega

Bank of Lumnkin County

25,000.00

Dalton

First National Bank

25,000.00

Darien

Darien Bank

5 000.00

Dawson --

Bank of Dawson

25,000.00

Decatur

Bank of Decatur

20.000.00

Douglas

Union Banking Co.

10.000.00

Douglasville

Douglasville Banking Co.

25,000.00

Dublin

First National Bank

50.000.00

Eastman

"-- Citizens Banking Co.

15,000.00

Edison

Bank of Edison

25,000.00

Elberton

Elberton Loan & Savings Bank

10.000.00

Elberton -

^irst National Bank

10.000.00

Fairburn

Fairhurn Banking Co.

25.000.00

Fitzgerald

First National Bank

5ennnSS

Forsyth

Bank of Forsyth

25.ono.00

Franklin

Bank of Heard County

25.onn.00

Gainesville

Gainesville National Bank

25,000.00

Gordon __ Greenville

Peoples Bank Greenville Banking Co.

10.000.00 i^"TM'TM

Griffin

Griffin Banking Co.

25,000.00

xxxvi

TREASURER'S EEPORT

EXHIBIT No. 8--Continued.

STATE DEPOSITORIES--Continued.

Location.

Name of Bank.

Amount of Bond.

Guyton

Effingham County Bank

15,000.00

Hartwell

Hartwell Bank

25,000.00

Hawkinsville

First National Bank

15,000.00

Hazlehurst

Citizens Bank

10,000.00

Homerville

Bank of Homerville

10,000.00

Jackson

Jackson Banking Co.

10,000.00

Jefferson

First National Bank

60,000.00

Jeffersonville

Twiggs County Bank

25,000.00

Jesup

Jesup Banking Co.

10,000.00

Jonesboro

Bank of Clayton County

25,000.00

Kingsland

State Bank of Kingsland

15,000.00

LaFayette

Bank of LaFayette

25,000.00

LaGrange

LaGrange Banking & Trust Co. ._. 50,000.00

Lavonia

First National Bank

20,000.00

Lawrenceville

Brand Banking Co.

25,000.00

Louisville

Bank of Louisville

25,000.00

Lyons

Toombs County Bank

10,000.00

Ludowici

Liberty Banking Co.

15,000 on

Macon

Fourth National Bank

25,000.00

Macon

Macon National Bank

50,000.00

Madison

Morgan County Bank

15.000.00

Manchester

Bank of Manchester

20,000.00

Marietta

First National Bank

25,000.00

McDonough

First National Bank

25,000.00

Metter

Citizens Bank

10,000.00

Milledgeville

Exchange Bank

25,000.00

Millen

Bank of Millen

25,000.00

Montezuma

A Lewis Banking Co.

25,000.00

Monticello

First National Bank

25.000.00

Moultrie

First National Bank

25.000.00

Mt. Vernon

Mt. Vernon Bank

25.000.00

Nashville

Berrien County Bank

25.000.00

Newnan

Coweta National Bank

50,000.00

New York

National Park Bank

Ocilla

First National Bank

15,000.00

Pelham

Farmers Bank

15,000.00

Pembroke

Pembroke National Bank

25,000.00

Perry

Perry Loan & Banking Co.

10.000.00

Quitman

BanK of Ouitman

25.000.00

Reidsville

Tattnall Bank

10.000.00

Reynolds

First National Bank

10.000.00

Richland

Bank of Richland

in.nno.no

Rome

Exchange National Bank

50.000.00

Sandersvllle

Citizens Bank

25.noo.00

Savannah

Exchange Bank

ino ooo.oo

Shellman

First National Bank

25,000.00

Sparta

First National Bank

15,000.00

Statesboro

Sea Island Bank

15.000.00

Sylvania

Sylvania Banking Co.

30.000.on

Sylvester

Farmers & Merchants Bank

5.000.00

Talbotton

Peoples Bank

25.000.00

Tennille

Tennille Banking Co.

5.000.00

TREASURER'S REPORT

XXXVII

Location.
Thomasville Thomson Tifton Toccoa Valdosta Vienna Washington Waycross Woodbury

EXHIBIT No. 8--Continued.

STATE DEPOSITORIES--Continued.

Name of Bank.

Amount of Bond.

Bank of Thomasville First National Bank National Bank of Tifton Farmers & Merchants Bank . Southern Bank & Trust Co. . Bank of Vienna Washington Exchange Bank First National Bank Woodbury Banking Co.

25,000.00 25,000.00 25,000.00 10,000.00 15,000.00 15,000.00
... 25,000.00 ,, 25,000.00 ._ 5,000.00

EXHIBIT No.- 9.

GEORGIA STATE BANKS.

Name of Bank.

Location.

Capital

Bank of Abbeville

Abbeville

! 15,000.00

Bank of Acworth

Acworth

16,000.00

S. Lemon Banking Co Acworth

30,000.00

Bank of Adairsville

Adairsville -- 25,000.00

Farmers Bank

Adairsville -- 15,000.00

Bank of Adel

Adel

25,000.00

Citizens Bank

Adrian

25,000.00

Bank of Adrian

Adrian

15,000.00

Bank of Alapaha

Alapaha

15,000.00

Albany Trust Co

Albany

100,000.00

Exchange Bank

Albany

57,200,00

Farkas Trust Co

Albany

100,000.00

Ga. Bk. & Trust Co

Albany

100,000.00

Alpharetta Bank

Alpharetta _-- 25,000.00

Milton County Bank

Alpharetta _-- 16,000.00

Citizens Bank

Alston

15,000.00

Ambrose-Enigma Bkg. Co.Ambrose

15,000.00

Bank of Commerce

Americus

65,000.00

Commercial City Bank Americus

50,000.00

Planters Bank

--Americus

50,000.00

Bank of Arlington

Arlington

47,500.00

Ashburn Bank

Ashburn

50,000.00

Citizens Bank

Ashburn

25,000.00

Turner County Bank

Ashburn

25,000.00

American State Bank

Athens

100,000.00

Athens .Savings Bank Athens

50,000.00

Commercial Bank

Athens

50,000.00

Peoples Bank

Athens

Atlanta State Savgs. Bk._Atlanta

Atlanta Commercial Bank-Atlanta

50,000.00 25,000.00 25,000.00

Atlanta Trust Co

Atlanta

500,000.00

Bank of West End

Atlanta

15,000.00

Central Bk. & Tr. Corp.--Atlanta

Colonial Trust Co

Atlanta

East Atlanta Bank

Atlanta

1,000,000.00 143,600.00 25,000.00

Chartered

Oct. 6, 1904

Oct. 31, 1905

Dec. 18, 1906

Men. 23, 1899

Oct. 2, 1911

Nov. 30, 1901

Nov. 26, 1909

Nov. 20, 1911

Mch. 1, 1905

June 13, 1905

Dec. 18, 1890

S. C.

June 8, 1916

Jan. 15, 1905

Dec. 5, 1910

Sept. 19, 1911

April 5, 1915

Oct. 13, 1891

July 23 1908

Oct 13 1891

Jan. 17 1901

July 3 1900

July 27 1905

Feb.

1912

Dec. 2, 1902

June 23 1913

Sept. 29 1891

May 21 1912

June 23 1913

May 12 1916

Aug. 19 1910

Mch. 25 1915

Nov. 28 , 1905

Oct. 22 , 1912

Nov. 15 , 1910

xxxviii

TREASURER'S EEPORT

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

Location.

Capital

Farmers & Traders

Atlanta

Georgia Svgs.Bk. & Tr. Co. Atlanta

25,000.00 200,000.00

American Savings Bank__Atlanta

200,000.00

Security State Bank Trust Co. of Georgia

Atlanta Atlanta

60,000.00 1,000,000.00

Augusta Savings Bank Augusta

50,000.00

Georgia R. R. Bank Merchants Bank

Augusta Augusta

600,000.00 200,000.00

Planters L. & S. Bank Union Savings Bank Austell Bank

Augusta Augusta Austell

50,000.0 - 100,000.00
15,000.00

Avera Banking Co Bank of Baconton

Avera Baconton.

15,000.00 15,000.00

Bainbridge State Bank.--Bainbridge .__ 100,000.00

Decatur County Bank Bainbridge ___ 25,000.00

Citizens Bank

Bainbridge ... 30,000.00

Baldwin State Bank

Baldwin

15,000.00

Bank of Ball Ground Barnesville Bank

Ball Ground __ 25,000.00 Barnesville .. 36,000.00

Citizens Bank

Barnesville _. 45,000.00

Bartow Bank Farmers State Bank

Bartow Bartow

25,000.00 15,000.00

Bank of Barwick Baxley Banking Co

Barwick Baxley

15,000.00 60,000.00.

Baxley State Bank

Baxley

15,000.00

Bank of Benevolence Benevolence _ 15,000.00

Farmers & Merchants Berlin

15,000.00

Bank of Bethlehem

Bethlehem .... 15,000.00

Bishop Banking Co

Bishop

25,000.00

Blackshear Bank Citizens Bank

Blackshear .. 50,000.00 Blackshear _. 17,000.00

Union County Bank Farmers State Bank

Blairsville Blakely

15,000.00 50,000.00

Fannin County Bank Farmers Bank

Blue Ridge __. 15,000.00

Blythe

15,000.00

Farmers Bank

Bogart

15,000.00

Bank of Boston

Boston

25,000.00

Merchants & Farmers__,,Boston

50,000.00

Bank of Bostwick

Bostwick

15,000.00

Bank of Bowdon

Bowdon

50,000.00

Merchants & Planters Bowdon

50,000.00

Bank of Bowersville Bank of Bowman

Bowersville __ 20,000.00

Bowman

25,000.00

Farmers Bank

Bowman

18,400.00

Bank of Bremen

Bremen

' 40,000.00

Farmers Bank

Bremen

17,600.00

Farmers & Merchants Brewton

Citizens Bank

; Brinson

15,000.00 15,000.00

Farmers Bank .__.

Bronwood

15,000.00

Bank of Brooklet

Brooklet

25,000.00

Brooks Bank

Brooks

15,000.00

Brunswick Bk. & Tr. Co...Brunswick ___ 100,000.00

Glynn County Bank

Brunswick ___ 75,000.00

Chartered
Sept. 25, 1900 Oct. 26, 1889 Dec. 1886 Aug. 31, 1911 Sept. 21, 1891 Oct. 14, 1879 Nov. 15, 1892 Jan. 8, 1904 Oct. 27, 1870 Sept. 22, 1891 Jan. 3, 1910
Men. 15, 1910 Apr. 23, 1907 Feb. 1, 1901 Dec. 26, 1905 Nov. 8, 1911 Nov. 7, 1907 July 3, 1906 Sept. 14, 1908 May 7, 1902 Dec. 11, 1902 May 5, 1910 Jan. 23, 1906 Men. 24, 1902 Aug. 23, 1917 Feb. 1, 1911 Sep. 27, 1910 Sep. 12, 1912 Oct. 2, 1905 Sep. 11, 1891 Nov. 6, 1905 Nov. 11, 1909 Aug. 12, 1911 Apr. 28, 1916
Aug. 28,1909 Aug. 30, 1910 Dec. 7, 1905
1891 Oct. 26, 1911 Oct. 16, 1905 Aug. 30, 1911 Dec. 14, 1906 Feb. 2, 1905 Mch. 1911 Mch. 23, 1903 Aug. 8, 1911
May 26, 1910 Dec. 17, 1910 Apr. 30, 1913 May 10, 1907 Aug. 8, 1907 Sep. 11, 1889 Nov. 5, 1906

TREASURER'S EEPORT

XXXIX

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

Location

Farmers & Citizens

Buchanan

Haralson County Bank_._J3uchanan _--

Bank of Buckhead

Buckhead

Buena Vista L. & S. Bank Buena Vista _.

Bank of Buford

Buford

Shadburn Banking Co Buford

Bank of Bullochville

Bullochville ._

Butler Banking Co

Butler

Farmers & Merchants Butler

Farmers Bank

Byron

Cadwell Banking Co

Cadwell

Cairo Banking Co

Cairo

Citizens Bank

Cairo

Farmers & Merchants Cairo ___

Peoples Bank

Calhoun

Bank of Camilla

Camilla

Planters & Citizens

Camilla

Canon Bank

Canon

Bank of Canton

Canton

Bank of Cherokee

Canton

Carlton Bank

Carlton

Planters Bank

Carlton

Bank of Franklin County.Carnesville --

Carrollton Bank

Carrollton __.

Citizens Bank

Carrollton ...

Peoples Bank

Carrollton --

Bank of Cartersville

Cartersville _.

Bank of Cassville

Cassville

Bank of Cave Spring Cave Spring .

Peoples Bank

Cecil

Bank of Cedartown.

Cedartown

Commercial Bank

Cedartown ...

Farmers & Mechanics Cedartown __.

Bank of Chamblee

Cbamblee --

Farmers & Merchants Charing

Bank of Chatsworth Chatsworth _.

Cohutta Banking Co

Chatsworth _.

Bank of Chauncey

Chauncey

Chester Banking Co

Chester

Bank of Chickamauga Chickamauga

Bank of Chipley

Chipley

Farmers & Merchants Chipley

Habersham Bank

Clarksville ...

Claxton Bank

Claxton

Bank of Clayton

Clayton ....

Clermont Banking Co Clermont

Farmers & Merchants Cleveland --

White County Bank

Cleveland _--

Farmers Bank

Climax

Farmers & Merchants Clyo

Bank of Cobbtown

Cobbtown ...

Capital
15,000.00 15,000.00 25,000.00
30,000.00 25,000.00 40,000.00
25,000.00 15,000.00 25,000.00 20,000.00
25,000.00 35,000.00
50,000.00 30,000.00
55,000.00 50,000.00
50,000.00 20,000.00
100,000.00 25,000.00
25,000.00 15,000.00 25,000.00 100,000.00 50,000.00 60,000.00 100,000.00 15,000.00 15,000.00 15,000.00 50,000.00 100,000.00 20,000.00 25,000.00 15,000.00 15,000.00 15,000.00 25,000.00 22,800.00 15,000.00 25,000.00 46,000.00 25,000.00 50,000.00 25,000.00 15,000.00 15,000.00 15,000.00 15,000.00 15,000.00
15,000.00

Chartered
Aug. 8, 1911 Mch. 3, 1909 July 9, 1906 Sep. 1, 1889 Jan. 20, 1893 Jan. 23, 1901 Aug. 26, 1905 May 20, 1912 June 29, 1906 Nov. 2, 1909 Jan. 5, 1910 Nov. 23, 1903 Dec. 3, 1903 Nov. 7, 1910 Nov. 3, 1905 Nov. ' 4, 1889 Sep. 30, 1912 Nov. 25, 1905 Nov. 17, 1902 July 5, 1910 Mch. 1903 Mch. 11, 1912 Mch. 12, 1906 Dec. 26, 1.890 Jan. 27, 1906 Nov. 10, 1909 Sep. 11, 1895 May 16, 1912 Oct. 25, 1905 Apr. 21, 1911 Oct. 18, 1901 Oct. 16, 1889 Nov. 26, 1907 Oct. 31, 1917 Sep. 28, 1912 Aug. 17, 1907 July 17, 1905 Oct. 11, 1905 Mch. 30, 1909 Feb. 16, 1910 Dec. 3, 1901 Mch. 22, 1909 Mch. 15, 1904 Apr. 24, 1903 June 30, 1904 June 13, 1912 Oct. 16, 1914 Sep. 22, 1909 Oct. 8, 1912 Jan. 28, 1914
Nov. 30, 1906

xl

TREASURER'S EEPORT

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

Location

Citizens Bank

Cochran

Cochran Banking Co

Cochran

Bank of College Park College Park_.

Bank of Collins

Collins

Colquitt Exchange Bank.'.Colquitt

Columbus Savings Bank__Columbus

Columbus L. & B. Co

Columbus

Home Savings Bank

Columbus

Merchants & Mechanics__Columbus

Muscogee Bank

Columbus

Phoenix Bank

Columbus

Comer Bank

Comer

Peoples Bank

Comer

Northeastern Banking Co..Commerce

Concord Banking Co

Concord

Bank of Conyers

Conyers

Bank of Rockdale

Conyers

Farmers & Merchants Cooledgo

American Savings Bank__Cordele

Citizens Bank

Cordele

Exchange Bank

Cordele

Cornelia Bank

Cornelia

Bank of Covington

Covington

Bank of Newton County Covington

Bank of Crawford

Crawford

Farmers Bank

Crawford

Bank of Crawfordville Crawfordville-

Bank of Taliaferro

Crawfordville.

Bank of Culloden

Culloden

Merchants & Planters Culloden

Bank of Cumming

Cumming

Farmers & Merchants Cumming

Bank of Cusseta

Cusseta

Bank of Cuthbert

Cuthbert

Georgia Bk. & Tr. Co Cuthbert

Dacula Banking Co

Dacula

Bank of Dahlonega

Dahlonega

Bank of Lumpkin County.Dahlonega

Bank of Dallas

Dallas

Commercial Savgs. Bank-Dallas

Bank of Dalton

Dalton

Bank of Kestler

Damascus

Bank of Danielsville

Danielsville __

Bank of Danville

Danville

Darien Bank

Darien

Merchants & Farmers Planters State Bank Bank of Dawson First State Bank Farmers & Citizens Bank of Dearing Bank of Decatur DeKalb County Bank

Davisboro Davisboro Dawson Dawson Dawsonville .. Dearing Decatur Decatur

Capital
25,000.00 75,000.00 25,000.00 15,000.00 15,000.00 200,000.00 50,000.00 50,000.00 125,000.00 50,000.00 39,200.00 25,000.00 25,000.00 100,000.00 25,000.00 30,000.00 50,000.00 22,800.00 25,000.00 25,000.00 100,000.00 40,000.00 100,000.00 80,000.00 25,000.00 15,000.00 25,000.00 24,000.00 25,000.00
15,000.00 25,000.00
25,000.00 15,000.00 50,000.00 25,000.00 25,000.00 15,000.00 15,000.00 25,000.00 25,000.00 40,600.00 20,850.00 15,000.00 15,000.00 25,000.00 25,000.00 15,000.00 100,000.00 50,000.00
15,000.00 15,000.00 25,000.00 25,000.00

Chartered
Dec. 31, 1912 Men. 9, 1899 Nov. 10, 1910 Oct. 14, 1905 Feb. 21, 1917 Dec. 24, 1888 May 14, 1914 Dec. 26, 1888 Dec. 14, 1872
Dec. 6, 1913
1905 Jan. 23, 1900 Men. 25, 1907 Aug. 25, 1892
Oct. 29, 1903 Nov. 1, 1904 Oct. 15, 1891 Dec. 18, 1911 July 8, 1916 Sep. 11, 1899 Nov. 29, 1905 July 3, 1900 Apr. 10, 1901 Jan. 17, 1905 June 15, 1905 Sep. 9, 1911 Feb. 23, 1899 Jan. 1, 1908 Oct. 11, 1897 Dec. 2, 1904 Oct. 11. 1904 Nov. 16, 1908 May 2, 1907 Sep. 29, 1887 Jan. 1, 1917 Aug. 31, 1909 May 27, 1914 Nov. 7. 1911 Nov. 15, 1901 Jan. 28, 1907 Nov. 26, 1911 Nov. 3, 1905 Dec. 11, 1907 Aug. 19. 1905 Dec. 8, 1889 Nov. 4, 1905 Oct. 7, 1911
June 29, 1911 Aug. 27, 1887 Nov. 9, 1911 April 6, 1911 Sep. 3, 1906 Aug. 28, 1911

TEEASUEEE'S EEPOET

xli

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

Location

Bank of Devereaux

Devereux

Dexter Banking Co

Dexter

Bank of Doerun

Doerun

Farmers Bank

Doerun

Bank of Donalsonville ponalsonville-

Planters Bank

Donaldsonville

Citizens Bank

Douglas

Union Banking Co

Douglas

Douglasville Banking Co.-Douglasville -

Farmers & Merchants Douglasville _

Bank of Dover

Dover

Bank of Dublin

Dublin

Citizens Bank

Dublin

Commercial Bank

Dublin

Dublin & Laurens Bank__Dublin

Southern Exchange Bank-Dublin

Bank of Dudley

Dudley

Bank of Duluth

Duluth

Farmers & Merchants Duluth

Citizens Banking Co

Eastnim

Merchants & Farmers Eastman

Bank of East Point

East Point ...

Bank of Eatonton

Eatonton

Citizens Bank

Eatonton

Middle Georgia Bank Eatonton

Bank of Edison

Edison

Bank of Elberton

Elberton

Elberton L. & S. Bank.__Elberton

Bank of Elko

Elko

Bank of Ellaville

Ellaville

The Council Bank

Ellaville

Bank of Ellenton

Ellenton

BanK 'of Ellenwood

Ellenwood

Bank of Ellijay

Ellijay

Bank of Eton

Et.i-i

Bank of Campbell County Fair burn

Fairburn Banking Co Fairburn

Fairmount Bank

Fairmount ...

Farmers & Merchants Fayetteville _.

Bank of Finleyson

Finleyson

Bank of Flovilla

Flovilla

Bank of Flowery Branch.Flowery Br'ch

Citizens Bank

Folkston

Bank of Forsyth

Forsyth

Farmers Bank

Forsyth

Monroe County Bank

Forsyth

Bank of Ft. Gaines

Ft. Games ___

Union Savings Bank

Ft. Gaines __-

Citizens Bank

Ft. Valley --

Exchange Bank

Ft. Valley

Bank of Heard County Franklm

Peoples Bank

Franklin

Citizens Bank

Gainesville

Capital
15,000.00 25,000.00 40,000.00 16,400.00 100,000.00 15,000.00 52,500.00 49,500.00 40,000.00 25,000.00 15,000.00 15,000.00 50,000.00 25,000.00 75,000.00 30,000.00 15,000.00 25,000.00 15,000.00 100,0u0.00 50,000.00 35,000.00 25,000.00 25,000.00 5\400.00 50,000.00 25,000.00 75,000.00 20,400.00 15,000.00 25,000.00 15,000.00 15,000.00 15,000.00 15,000.00 40.000.00 50,000.|00 15,000.00 25,000.00 15,000.00 15,000.00 20,000.00 15,000.00 50,000.00 50,000.00 25,000.00 50,000.00 27,150.00 50,000.00 50,000.00 25,000.00 25,000.00 50,000.00

Chartered
May 2, 1911 Jan. 18, 1904 June 9, 1902 Nov. 13, 1909 Jan. 7, 1903 June 12, 1915 Dec. 26, 1901 Dec. 27, 1898 Dec. 23, 1890 Apr. 17, 1907 July 5, 1912 Mar. 24, 1917 Dec. 4, 1916 May 7, 1911 Sep. 9, 1910 Nov. 11, 1914 Oct. 2, 1905 Nov. 12, 1910 Noy. 29, 1910 Feb. 8, 1902 Feb. 27, 1904 Feb. 28, 1906 May 11, 1903 Oct. 8, 1917 Dec. 4, 1890 Sep. 24, 1904 Jan. 16, 1893 Dec. 24, 1886 Jan. 11, 1905 Sep. 10, 1910 Dec. 5, 1917 Aug. 31, 1911 Mch. 18, 1912 May 21, 1914 May 23, 1910 Nov. 16, 1911 Dec. 28, 1904 Oct. 27, 1912 Nov. 10, 1906 Sep. 20, 1910 Oct. 2, 1906 Aug. 10, 1904 Dec. 12, 1911 Oct. 22, 1887 Mch. 9, 1910 Nov. 2, 1908 Sep. 2, 1889 July 30, 1910 Jan. 8, 1910 Dec. 24, 1888 Oct. 14, 1905 Aug. 20, 1906 May 19, 1913

Hi

xlii

TREASURER'S REPORT

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

Location

Farmers & Merchants GainesviJle --

State Banking Co

Gainesville --

Farmers & Merchants Garfleld

Bank of Gibson

Gibson

Bank of Gillsville

Gillsville

Bank of Girard

Girard

Glennville Bank

Glennville

Peoples Bank

Glennville _-

Bank of Godfrey

Godfrey

Farmers Bank

Glenwooi

Peoples Bank

Gordon

Bank of Gough

Gough

Bank of Grantville

Grantville

Bank of Gray.--

Gray

Bank of Graymont

Graymont --

Bank of Grayson

Grayson

Greenville Banking Co Greenville __

Peoples Bank

Greenville --

Griffin Banking Co

Griffin

Merchants & Planters Griffin

Savings Bank of Griffin Griffin

Effingham County Bank__Guyton

Jones County Bank

Haddock

Bank of Hagan

Hagan

Bank of Hahira

Hahira

Citizens Bank

Hahira

Bank of Hamilton

Hamilton

Bank of Harris County Hamilton

Bank of Hampton

Hampton

Bank of Hapeville

Hapeville

Bank of Columbia County_Harlrm

Bank of Harrison

Harrison

Farmers & Merchants Hartwell

Hart County Bank

Hartwell

Hartwell Bank

Hartwell

Hawkinsville B. & T. Co.-Hawkinsville

Planters Bank

Hawkinsville

Pulaski County Bank Hawkinsville

Bank of Hazlehurst

Hazlehurst _

Citizens Bank

Hazlehurst _

Jeff Davis Banking Co Hazlehurst. _

Merchants & Planters Hazlehurst _-

Bank of Helen

Helen

Citizens Bank

Helena

Bank of Hiawassee

Hiawassee

Bank of Hillsboro

Hillsboro

Hinesville Bank

Hinesville

Bank of Hiram

Hiram

Hogansville Banking Co.__Hogansville _

Planters Bank

Hogansville _

Banks County Bank

Homer

Bank of Homerville

Homerville .

Bank of Hoschton

Hoschton

Capital
50,000.00 75,000.00 15,000.00 15,000.00 15,000.00 15,000.00 30,000.00 25,000.00 15,000.00 20,000.00 18,800.00 15,000.00 25,000.00 25,000.00 25,000.00 25,000.00 65,000.00 30,000.00 100,000.00 100,000.00 50,000.00 25,000.00 25,000.00 15,000.00 35,000.00 24,900.00 16,200.00 15,000.00 25,000.00 15,000.00 25,000.00 15,000.00 50,000.00 25,000.00 60,000.00 50,000.00 50.000.00 29,100,00 15,000.00 25,000.00 30,000.00 30,000.00
15,000.00 15,000.00 15,000.00
25.000.00 15.0uu.00 15.000.00 25,000.00 15.000.00 15.000.00 15,000.00 30,000.00

Chartered
Nov. 19, 1913 Dec. 27, 1886 Jan. 9, 1911 Nov. 7, 1905 Sep. 6, 1911 Apr. 27, 1906 Jan. 12, 1905 Aug. 26, 1907 Aug. 18, 1917 Nov. 5, 1906 Feb. 1, 1906 Jan. 22, 1910 Sep. 10, 1901 Aug. 23, 1909 Apr. 27, 1901 July 11, laU6 Oct. 24, 1889 Aug. '17, 1905 Oct. 26, 1870 Feb. 28, 1876 Oct. 11, 1889 Apr. 4, 1904 July 14, 1905 May 7, 1904 Jan. 22, 1906 Dec. 15, 1912 Jan. 18, 1905 Oct. 10, 1911 Dec. 12, 1902 Jan. 11, 1911 Nov. 29, 1909 Mch. 12, 1906 Dec. 7, 1899 Sep. 14, 1915 Aug. 23, 1889 Aug. 26, 1872 Feb. 27, 1896 Sep. 6, 1912 Aug. 19, 1906 June 13, 1905 Sep. 4, 1917 Aug. 14, 1914 July 4, 1913 Oct. 1, 1905 June 14, 1909 Aug. 23, 1911 Sep. 4, 1911 Mch. 5, 1907 Apr. 6 ,1904 May 13, 1915 Nov. 25, 1911 May 6, 1903 May 3, 1904

TREASURER'S KEPORT

xliii

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

' Location

Bank of Ila

Ha

Citizens Bank

Iron City

Irwinton Bank

Irwinton

Bank of Irwinville

Irwinville

Jackson Banking Co Jackson

Bank of Jakin

Jakin

Pickens County Bank Jasper

Bank of Jackson County--Jeiferson

Jefferson Banking Co Jefferson

Farmers &. Merchants Jeffersonville _

Twiggs County Bank Jeffersonville -

Farmers Bank

Jenkinsburg -

Jesup Bankng Co

Jesup

Merchants & Farmers Jesup

Bank of Clayton County--Jonesboro

Bank of Jonesboro

Jonesboro

Farmers & Merchants Junction City-

Kennesaw State Bank Kennesaw _-..

State Bank of Kingsland--Kingsland

Bank of Kingston

Kingston

Citizens Bank

Kite

Bank of LaFayette

LaFayette

Walker County Bank LaFayette

Bank of LaGrange

LaGrange

LaGrange B. & T. Co LaGrange

LaGrange Savings Bank--LaGrange

Lake Park Bank

Lake Park _.

Bank of Lavonia

Lavonia ___--

Bank of Lawrenceville Lawrenceville.

Brand Banking Co

Lawrenceville-

Bank of Leary

Leary

Bank of Leesburg

Leesburg

Bank of Lenox

Lenox

Bank of Leslie

Leslie

Bank of Lexington

Lexington

Oglethorpe County Bank--Lexington --

Bank of Lilburn

Lilburn

Bank of Lincolnton

Lincolnton --

Farmers State Bank

Lincolnton .--

Lithonia Banking Co Lithoma

Peoples Bank

Lithonia

Bank of Locust Grove Locust Grove-

Citizens Bank

Locust Grove-

Farmers & Merchants Loganville ....

Logansville Banking Co.--Loganville _-.

Bank of Louisville

Louisville

Lovejoy Banking Co Lovejoy

Bank of Lovett

Lovett _

Citizens Bank

Ludowici ---

Liberty Banking Co

Ludowici

Bank of Lula

^ula ------"

Farmers & Merchants Lumber City -

Bank of Lumpkin

Lumpkin

Capital
15,000.00 18,000.00 15,000.00 25,000.00 50,000.00 24,600.00 15,000.00 25,000.00 50,000.00 15,000.00 25,000.00 15,000.00 25,000.00 25,000.00 25,000.00 25,000.00 15,000.00 20,000.00 15,000.00 25,000.00 15,000.00 60,000.00 21,900.00 50,000.00 200,000.00 25,000.00 15,000.00 40,000.00 25,000.00 50,000.00 15,000.00 15,000.00 15,000.00 25,000.00 25,000.00 25,000.00 15,000.00 25,000.00 25,000.00 ?5,000.00 25,000.00 25,000.00 17,880.00 25,000.00 25,000.00 25,000.00 15,000.00 15,000.00 25,166,75
25,000.00 15,000.00 15,000.00 25,000.00

Chartered
Oct. 11, 1910 Dec. 19, 1905
Feb. 19, 1911 Oct. 25, 1906 Dec. 15, 1888 Sep. 27, 1912 July 10, 1909
Mch. 11, 1910 Aug. 22, 1891 July 24, 1911
Dec. 14, 1903 Jan. 3, 1910 Mch. 10, 1902 Sep. 9, 1907 Oct. 10, 1908 Oct. 6, 1903 Mch. 23, 1912 Apr. 20, 1910 Nov. 26, 1912 May 19, 1904 Sep. 11, 1906
Nov. is, 1889
Oct. 22, 1913 Jan. 1, 1891
Dec. 11, 1871 Dec. 7, 1906 Jan. 22, 1906 July 20, 1898
Sep. 8, 1897 June 2, 1905 June 22, 1909 May 30, ^907 June 20, 1907 Feb. 4, 1905 Feb. 14, 1896 May 1, 1905 Aug. 9, 1911 Apr. 3, 1905 Sep. 26, 1911 Dec. 21, 1903 Aug. 26, 1910 Aug. 25, 1902 Sept 5 1910 Apri 4 1906
Feb. 1, 1902 Oct. 2, 1891 Feb. 20, 1909 Nov. 29 1911
July 25 1909 Sep. 25 1903 Dec. 20, 1904 Aug. 7 1914 Nov. 18 1908

xliv

TREASURER'S REPORT

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

Location

Farmers State Bank

Lumpkin

Luthersville Banking Co Luthersville _

Bank of Lyerly Toombs County Bank

Lyerly Lyons

*Bank of Ft. Oglethorpe.-Lythe

Merchants & Miners State Bank

McCaysville _

Bank of Henry County Farmers & Merchants Citizens Bank

McDonough _ McDonough . McRae

Merchants Bank Continental Trust Co

McRae Macon

Macon Savings Bank Macon

Merch. & Mech. Svks. Bk. Macon

Bank of Madison

Madison

Morgan County Bank Bank of Manchester

Madison Manchester _

State Bank Bank of Mansfield Peoples Bank

Manchester . Mansfield Mansfield

Marietta Tr. & Bkg. Co. --Marietta

Merchants & Farmers

Citizens Bank

;

Georgia Banking Co

Marietta Marshallville Marshallville

Bank of Martin Bank of Mauk

Martin Mauk

Bank of Maxeys

Maxeys

Citizens Bank

Maxeys

Bank of Maysville

Maysville

Bank of Meansville Bank of Meigs

Meansville __ Meigs

Bank of Menlo

Menlo

Commercial Bank Bank of Metter

Metcalf Metter

Citizens Bank

Metter

Bank of Midville

Midville

Farmers & Merchants Bank of Milan

Midville Milan

Farmers & Merchants Milan

Exchange Bank

Milledgeville

Merchants & Farmers Milledgeville

Milledgeville Banking Co..Milledgeville

Bank of Millen Farmers Bank

Millen

Milner

i

Milner Banking Co

Milner

Bank of Milltown

Milltown

Farmers & Merchants Milltown

Bank of Molena

Molena

Bank of Monroe

Monroe

Farmers Bank

Monroe

Union Banking Co

Monroe

Capital
15,000.00 25,000.00 15,000.00 30,000.00 25,000.00
15,000.00 50,000.00 30,000.00 50,000.00 25,000.00 250,000.00 25,000.00 25,000.00. 75,000.00 40,000.00 50,000.00 16,000.00 25,000.00 25,000.00 75,000.00 50,000.00 18,000.00 30,000.00 15,300.00 15,000.00 15,000.00 15,000.00 25,000.00 15,020.00 75,000.00 15,000.00 15,000.00 25,000.00 30,000.00 25,000.00 15,000.00 30,000.00 15,000.00 50,000.00 40,000.00 50,000.00 50,000.00 15,000.00 15,000.00 25,000.00 15,000.00 15,000.00 100.000.00 60,000.00 40,000.00

Chartered
Oct. 21, 1911 Oct. 11, 1905 Sep. 26, 1904 Dec. 22, 1905 June 1917
July 18, 1916 June 23, 1896 Mch. 8, 1911
Mch. 21, 1906 Apr. 16, 1903 Apr. 17, 1910
Mar. 2, 1874
Jan. 17, 1910 Dec. 26, 1888 May 4, 1899 Jan. 28. 1910 June 4, 1914 Sep. 25. 1905 Mch. 17 1910
Sep. 8 1891
June 16 1911 Nov. 11 1906 Sep. 19, 1910 Oct. 2, 1907 Dec. 12, 1910 Feb. 22, 1907 June 4, 1910 Nov. 1905 Mch. 1, 1911 May 8, 1903 July 29, 1904 May 25, 1916 Mch. 4, 1904 Dec. 20, 1910 May 25, 1904 Mch. 17, 1913 Dec. 5, 1906 Sep. 20, 1911 June 1903 Mch. 22, 1898 Feb. 28, 1874 Jan. 4, 1893 June 23, 1911 Nov. 25, 1905 Mch. 14, 1905 Apr. 18, 1907 Oct. 7, 1901 Dec. 3, 1890 Dec. 2, 1905 Aug. 17 1912

*Did not open for business by January 1, 1918.

TREASURER'S REPORT

xlv

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

Location

Capital

Lewis Banking Co

Montezuma -

Jasper County Bank Monticello --

Montrose Banking Co Montrose

Moreland Banking Co Moreland

Bank of Morgan

Morgan

Citizens Bank

Moultrie

Moultrie Banking Co

Moultrie

Bank of Mt. Airy

Mt. Airy

Mt Vernon Bank

Mt. Vernon ._

Berrien County Bank Nashville

First Bk. of Nashville Nashville

Farmers Bank

Naylor

Bank of Newborn

Newborn

Newnan Banking Co

Newnan

Baker County Bank

Newton

Bank of Nicholls

Nicholls

Merchants & Farmers Nicholls

Bank of Gwinnett

Norcross

Bank of Norcross

Norcross -

Bank of Norman Park Norman Park-

Bank of Norristown

Nornstown --

Farmers & Merchants Nunez --

Exchange Bank

Oakfield

Bank of Ochlochnee

Ochlochnee _-

Citizens Bank

Ocilla

Odum Banking Co Bank of Oglethorpe

odumv. Og ethorpe -

Bank of Macon County,-Oglethorpe -

100,000.00 25,000.00 15,000.00
25,000.00 19,500.00 100,000.00 100,000.00 15,000.00 15,000.00 24,960.00
25,000.00 15,000.00 25,000.00 125,000.00 25,000.00 15,000.00 25,000.00 15,000.00 30,000.00 15,000.00 15,000.00 15,000.00
15,000.00 15,000.00 52,000.00 15,300.00 15,000.00 15,000.00

Peoples Bank

Oliver

Bank of Omega

Omega _

Peoples Bank

-,--Osierheld ----

Bank of Palmetto

Palmetto

Bank of Parrott

Parrott

Planters Bank Patterson Bank

Parrott Patterson

.._-

Bank of Pavo

Pavo

Planters Bank

Pavo

Pearson Banking Co

Pearson

Farmers Bank

Pelham

Pendergrass Banking Co.JPendergrass ..

Houston Banking Co

Perry

Perry L. & S. Bank

Perry ..

Bank of Pinehurst

Pinehurst

Bank of Pineview

Pmeview -----

Salzburger Bank

Pmeora

Pitts Banking Co

Pitts

Plains Bank Bank of Plainfleld

P]*}n% P ainfleId

Bank of Plainville

Plainville ....

Bank of Portal

Portal

SS 2pp*-&-s:i^ spVis

22,500.00 15,000.00 15,000.00 25,000.00 15,000.00 25,000.00 15,000.00 33,100.00 15,000.00 30,000.00 100,000.00 25,000.00 25,000.00 23,050.00 25,000.00 15,000.00 25,000.00 25,000.00 50,000.00 15,000.00 15,000.00 15,000.00 15,000.00 25,000.00

Bank of Preston

Preston

15,000.00

Chartered
Jan. 30, 1902 Feb. 5, 1898 Sep. 4, 1911 Dec. 1906 Oct. 9, 1911 Nov. 13, 1900 July 8, 1896 July 20, 1911 Dec. 21, 1900 Oct. 3, 1911 Feb. 10, 1917 Dec. 2, 1907 Nov. 10, 1903 Nov. 11, 1889 Oct. 4, 1906 Mav 10, 1915 Dec. 12, 1906 July 23, 1911 Dec. 12, 1903 Mch. 24, 1906 Mch. 31, 1913 Aug. 23, 1911 Nov. 22, 1911 Oct. 19, 1906 Aug. 13, 1906 Apr. 20, 1916 Feb. 5, 1901 Oct. 16, 1906 July 13, 1906
Oct. 9, 1912 Sep. 26, 1912 Sep. 26, 1904 June 25, 1906 Aug. 2, 1912 June 19, 1907 Sep. 17, 1903 Mch. 12, 1912 Sept. 19,' 1906 Aug. 26, 1902 Sep. 29, 1905 Apr. 14, 1905 Aug. 20, 1889 Jan. 1, 1908 Apr. 13, 1904 Feb. 13, 1915 June 2, 1906 Feb. 15, 1902 June 26, 1911 Aug. 21, 1912 May 20, 1910 July 22, 1903 Jan. 3, 1905 Oct. 27, 1906

xlvi

TREASURER'S REPORT

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

Location

Capital

Farmers Bank Bank of Quitman

Pulaski Quitman

15,000.00 165,000.00

Citizens Bank

Quitman

90,000.00

Citizens Bank

Ray City

25,000.00

Bank of Rebecca

Rebecca

15,000.00

Farmers State Bank Bank of Reidsville Tattnall Bank Rentz Banking Co Reynolds Banking Co Bank of Rex

Register Reidsville Reidsville Rentz Reynolds Rex

15,000.00 15,000.00 50,000.00 15,000.00 25,000.00 15,000.00

Bank of Richland

Richland

60,000.00

Peoples Bank Bank of Ringgold Bank of Roberta

Richland Ringgold Roberta

35,000.00 25,000.00 15,000.00

Crawford County Bank Roberta

Bank of Rochelle

Rochelle

15.000.00 15,800.00

Bank of Rockledge

Rockledge

15,000.00

Bank of Rocky Ford Rockmart Bank Citizens Bank Floyd County Bank

Rocky Ford _. Rockmart Rome Rome

15,000.00 30,000.00 50,000.00 26,445.00

Bank of Roopville

Roopville

15,000.00

Citizens Bank

Roswell

21,000.00

Roswell Bank Farmers Bank Royston Bank

Roswell Royston Royston

25,000.00 30,300.00 60,000.00

Bank of Rutledge

Rutledge

Bank of Camden County.St. Marys

Citizens Bank

Sandersville _

Peoples Bank

Sardis

Bank of Sasser

Sasser

50,000.00 15,000.00 50,000.00 25,000.00 25,000.00

American B. & T. Co Chatham B. & T. Co.

Savannah Savannah

197,395.00 500,000.00

Chatham R. E. & Imp. Co..Savannah

Citizens & Southern Bank Savannah

Citizens Trust Co

Savannah

Commercial Bank

Savannah

500,000.00 1 .000,000.00
150.000.00 100,000.00

Exchange Bank

Savannah

125,000.00

Georgia State Svgs. Assn. Savannah Liberty Bk. & Tr. Co Savannah

325,000.00 300,000.00

Hibernia Bank

Savannah

Mercantile Bk. & Tr. Co..Savannah

Oglethorpe S. & T. Co Savannah

Peoples Bank

Savannah

Peoples S. & L. Co

Savannah

Realty Svgs. & Tr. Co Savannah

Savannah Bk. & Tr. Co.__Savannah

Wage Earners Svgs. -Bk..Savannah

200,000.00 87,070.00
250,000.00 63,100.00
120,000.00 60,000.00 630,000.00 50,000.00

Bank of Scotland Scott Banking Co Screven Banking Co Farmers & Merchants

Scotland _ Scott Screven _ Senoia

25,000.00 15,000.00 15,000.00 50,000.00

Cha rtered
Oct. 3 1912 Dec. 31 1888 Dec. 26 1905 Aug. 28 1911 Sept 15 1910 Mch 11 1912
Nov. 6 19i2 Sept 14 1900 May 2, 1914
Feb. 26 1913 Jan. 30, 1912
Dec. 29, 1890 Apr. 17, 1905 Aug. 26, 1904
Jan. 6, 1911 Jan. 7, 1901
Mch. 15, 1905 July 23, 1912 May 28, 1907 Oct. 31, 1900
Nov. 11, 1889 Jan. 8, 1917 Nov. 5, 1912 Nov. 22, 1910
Mch. 19, 1901
July 11, 1907 Nov. 7, 1901 Sept. 24, 1898 Sept. 16, 1911 Dec. 2, 1905
June 8, 1911 Jan. 15, 1905
Jan. 11, 1915 Sept. 30, 1879
1885 Sept. 27, 1887 May 22, 1906 Sept. 2, 1902
Jan. 18. 1906 July 29, 1909 Oct. 16, 1889 Aug. 12, 1906 Aug. 2, 1917 Dec. 18, 1886 Jan. 29, 1910 Oct. 17, 1887
3. C. Aug. 4, 1869
Oct. 29, 1915 Mch. 13, 1912 Feb. 5, 1906 Jan. 16, 1911 Mch. 2, 1874

TREASURER'S REPORT

xlvii

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

Location

Capital

Bank of Shady Dale

Shady Dale --

Bank of Sharon

Sharon

Sharpsburg Banking Co.--Sharpsburg _..

Shellman Banking Co Shellman

Bank of Shiloh

Shiloh

Bank of Siloam

Siloam

Bank of Smithville

Smithville -__

Bank of Smyrna

Smyrna

Bank of Social Circle Social Circle _

Walton County Bank Social Circle _

Bank of Soperton

Soperton

Peoples Bank

Soperton

Bank of Sparks

-- Sparks

Bank of Sparta

Sparta

Sparta Savings Bank Sparta

Spread Bank

Spread

Exchange Bank

Springfield --

Bank of Statenville

Statenville --

Bank of Statesboro

Statesboro ._.

Sea Island Bank

Statesboro ._.

Bank of Statham

Stathem

Bank of Stephens

Stephens

Farmers Exchange Bank--Stillmore

Bank of. Stockbridge

Stockbridge ...

Granite Bank

St. Mountain .

Stone Mountain Bank-- --St. Mountain -

Bank of Summertown Summertown .

Bank of Commerce

Summerville _

Chattooga County Bank--Summerville -

Peoples Bank

Summit

Bank of Emanuel

Swainsboro --

Citizens Bank

Swainsboro -

Planters Bank

Sycamore

Farmers Exchange Bank--Sylvania .*--

Sylvania Banking Co

Sylvania

Farmers & Merchants Sylvester

Sylvester Banking Co Sylvester

Bank of Talbotton

Talbotton

Peoples Bank

Talbotton -- -

Bank of Tallapoosa

Tallapoosa - .

Farmers & Merchants Tallapoosa --

Bank of Taylorsville

Taylorsville -

Farmers State Bank

Temple

Temple Banking Co

Temple

Farmers & Merchants Tenmlle

Peoples Exchange Bank--Tenmlle

Tennille Banking Co. -- Tennille

Bank of Thomaston

Thomaston --

Farmers & Merchants--Thomaston -

TJpson Bkg. & Trust Co.-Thomaston -

Bank of Thomasville

Thomasvi le -

Citizens Bank & Trust Co. Thomasyille

Peoples Savings Bank. .Thomasville

25,000.00

15,000.00

15,000.00

25,000.00

20,000.00

15,000.00

25,000.00

16,300.00

75,000.00

50,000.00

25,000.00-

15,000.00

15,000.00

25,000.00

23,600.00

15,000.00

15,120.00

15,000.00

75,000.00

50,000.00

40,000.00

15,000.00

25,000.00

24,000.00 15,000.00



15,000.00.

15,000.00

20,400.00

30,000.00

25,000.00

50,000.00

24,100.00

15,000.00

15,000.00

25,000.00

42,000.00

100,000.00

25,000.00

25,000.00

25,000.00

22,000.00

25,000.00

15,000.00

45,000.00

25,000.00

30,000.00

30,000.00

25,000.00

25,000.00

50,000.00

100,000.00

50,000.00

- 25,000.00

Chartered
Sept. 14, 1907 Aug 29, 1904 Sept 29, 1911 Dec. 4, 1890 Sept. 7, 1911 Oct. 18, 1904 Mch 25, 1903 Dec. 4, 1911 Sept. 1, 1891 Sept. 26 1905 July 16 1905 Dec. 27 1905 May 3, 1910 Nov 13, 1889 Dec. 16, 1907
1916
Dec. 30, 1907 Apr. 6, 1915 Oct. 6, 1891 Mch. 11, 1901 Mch. 30, 1904 Oct. 25, 1911 May 2(1, 1910 Sept. 4, 1906 Sept. 5, 1911 Oct. 3, 1905 Mch. 6, 1911 Oct. 2, 1891 Nov. 25, 1905 Sept. 13, 1904 Mch 22 1905 Nov. lo! 1900
May ldl4 Sept. 10, 1912
Apr. *\ 1911
Aug. 19, 1911 July 25, 1898 Dec. 16, 1904 Dec. 3, 1890 Aug. 31, 1908 Dec. 21, 1908 June 6. 1905 Nov. 22, 1912 Sept. 25, 1903 Oct. 10, 1894 Dec. 29, 1908 Apr. 4, 1900 Dec. 12, 1910 Mch. 8, 1893 Dec. 19, 1888 Mch. 3, 1888 Sept. 30, 1891 Oct. 22, 1906

Hum

xlviii

TREASURER'S EEPORT

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

Location.

Bank of Thomson McDuffie Bank
Thomson City Bank Bank of Tifton____

Thomson Thomson
Thomson Tifton

Bank of Tignall

Tignall

Peoples Bank

Tignall

Bank of Toccoa

Toccoa

Farmers & Merchants Toccoa

Wilkinson County Bank___Toon;sboro _.

Bank of Trion

Trion

Turin Banking Co

Turin

Bank of Ty Ty

Ty Ty

Bank of Unadilla

Unadilla

Commercial Bank

Unadilla

Bank of Union Point Union Point __

Farmers Bank

Union Point ..

Ashley Trust Co

Valdosta

Citizens Bank

Valdosta

Exchange Bank

Vajdosta

Merchants Bank

Valdosta

Southern B. & T. Co Valdosta

Valdosta Bkg. & Tr. Co. -Valdosta

Bank of Vidalia

Vidalia

Citizens Bank

Vidalia

Farmers Bank

Vidette

American Bkg. Corp Vienna

Bank of Vienna

Vienna

Dooly Savings Bank

Vienna

Bank of Villa Rica

Villa Rica ...

Merchants & Planters Villa Rica ___

Citizens Bank

Waco

Bank of Wadley

Wadley

Jefferson County Bank Wadley

Citizens Bank

Warrenton _._

Planters & Merchants Warrenton

Farmers & Merchants Warthen

Bank of Warwick

Warwick

Washington Ex. Bank Washington ..

Washington L. & B. Co Washington __

Oconee County Bank Watkinsville .

Citizens Bank

-Waverly Hall ..

Citizens Bank

Waycross

Bank of Wayneshoro Waynesboro _

Citizens Bank

Waynesboro .

Peoples Savings Bank Waynesboro _

Waynesboro Savings Bank Waynesboro _

Citizens Bank

West Point __

Bank of Weston

Weston

Bank of White

White

Bank of White Plains White Plains.

Whitesburg Banking Co.__Whitesburg _.

Bank of Willacoochee Willacoochee . Merchants & Farmers Willacoochee .

Capital
50,000.00 25,000.00 25,000.00 50,000.00 15,000.00 15,000.00 30,000.00 50,000.00 15,000.00 25,000.00 15,000.00 15,000.00 50,000.00 50,000.00 25,000.00 15,000.00 100,000.00 120,000.00 76,425.00 100,000.00 100,000.00 200,000.00 15,000.00 49,200.00 15,000.00 75,000.00 50,000.00 15,000.00 50,000.00 18,000.00 15,000.00 25,000.00 25,000.00 50,000.00 25,000.00 15,000.00 20,000.00 100,000.00 50.000.00 37.500.00 15,800.00 50,000.00 50,000.00 25,000.00 25.000.00 15,000.00 50,000.00 15,000.00 15,000.00 25,000.00 15,000.00 25,000.00 18.000.00

Cha rtered

July

1891

Aug. 22 1906

Apr. 19 1915

Oct. 10 1891

July 5 1909

Dec. 15 1913

July

1911

Jan. 18, 1906

July 16 1907

Oct. 16 1912

Nov. 25, 1905

Sept. 13, 1910

July 5, 1898

Aug. 5, 1907

May 15, 1911

Sept 6, 1911

Mch. 12, 1913

Dec. 1, 1890

July 30, 1912

Dec. 26, 1888

1914

Apr. 13, 106

jan. 31, 1906

Apr. 19. 1901

Nov. 17. 1910

Feb. 17, 1917

June 15, 1908

Sept. 25, 1905

May 4, 1899

Aug. 25, 1907

Sept. 14, 1915

Jan. 29, 1903

Oct. 5, 1907

Apr. 14, 1902

Apr. 13, 1907

Oct. 30, 1911

Nov. 28, 1910

Feb.

1889

May 1890

Oct. 17, 1904

Sept. 13, 1909

June 7, 1910

Dec. 16, 1890

Feb. 2, 1898

Mch. 7, 1911

Mch. 6, 1911

Feb. 17, 1917

Mch. 6, 1913

June 15, 1910

June 11. 1904

Oct. 19, 1907

Dec. 20, 1900

May 26, 1906

TREASURER'S REPORT

xlix

EXHIBIT No. 9--Continued.

GEORGIA STATE BANKS--Continued.

Name of Bank.

Location.

Bank of Williamson Williamson .

Farmers Bank

Winder _

North Georgia T. & B. Co. Winder

Pittard Banking Co

Winterville .

Peoples Bank

Woodbury __

Woodbury Banking Co Woodbury __

Farmers Bank

Woodcliff __

Woodland Bank

Woodland -_

Bank of Woodstock

Woodstock _.

Woolsey Bank

Woolsey

Wrens Bank

Wrens

Citizens Bank

Wrens

Bank of Wrightsville Wrightsville

Exch. Bk. of Wrightsville.Wrightsville

Yatesville Banking Co Yatesville ...

Bank of Zebulon

Zebulon

Capital
15,000.00 25,000.00 50,000.00 25,000.00 15,000.00 21,100.00 15,<-00.00 15,000.00 25,000.00 15,000.00 15,000.00 15,000.00 25,000.00 35,000.00 17,500.00 25,000.00

Chartered

Nov. 5, 1912 Feb. 28, 1914 Apr. 22, 1915

Jan. 9, 1911

July Oct.

10, 1'990072

Aug. 26, 1912 Nov. 18, 1907

Oct. 10, 1905 Aug. 4, 1907 Men. 20, 1916

Oct. 1, 1907 Dec. 20, 1908 Dec. 20, 1909 Dec. 18, 1906 Mch. 20, 1905

GEORGIA BRANCH BANKS, 1917.

Name of Bank.

Location Parent Bank and Location.

Farmers Bank
Bank of Alma Central B & T. Corp Bank of Auburn

Alamo
Alma Atlanta Auburn

Farmers Bank, Greenwood.
Baxley Bkg. Co., Baxley. Cent. B. & T. Corp., Atlanta. North Ga. Tr. & Bkg. Co.,
Winder.

Citizens & Southern

Augusta

Citizens & Sou., Savannah.

Merchants Bank, Plaza Branch

Augusta

Broxton Banking Co Broxton

Home Savings Bank

Cartersville

Madison County Bank Colbert

Bank of Demorest

Demorest

Durand Agency

Durand

Ambrose-Enigma Bkg. Co. Enigma

Merchants Bank, Augusta. Union Bkg. Co., Douglas. _Bk. of Cartersville.
Comer Bank, Comer. Cornelia Bank. Far^ & Mer. Bk., ^hipley^ Ambrose-Enigma Bkg. Co.
Ambrose.

Bank of Gay

Gay

Greenville Banking Co.

Peoples Bank

Weal

--Macon Co. Bank.

Telfair County Bank

Lumber City -Baxley Bkg. Co

cKns & Southern

Macon

Olt & Sou Bk Savannah

Jefferson County Bank_._.:Matthews ...Jefferson Co. Bk Wadley.

Morven Bank

Morven

Citizens Bank, Hahira.

Bank of Newington

Newington - Effingham Co. Bk., Guyton.

Bank of Omaha

-Omaha

Peoples Bank, RlcMand

Farmers & Merchants!--Pinehurst ....Commercial Bank, Unadiia.

LibTrty Si. Branch

Savannah ...-clti^^Jutilem Bank'

Bank of Surrency Bank of Suwanee

Surrency Suwanee

--------Ba"*nko-f.^BBfu;ff<ort.

Oglethorpe S. & T. Bank.-Thomasville Oglethorpe S. & T. Co., Sa

Commercial Bank

-Uvalda

Bank of Uvalda

Uvalda

Merchants & Planters Whigham

Mt. Vernon Bank. "BTaunrkn_eor fCIot.aBliaan.k, Ashburn.

BANK STATEMENTS 1917
d

TREASURER'S REPORT

BANK OF ABBEVILLE

Date of Charter, October 25th, 1904; Begun Business October 25th, 1904. W. C. OLIVER President; T. M. COOK, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

5 5,300.15

Time loans

89,633.91

Overdrafts, secured

283.07

Bonds and stocks owned by the

bank Banking house

9,101.52 2,542.80

Furniture and fixtures

3,302.20

Other real estate

6,066.36

Due from banks and bankers in

this state

13,859.93

Due from banks and bankers in

other states Currency iSlver, nickels, etc
Cash items Advances on cotton Revenue stamps

11,935.96 11,252.00
1,277.26 37.04
131,326.37 21.04

Total

$285,939.61

LIABILITIES.

Capital stock paid in



' 15,000.00

Undivided profits, less current expenses, interest and taxes paid..
Due unpaid dividends ............

12,759.67 56.00

Individual deposits subject to PYIPCIC ,,,"*"**"**
Savings deposits Time certificates

221,034.66 1,158.05 35,931.23

Total

.$285,939.61

BANK OF ACWORTH

H. M. WILLIAMS, President; J. E. CARNES, Cashier.

STATEMENT OF CONTOITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

LIABILITIES.

Time loans Overdrafts, secured Banking house Furniture and fixtures

$ 7*}1.*',,o698S0r55S"023oq...'" 798si144ij

Due from banks and bankers in

this state



74,742.20

Undivided profits, less current expenses and taxes paid ...........

208.77

Individual deposits subject to ^ ^ ^

check Time certificates Cashier's checks

ii'^'li 11000

DUo?hefrr0TtatbeasnkS .and . .^' " 18,602 *6

gSSTT..::::::::':-::::::::::::::::: ^

Silver, nickels, etc.

MSI'zs

Cash items

",S

Advances on cotton

i.zai.ao

Total

4181,195.71

Total

.$181,195.71

S. LEMON BANKIN 6 CO., ACWORTH

JAS. W. McMILLAN, President; LEMON M. GENTRY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans Overdrafts, unsecured Bonds and stocks owned
bank

*W1'Slo'7 toi.bi
by the 1. nn

Banking ' house

Furniture and fixtures

;

Due from banks and bankers m

I'QSS'SQ
i.aoo.aa

this state

; 34,08b.l0

Due from banks and bankers m

other states Currency
(jOla Silver, nickels, etc Cash items

26200

338;50

(no o(

I^AR

;

1'"-*D

Total

J161.H6.37

LIABILITIES.

Capital stock paid in Surplus fund

.*

3?'?n000 7,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,381.80

Due to banks and bankers in this

g^^g

' Individual''' deposits' subject to ^ ^ ^

check Time certificates Cashier's checks

3<t'in4 54 12888

Total

ITei.i65.iT

TREASURER'S EEPORT

BANK OF .ADAIRSV1LLE

Hate of Charter, March

STATEMENT OF CONDITION

_

RESOURCES.

Demand loans ... \

Time loans

Overdrafts, secured' '.'.

Overdrafts, unsecured

Bobnadnsk and stocks owned" by"the

Banking house ......"

Furniture and fixtures . .,,

Due from banks and bankers" in this state

Due from banks and" bankers" iii other states

Currency

Gold

;;:;;

Silver, nickels, etc

" .'

Cash items

"

Depositors insurance fund With Mutual Fire Ins. fund " Revenue stamp account

Begun Business, March 24th, 1899 O. B. BISHOP, Cashier.
CLOSE OF BUSINESS DEC. 15TH, 1917.

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 30,307.38

Individual deposits subject to

mli.mcheeckcertificates

126,511.56 68,775 65

Cashier's checks

288.13

Total

.J275.SS2.72

Total

5275,882.72

FARMERS BANK, ADAIRSVILLE

Date of Charter, 1911; Begun Business, October, 1911

R. L. STATEMENT OF

FRANKLIN, CONDITION

President; S. P. AT THE CLOSE

WILBURN. Cashier. OF BUSINESS DEC.

15TH,

1917.

RESOURCES.

Demand loans Time loans

......

$ 6,314.24 22,515.00

Overdrafts, secured by "cotton" Overdrafts, unsecured Banking house Furniture and'fixtures ..."

8,157.96 35.86
3,000.00 2,000.00

Due from banks and bankers in this

state

386.45

Due from banks and bankers iri oth-

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 2,209.61

Individual deposits, subject to

check

39,479.38

Time certificates

13,104.73

Cashier's checks

411.71

er states

Currency

Gold

......'.'.".'.'.'.'.'

Silver, nickels, etc. .... . \.'.'..'..'.

Cash items

.'

Clearing house

...'.

Sundry banks

'

21,338.44 3,650.00 117.50 880.88 600.00 1,115.60 3.50

Total

(70,205.43

Total

$70,205.43

BANK O F ADEL

,,_.,,,,,

Date of Charter, 1902 J- F. LEWIS, President

Begun Business, 1901. W. M. TYSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

rTMand

RESOURCES. lans

$35,316.10

Time loans

144 835 45

oOSveSrdEraSft?s,'

"ecured
unsecured

- W2 3164M55

Banking house

" 3'500'bb

Furniture and fixtures

' 2'78''bo

Other real estate

lo'37220

Due from hanks and banker's" iii this state .

84297

Due from banks and bankers in

other states

3.148.15

Currency

4.174 W

.ow : Silver, nickels, etc

13,102043.5301

Cash items ...

;;"; '67i:48-

Advances on cotton

63 065 95

LIABILITIES.

Capital stock paid in

$25,000.00

Surplus fund

28,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,063.88

Due to banks and bankers in this

state

11,588.26

Due unpaid dividends

28.00

Individual deposits subject to

check

96,352.13

Time certificates

82,892.46

Cashier's checks

871.29

Bills payable, including time cer-

tificates representing borrowed

money

!.. 40,000.00

Profit and loss

2480.12

TotaI

$286,896.02

Ttal

$286,896.02

TREASURER'S REPORT

BANK OF ADRIAN

Date of Charter, November 20th, 1911; Begun Business, December 7th, 1911. L. O. BENTON, President; S. H. LYNCH, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

.$ 72,502.07

Overdrafts, unsecured

611.85

Bonds and stocks owned by the

bank

4,856.56

Banking house

4,500.00

Furniture and fixtures

1,000.00

Due from banks and bankers in

this state

83,857.39

Due from banks and bankers in

other states

13,067.32

Currency

5,148.00

Gold

122.50

Silver, nickels, etc

1,677.23

Advences on cotton and seed

12,000.00

Total

.$199,3 12.1

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

2,000.00

Undivided profits, less current expenses, interest and taxes paid..

4,J,,S

Due unpaid dividends

912.00

Individual deposits subject to

check

Io9,l(b.s0

Time certificates Cashier's checks

21,?2i'oo 4/b.zs

Total

$199,^42.92

CITIZENS BANK, ADRIAN

Date of Charter, November, 1909 Begun Business, 1908. C. R. WILLIAMS, President; R. C. POWERS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Demand loans Time loans Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold ... Silver, nickels, etc Advances on cotton

$ 4,200.00 30,056.0b 3,083.57 9,146.78
in 27,993.67
in 2,811.75 3,300.00 12-50 It 26,233.26

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid. 3,5^0.9I

Individual deposits subject to ,,,,...

check Time certificates Cashier's checks

' .150.14 2?'ic5'iS
l,3bl.l<i

Total

$107,142.73

Total

$107,142.73

BANK OF ALAPAHA

Date of Charter. March 4th, 1905; Begun Business, April 1st, 1905. GEO. A. PAULK, President; F. T. TILLER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 191'.

RESOURCES.

Demand loans Time loans Overdrafts, unsecured

$

15. 10*.

960.00 866.80 548.83

Bonds and stocks owned by the bank
Banking house Furniture and fixtures

1

,000.00 500.00

,634.10

Due from banks and bankers in

this state

105,157.98

Due from banks and bankers in
other states Currency Gold Silver, nickels, etc New building account

115.37 478.00
5.00 654.15 4 820.36

Total

liSwSSi

LIABILITIES.

Capital stock paid in

15,000.00

Surplus fund

20,000.00

Undivided profits, less current ex-

penses and taxes paid .......... 9,13i>.su

Individual deposits subject to ^ g2g ^

Tirn|Ccertificat'es ".'.'.'.'.'. Cashier's checks

65'?8^93'?.1S9

Total

mi.no.TM

TREASURER'S EEPORT

ALBANY TRUST CO. OF GEORGIA, ALBANY

JOSPPH <*Chritfr>Ju1?e' i901; ?,egun Bsiness, June, 1901.

STATEMEN^^D^' S'SSftgoS ^^S^Irs-^-lSTH 1917.

RESOURCES. Time loans

SIIUSMSH

Furniture and fixtures Due from banks and bankers

982.80

this state Currency Silver, nickels, etc

............. '.'.[

2l5,033050..0401 37.54

.

LIABILITIES.

capital stock paid in

$i no 000 uo

Undivided profits, less current ex- ' "

penses, interest and taxes paid.. 39,878 12

Savings deposits

9 050 78

Time certificates

\ ]. 33;274!98

Ttal

$182,203.88 Total

Tis^oTS

EXCHANGE BANK OF ALBANY

Date of Charter, 1890; Begun Business, 1893

STATEMENT %' CONDmON

\ C. SCOVILL, Cashier. AT'THE* CLOSE OF BUSINESS

DEC.

15TH,

1917.

_

RESOURCES.

Demand loans . . Time loans Overdrafts, secured ..'.'..'.'. Bonds and stocks owned

"by

j 26,321.22 391,228.90
the 2,490.97

bank

,

Banking house

"

Furniture and fixtures .

Due from banks and bankers 'in

38,260.00 35,891 08
5,500.00

this state

30,300.95

Due from banks and bankers'' iii

other states Currency

Gold

.'.'.'.'.'.'.'.'.'.'.'"."

Silver, nickels, etc

'''

40,029.93
14,142.00 190.00
2,077.04

Cash items Clearing house

960.71 6,362.23

Advances on cotton

19,576.66

LIABILITIES.

Capital stock paid in Surplus fund Undivided profits, less

. current'

% ex-

57,200.00 57,200.00

penses, interest and taxes paid. Individual deposits subject to

47,404.49

check
Time certificates Certified checks Cashier's checks

441,089.56

"

2,550.00 28.95

2,288.49

Notes and bills rediscounted ...... 11,570.20

Ttal

J619.331.69

Total

$61~9^37^

FORKAS TRUST CO., ALBANY

w.rTM,^,,LEOMRD FORKAS, President; B. W. SIMON Secretsrv STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DBC. 15TH, 1917,

RESOURCES.

Time loans

$108,293.49

Due from banks and bankers'' in

this state

16,371.80

LIABILITIES. capital stock paid in

$1 no non on

Undivided profits, less current ex-

penses, interest and taxes paid.. 23,259 68

Notes and bills rediscounted

1,405.61

Ttal

$124,665.29

Total

7l!i^i!ii

GEORGIA BANK & TRUST CO., ALBANY

A. A. STATEMENT OF

PUTNEY, PresidentCONDITION AT THE

W. F. JEFFERSON, Cashier. CLOSE OF BUSINESS DEC.

15TH,

1917.

_

RESOURCES.

Demand loans

$19,867.84

lime loans

190 210 32

Bonds and stocks owned by the

-FE,b uranni'?ture and fixtures

10,000.00 5 000 00

Due from banks and bankers in

this state

j25 347 58

Due from banks and bankers in

other states

11 451 91

Clearing house

..'" 2766570

TotaI

$389,543.35

LIABILITIES

Capital stock paid in ..

Surplus fund

*

Undivided profits, less current "ex

j

,000.00 ,250.00

penses and taxes paid . . Due to banks and bankers in this

,114.74

state Individual

deposits

subject

to 10s,413.34

check Time certificates ......' Cashier's checks Bills payable, including

ti'me'cer-

116 030.59 32 ,950.77
783.91

tificates representing borrowed

money

5,000.00

Total

.$389,543.35

TREASURER'S REPORT

ALPHARETTA BANK
Date of Charter, 1909 I. O. TEASLEY, President; J. B. PARIS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Overdrafts, unsecured Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency
Gold Silver, nickels, etc Cash items Advances on cotton

$53,276.17 1,586.97 1,539.*0
10,619.57 in
16,881.56 in
807,84 5,432.00
62.50 348.87 991.74 2,707.40

LIABILITIES.

Capital stock paid in

$25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 308.79

Individual deposits subject to

check

42,571.70

Time certificates

25,602.57

Cashier's checks

770.96

Total

$94,254.02

Total

$94,254.02

CITIZENS BANK OF ALSTON

Date of Charter, Sept. 19, 1911; Begun Business, Nov., 1911. D. S. WILLIAMSON, President; E. S. MATHIS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 92.48

Time loans

230,048.31

Overdrafts, secured

1,961.47

Bonds and s_ tocks owned by the

bank

900-00

Banking house

o,400.00

Furniture and fixtures

2,277.23

Due from banks and bankers in

this state

69,511.08

Due from banks and bankers in

other states

2,063.79

Currency

3'4iH2

Gold

600U

Silver, nickels, etc

21HT

Cash items

1,589. II

Total

$110,632.44

LIABILITIES.
Capital stock paid in Undivided profits, less current ex
penses, interest and taxes paid. Individual deposits subject to
check Time certificates Cashier's checks

15,000.00
790.64
81,721.74 12,752.19
367.87

Total

$110,632.44

AMBROSE-ENIGMA BANKING CO., AMBROSE

I. W. MOORMAN, President; J. A. THURSTON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Demand loans Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency

$

25,322.37 6.600.00

3,883.66

in 41,458.58
in 2M}in7, 5,047.00

LIABILITIES.

Capital stock paid in Individual deposits
check Time certificates Cashier's checks Trustee account

subject

$ 15,000.00 to
99,146.61 2'??I'o7
si 11 itL.ii.

Silver, 'nickel's, etc. Advances on cotton Profit and loss
Total

i o Iol'2 "'?,,12,,6',,.0!2, $117,151.70

Total

$117,151.70

TREASURER'S EEPORT

BANK OF COMMERCE, AMERICUS

Date of Charter, December, 1891; Begun Business, January, 1892 J. W. SHEFFIELD, President; E. D. SHEFFIELD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans

$ 88,638.29

Time loans

230,927.59

Overdrafts, unsecured

201.49

Bonds and stocks owned by the

bank

122,250.00

Banking house and furniture and

fixtures

20,000.00

Due from banks and bankers in

this state

159,727.07

Due from banks and bankers in

other states

153,083.63

Currency

35,035.00

Gold Silver, nickels, etc.

6,225.00 490.07

Cash items

10,102.48

Advances on cotton in process of

shipment

106,559.20

U. S. Liberty Loan account

6,504.00

LIABILITIES.

Capital stock paid in

$65,000.00

Surplus fund

35,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 32,385.27

Individual deposits subject to

check

634,885.81

Demand certificates

712.52

Time certificates

170,577.71

Due to clearing house

1,182.51

Total

$939,743.82

Total

$939,743.82

COMMERCIAL CITY BANK, AMERICUS

Date of Charter, July 23rd, 1908; Begun Business, August 3rd, 1908 CRAWFORD WHEATLEY, President; R. E. McNULTY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

Time loans

RESOURCES.

$136,236.72

Overdrafts, secured

1,321.23

Overdrafts, unsecured

1,869.00

Furniture and fixtures

2,827.00

Other real estate

22,371.48

Due from banks and bankers in

this state

31,554.88

Due from banks and bankers in

other states

8,673.84

Currency

7,551.00

Silver, nickels, etc

584.29

Cash items

809.02

Demand loans and advances on

cotton

65,193.28

Anvances on velvet beans in store 4.1

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

12,500.00

Undivided profits, less current ex-

penses, interest and taxes paid..

914.33

Individual deposits subject to

check Time certificates



168,595.90 19,622.24

Bills payable, including Time Cer-

tificates representing borrowed

money

31,500.00

Total

$283,132. IV

Total

.$283,132.47

MILTON COUNTY BANK, ALPHARETTA

Date of Charter, Dec. 5, 1910; Begun Business, January 26, 1911 GEO. D. RUCKER, President; R. D. MANNING, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

Time loans

$118,747.84

Bonds and stocks owned by the

bank

4,500.00

Furniture and fixtures... Other real estate

1,840. i13.000.00

Duo from banks and bankers

this' state

30,490.81

Due from banks and bankers .

other states

13,056.74

Currency

8,544.00

G.ol(1 Silver, nickels, etc

85.00 362 5

Cash items

309^09

Advances on cotton



28.055.59

Depositors' guarantee fund

3,022.75

Liberty Bond account

932.00

LIABILITIES.

Capital stock paid in

$ 16.000.00

Undivided profits, less current ex-

penses, interest and taxes paid .. 3,565.52

Individual deposists subject to

check

142,746.50

Time certificates

50,620.09

Cashier's checks

15.07

Total

$212,947.18

Total

$2~12,947.18

TREASURER'S REPORT

PLANTERS BANK, AMERICUS

Date of Charter, Oct., 1891; Begun Business, Feby. 21, 1892 L. G. COUNCIL, President; C. M. COUNCIL, V-Pt.-Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH,

RESOURCES.

Demand loans

$ 42,543.78

Time loans

627,113.21

Overdrafts, secured

6,752.62

U. S. Liberty Bonds

32,885.10

Banking house

21,961.34

Other real estate

6,198.51

Due from banks and bankers in

this state

79,681.17

Due from banks and bankers in

other states

217,658.83

Currency

37.392.0U

Gold

:

10,072.50

Silver, nickels, etc

4,365.68

Cash items

12,524.75

Advances on cotton

192,219.46

LIABILITIES.

Capital stock paid in

?

Surplus fund

Undivided profits, less current

expenses, interest and ta::es

paid

Due to banks and bankers in this

state

Individual deposits subject to

check

Demand certificates

Time certificates

50,000.00 100,000.00
89,820.10 140,086.75 602,830.43
4,591.22 304,013.45

Total

?l,291,341.9b

Total

$1,291,341.95

BANK OF ARLINGTON

Date of Charter, 1901; Begun Business, July, 1901 W. E. BOSTWICK, President; C. H. McGEE, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 9,261.37

Time loans

106,131.36

Overdrafts, secured and unse-

cured

23,613.76

Bonds and stocks owned by the

bank

5,000.00

Banking house

?-??9-9?

Furniture and fixtures Other real estate

J'OIOSQ
1,81b.IX

Due from banks and bankers in

this state

46,709.25

Due from banks and bankers in

other states

H'lnnn

Currency

'SoO

Gold Silver, nickels, etc.

320.00 644.uo

Cash items Advances on cotton

,7/ncSs 14,406.28

Total

$2~42,077.49

LIABILITIES.

Capital stock paid in

$ 47,500.00

Undivided profits, less current ex

penses, interest and taxes paid. 43,910.06

Individual deposits
check Time certificates Cashier's checks

subject

to 119.297.92 28,697.42 2,672.09

Total

.$242,077.49

ASHBURN BANK, ASHBURN

W. A. aw-TOrTER STATEMENT OF CONDITION

President; J. S.
AT THE CLOSE

JOHNSON, Cashier OF BUSINESS DEC.

15TH,

1917.

RESOURCES.

Demand loans Time loans

*}iHJ?ril 141,655.59

Bonds and stocks owned by the

bank

I'wll

Banking house Furniture and fixtures

9'179'ni i.LU.vs.

Due from banks and

this state Due from banks and

otuhier sSLtaf.tLeeso

Currency

Gold Silver,

nickels,

;;;

Cash items Items on local banks

bankers
bankers
;;....

18,330.55
it5,87710a.3n2n U'?1i1"5n.0n0
1,622.92 4,712.36 l,ui.<

LIABILITIES,

Capital stock paid in Surplus fund

50,000.00 20,000.00

Undivided profits, penses, interest

less current exand taxes paid..

.

31,227.50

Individual deposits subject to ^ ^ ^

C1I6CK
Savings deposits Demand certificates Time certificates Certified checks Cashier's hecks .....'

Q C17 7JJ
in'nnnnn |6|S'^1L?2L?3--.ZS6S1
I-.628-1

Total

$371,592.73

Total

$371,592.73

10

TREASURER 'S REPORT

CITIZENS BANK, ASHBURN

Date of Charter, July 27, 1905 D. H. DAVIS, President; K. P. BAKER, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 43,042.00

Time loans

54,949.35

Overdrafts, unsecured

868.52

Bonds and stocks owned by the

bank

33,000.00

Banking house

6,000.00

Furniture and fixtures

514.50

Due from banks and bankers in

this state

69,141.30

Due from banks and bankers in

other states

18,030.09

Currency

6,810.00

Gold

850.00

Silver, nickels, etc

2.202.11

Clearing house

1,278.63

Advances on cotton

36,237.68

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,354.33

Due unpaid dividends

24.00

Individual deposits subject to

check

166,296.05

Time certificates

26,164.35

Cashier's checks

5,385.45

Total

$243,224.18

Total

$243,224.18

TURNER COUNTY BANK, ASHBURN

Date of Charter, Feby. 20th, 1912; Begun Business, March 12th, 1912 J. S. SHINGLER, President; R. R. SHINGLER, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH. 1917

RESOURCES.

Demand loans

$ 54,690.79

Time loans

155,648.64

Overdrafts, secured

5,066.17

Bonds and stocks owned by the

bank

1,050.00

Banking house

9,000.00

Furniture and fixtures

6,064.33

Due from banks and bankers in

this state

21,432.91

Due from banks and bankers in

other states

16,800.67

Currency

:,593.00

Gold

67.50

Silver, nickels, etc.

1,705.45

Cash items

845.73

Profit and loss

99.08

Depositors' guarantee fund

3,065.75

LIABILITIES.

Capital stock paid in

,000.00

Surplus fund

,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 19,182.70

Due to banks and bankers in oth-

er states

10,000.00

Individual deposits subject to

check

195 618.97

Time certificates

21 007.46

Certified checks

12.75

Cashier's checks

8 810.14

Cash collection Revenue stamps

490.00 12.00

Total

$284,632.02

Total

$284,632.02

AMERICAN STATE BANK, ATHENS

Date of Charter, Dec. 2nd, 1902; Begun Business, Jany. 2nd, 1903 J. J. WILKINS, President: R. W. SIZER, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 6,238.01

Time loans

443,790.33

Overdrafts, secured

545.65

Overdrafts, unsecured

187.90

Bonds and stocks owned bv the

bank

'

14,450.00

Banking house

10,000.00

Furniture and fixtures

3,691.95

Other real estate

21,586.95

Due from banks and bankers in

this state

29,241.75

Due from banks and bankers in

other states

3,455.98

Currency

8,367.00

Cold

550.00

Silver, nickels, etc

764.93

Cash items

136.34

Clearing house

16.993.58

Advances on cotton

13,500.00

U. S. Savings Stamps

462.00

War Revenue Stamps

40.00

Customers' liability acct. accept-

ances

10,000.00

LIABILITIES.

Capital stock paid in

$100,000.0

Surplus fund

20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 26,326.02

Due to hanks and bankers in this

state

42,894.49

Due unpaid dividends

2.00

Individual deposits subject to

check

346,774.77

Time certificates

6,057.90

Cashier's checks

1,947.19

Notes and bills rediscounted

30.000.00

Customers' acceptances

10,000.00

Total

$584,002.37

Total

$584,002.37

TREASURER'S REPORT

11

ATHENS SAVINGS BANK

Date of Charter, 1887; Begun Business, Mar. 2, 1892 M. STERN, President; G. A. MELL, Cashier

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

5

Time loans

Overdrafts, secured

Bonds and stocks owned by the bank
Banking house

Furniture and fixtures

Other real estate Due from banks and bankers in
this state

Due from banks and bankers in other states

Currency Gold Silver, nickels, etc

Cash items Clearing house I. R. stamps

6,274.00 532,364.05
13,098.87
142,150.00 11.464.03 1-00 73,422.67
225.488.05
24,193.07 U'*2HX 1,500.00 1,503.20 -,,,22H?
'X,,; ,,I 235.00

LIABILITIES.

Capital stock paid in

?

Undivided profits, less current

expenses, interest and taxes

paid

Due to banks and bankers in this

state

Individual deposits subject to

check

Savings deposits

Time certificates

50,000.00
273,005.82 10,826.36 404,684.72 ?9?'51f?! 109,368.4.2

Total

$1,056,491.59 Total

$1,056,491.59

COMMERCIAL BANK OF ATHENS

Begun Business, Jan. 1st, 1907. HUGH H. GORDON, JR., President; W. S. JOHNS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans Time loans Overdrafts, unsecured

' 27,798.00 193,005.02 3,459.55

Bonds. and stocks owned by the

,bank Furniture and fixtures Other real estate

2,187.00 3,000.00 24,285.18

Due from banks and bankers in

this state

6,595.11

Due from banks and bankers in

other states

24,005.42

Currency Gold Silver, nickels, etc Cash items Clearing house Advances on cotton

5,989.00 20.00 725.65
2,580.12 5,174.22 . 41,844.96

Total

.$340,599.23

LIABILITIES.

Capital stock paid in

$ 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 9.211.M

Individual deposits subject to

check

248,322.36

Savings deposits Cashier's checks

,15,,'2*S'n"n

Notes and bills rediscounted

17.500.U0

Total

.$340,599.23

PEOPLES BANK, ATHENS Date of Charter, May 21st, 1912: Begun Business, May 22nd, 1912
S. BERNSTEIN, President; J. H. HUBERT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans Time loans Overdrafts, unsecured

$ 29 300.0(1 204 269.68
1 478.00

Bonds and stocks owned by the bank
Furniture and fixtures

6 450.00 5 395.00

Due from banks and bankers in this state

30,711.81

Due from banks and bankers in other states
Currency
Gold Silver, nickels, etc
Cash items Documentary stamps

793.25 957.00 292.50 592.55 875.88
48.94

Total

: 8,144.61

LIABILITIES.

Capital stock paid in Surplus fund

$ 50, 000.00 J. 116.68

Undivided profits, less current ex-

penses, interest and taxes paid.. 17.038.Z9

Individual deposits
check Savings deposits Time certificates Certified checks Cashier's checks

subject

to 184 969.91 10, 205.03 41 337.50 253.31 1 223.89

Total

$308,144.61

12

TREASURER'S EEPORT

ATLANTA COMMERCIAL BANK

Date of Charter, May 13th, 1916; Begun Business, May 15th, 1916 DR. W. B. CHANDLER, President; B. M. LOONEY, Cashier
STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

,

$61,027.00

Overdrafts, secured

61.01

Overdrafts, unsecured

74.45

Bonds and stocks owned by the

bank

474.68

Furniture and fixtures

2,640.09

Due from banks and bankers in

this state

784.52

Due from banks and bankers in

other states

420.97

Currency

6,279.00

Gold

122 50

Silver, nickels, etc

322.72

Cash items

126.11

Profit and loss

8.38

LIABILITIES.

Capital stock paid in

$25,000.00

Undivided profits, less curent ex-

penses, interest and taxes paid... 823.52

Due unpaid dividends

4.00

Individual deposits subject to

check

31,995.26

Savings deposits

4,018.65

Bills payable, including time cer-

tificates representing borrowed

money

'

10,500.00

Total

$72,341.43

Total

$72,341.43

ATLANTA STATE SAVINGS BANK

Date of Charter, June 28, 1913; Begun Business, Aug. 1, 1913 J. O. ROSS, President; C. C. CATER, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$95,595.23

Overdrafts, unsecured

112.64

Bonds and stocks owned by the

bank

1,396.62

Furniture and fixtures

3,500.00

Other real estate

33,450.32

Due from banks and bankers in

this state

5,257.22

Currency

1,874.00

Silver, nickels, etc

205.13

Cash items

1,460.71

Profit and loss

405.95

LIABILITIES.

Capital stock paid in

$ 25,000.00

Due unpaid dividends

61.20

Individual deposits subject to

check

27,709.30

Savings deposits

58,544.51

Certified checks

' 19.60

Cashier's checks

1,269:51

Bills payable, including Time Cer-

tificates representing borrowed

money

21,000.00

Total

$143,257.82

Total

$143,257.82

ATLANTA TRUST COMPANY

F. S. ETHERIDGE, President; T. C. TRIPPE, Treasurer

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Farm loans

'.

$ 239,857.46

Demand loans

67,699.34

Time loans

275,939.90

Overdrafts, secured

800.29

Bonds and stocks owned by the

bank

517,686.30

Banking house

150,000.00

Other real estate

63.831.49

Due from banks and bankers in

this state

'.

40,285.01

Due from banks and bankers in

other states

9,318.69

Currency

1,829.00

Gold

237.50

Silver, nickels, etc

242.63

Cash items

4,996.46

Accounts receivable

7,546.21

Accrued interest rec'r

15,719.31

Total

$1,395,989.39

LIABILITIES.

Capital stock paid in

$ 500,000.00

Surplus fund

7

40,000.00

Undivided profits, less current ex-

penses, interest and taxes paid. 28,868.30

Due to banks and bankers in

this state

2,486.20

Due unpaid dividends

108.00

Individual deposits subject to

check

250,989.53

Savings deposits

29.153.53

Trust deposits

73.690.39

Time certificates

102,100.00

Treasurer's checks

8.9:16.59

Notes and bills rediscounted

!'i;.."".90.00

Bills payable, including time cer-

tificates representing borrowed

money

256.000.00

Reserve for taxes

2,634.55

Reserve for interest

4.132.30

Total

$1,395,989.39

TREASURER'S EEPORT

13

CENTRAL BANK & TRUST CORPORATION, ATLANTA

Date of Charter, November 28, 1905; Begun Business, February, 1906

ASA G. CANDLER, President; WALTER G. CANDLER, Cashier

STATEMENT OP COM.)

. . BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$2,565,508.67

Time loans



4,466,756.52

Overdrafts, secured

2,463.30

Overdrafts, unsecured

280,894.05

Bonds and stocks owned by the

hank

1,527,687.67

Furniture and fixtures

5,733.07

Other real estate

20,408.78

Due from banks and bankers in

this state

870,532.52

Due from banks and bankers in

other states

86,871.78

Currency

140,144.06

Gold

10,787.50

Silver, nickels, etc

34,088.77

Cash items

14,170.49

Clearing house

313,422.08

Customers obligations

768,124.90

Trade acceptances

278,021.25

LIABILITIES

Capital stock paid in

.$10, 000,000.00

Surplus fund

300,000.00

Undivided profits, less current ex-

penses, interest and taxes paid 312,902.11

Due to banks and bankers in this

state

1,163,610.57

Due to banks and bankers in

other states

344,329.05

Due unpaid dividends

70.00

Individual deposits, subject to

check

2 648,064.92

Savings deposits

2 405,593.08

Demand certificates

10,093.29

Time certificates

-.

550,741.89

Certified checks

9,540.10

Cashier's checks

43,057.07

Notes and bills rediscounted

1 554,935.00

Bills payable, including time cer-

tificates representing borrowed

money

760,000.00

Customers acceptances

768,124.90

Trade acceptances

5 278,021.25

Reserved for interest

17,771.12

Total

$12,166,854.35

Total

.

$12,166,854.35

BANK OF WEST END, ATLANTA

Date of Charter, March 25, 1915; Begun Business, March 26, 1915 W. S. WITHAM, JR., President; H. T. KILPATRICK, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

$ 66,195.13

Bonds and stocks owned by the

bank

7,979.36

Banking house

5,500.00

Furniture and fixtures

2,690.00

Other real estate

7,440.39

Due from banks and bankers in

Dutheisfrostmatebanks and bankers in 9,371.27

other states

6,466.69

Currency

1,572.00

Gold

432.50

Silver, nickels, etc

700.12

Clearing house

1,416.95

Thrift stamps

107.40

Revenue stamps

3.00

Total

$109,871.85

LIABILITIES.

Capital stock paid in

$15,000.00

Surplus fund

2,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,742.99

Due unpaid dividends

2.40

Individual deposits subject to

check

58,139.47

Savings deposits

21,828.71

Time certificates

9,662.24

Total

$109,871.85

COLONIAL TRUST COMPANY, ATLANTA

Date of Charter, October 22nd, 1912; Begun Business, October 29th, 1912

J. S. SLICER, President; H. O. GRADDY, Cashier

STATEMENT '

ESS DEC. 15 111, 1917

RESOURCES

Demand loans

$

29.56

Time loans

171,452.97

Bonds and stocks owned by bank. 1,000.00

Furniture and fixtures

750.00

Other real estate

2,809.97

Due from banks and bankers in

this state

3,487.03

Due from hanks and bankers

other states

2,172.40

Currency

1,019.00

Silver, nickels, etc

23.23

Cash items

718.35

Profit and loss

3,976.99

Total

$187,439.55

LIABILITIES

Capital stock paid in

$143,600.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 20,671.53

Individual
check

deposits,

subject

to 14-95HI

Savings deposits

2,652.38

Bills pavable, including time cer-

tificates, representing- borrowed

money Balance due on loans

5,000.00 557.29

Total

$187,439.55

14

TBEASUEEK'S BEPOBT

EAST ATLANTA BANK, ATLANTA

Date of Charter, Nov. 15th, 1910 L. L. MARBUT, President; R. C. BILLINGS, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

,,

RESOURCES

Demand loans Time loans

$ 4,000.00 54,301.02

Overdrafts, unsecured ............

145.37

Bonds and stocks owned by the

bank

100.00

Banking house

. .

9,795.00

Furniture and fixtures

2,740.00

Due from banks and bankers in tnis

state

16,441.71

Due from banks and bankers'' in

other states Currency

323.13 5,169.00

Gold

.....'.'.'.'.'.'.

40.00

Silver, nickels, etc. .-

]

722.89

Clearing house

287.46

LIABILITIES

Capital stock paid, in

$ 25 000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2 646.48

Due unpaid dividends

98.00

Individual deposits, subject to

check

45, 525.17

Savings deposits

7' 317.21

Time certificates

,476.20

Cashier's checks

2.50

Bills payable, including time cer-

tificates representing borrowed

money

5 000.00

Total

$ 94,065.56

Total

$ 94,065.56

FARMERS & TRADERS BANK, ATLANTA

"W. D. MANLEY, President; L. T. CARTER, Cashier STATEMENT F CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES Demand loans Time loans

$27,910 39 240,615.70

Overdrafts, unsecured

9,761.68

Bonds and stocks owned by the

bank Banking house

74,585.00 21,125.62

Furniture and fixtures

2,338.20

Other real estate

81,248.63

Due from banks and bankers in

this state

69,867.45

Due from banks and .-ankers in

other states

5,916.92

Currency

17,861.00

Gold

1,997.50

Silver, nickels, etc

1,842.67

Clearing house

23,451.03

Profit and loss

3,616.62

Liberty bonds

124.26

LIABILITIES

Capital stock paid in

$ 25,000.00

Surplus fund

20,000.00

Due to banks and bankers in this

state

11,900.00

Due to banks and bankers in other

states

88,838.13

Individual deposits, subject to

check

226,890.73

Savings deposits

33,540.00

Time certificates

65,129.38

Cashier's checks

3,864.43

Total

$ 58,226.67

Total

$ 58,226.67

GEORGIA SAVINGS BANK & TRUST CO., ATLANTA

Date of Charter, Oct. 26, 1889; Begun Business, Sept. 1, 1899 GEORGE M. BROWN, President; JOSEPH E. BOSTON, Sec.-Treas.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$ 32,350.00

Time loans

1,080,809.25

Bonds and stocks owned by the

bank

235,360.27

Furniture and fixtures

133.03

Other real estate

9,891.56

Due from banks and bankers in

this state

175,270.56

Due from banks and bankers in

other states

11,640.95

Currency

14,248.00

Gold

5,630.00

Silver, nickels, etc

1,517.04

Cash Items

1,702.04

Liberty bonds

38,036.76

LIABILITIES Capital stock paid in Surplus fund Undivided profits, less current ex-
penses, interest and taxes paid. Unearned interest Savings deposits Time certificates Other liabilities

$200,000.00 100,000.00
37,327.90 171,677.32 712.254.96 384,963.33
365.95

Total

$1,606,589.46

Total

$1,606,589.46

TREASURER'S KEPORT

15

AMERICAN SAVINGS BANK, ATLANTA

Date of Charter, 1886; Begun Business, 1887 J. G. ST. AMAND, President; PETER F. CLARKE, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

Demand loans

$ 2,500.00

Time loans

516,655.05

Overdrafts, secured

5,488.54

Overdrafts, unsecured

200.00

Bonds and stocks owned by the

bank

8,153.00

Furniture and fixtures

4,285.76

Other real estate

30,610.95

Due from banks and bankers in

this state

10,887.63

Currency

2,065.00

Silver, nickels, etc

225.04

Cash items

3,195.47

Other resources

3,025.69

LIABILITIES

Capital stock paid in

$200,000.00

Surplus fund

25,000.00

Undivided Profits, less current ex-

penses, interest and taxes paid.. 9,661.72

Savings deposits

201,646.20

Bills payable, including time cer-

tificates representing borrowed

money

20,000.00

Unearned interest

74,704.64

Total

$587,292.13

Total

$587,292.13

SECURITY STATE BANK, ATLANTA

Date of Charter, August 31st, 1911; Begun Business, September 9th, 1911 J. S. SDICER, President; H. O. GRADDY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$2,668.09

Time loans

65,261.61

Bonds and stocks owned by the bank 4,282.67

Due from banks and bankers in

this state

105.80

Due from banks and bankers in

other states

1,954.37

Profit and loss

5,150.17

LIABILITIES.

Capital stock paid in

:

$60,000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 8,922.71

Bills payable, including time certifi-

cates representing borrowed

money

10,000.00

Balance due on loan made

500.00

Total

$79,422.71

Total

$79,422.71

TRUST COMPANY OF GEORGIA, ATLANTA

Date of Charter, 1891; Begun Business, Sept., 1891 E. WOODRUFF, President; GEO. B. PENDLETON, Treas.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES Demand loans

$ 343,409.70

Time loans

1,113,337.06

Bonds and stocks owned by the

bank

1,911,434.34

Banking house

541,500.00

Other real estate

2,100.00

Due from banks and bankers in

this state

100,516.24

Due from banks and bankers in

other states

77,789.35

Currency

1,430.00

Gold

160.00

Silver, nickels, etc

59.01

Cash items

1,035.10

Clearing house

1,315.48

Other resources

10,349.60

Customers' liability under ac-

ceptances

275,000.00

Bond departments

123,379.21

LIABILITIES

Capital stock paid in

$1 000,000.00

Surplus fund

1 000,000.00

Undivided profits, less current

expenses, interest and taxes

paid

237,228.38

Due to banks and bankers in

this state

63,305.27

Due ta banks and bankers in

other states

38,465.06

Due unpaid dividends

83.00

Individual deposits subject to

check

1 125,625.94

Savings deposits

270,809.84

Demand certificates

102,741.24

Time certificates

98,398.20

Notes and bills rediscounted .... 150,000.00

Other liabilities

415.59

Trust Dept

41,241.57

Bond redemption Accts

88,000.00

Loan Participation Accts

11,500.00

Acceptances

275.000.00

Total

,502.814.09

Total

$4,502,814.09

BfflBB

16

TREASURER'S REPORT

AUGUSTA SAVINGS BANK, AUGUSTA

Date of Charter, Oct. 14, 1879; Begun Business, 1882

P. E. MAY, President; J. G. WEIGLE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Due from banks and bankers

this state

Due from banks and bankers

other states

Currency

Gold

Silver, nickels, etc

Cash items

16,903.76 766,688.37
5.96
163,655.00 47,500.00 3,653.20
41,146.62
9,525.76 22,249.00
190.00 1,022.08
552.52

LIABILITIES

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, interest and taxes

paid

Individual deposits subject to

check and savings deposits

Time certificates

Cashier's checks

Due to clearing house

Notes and bills rediscounted

Bills payable, including time cer-

tificates representing borrowed

money

50,000.00 50,000.00
20,103.34 854,741.77
11,071.16 6,016.74 9,538.76 4.600.00
40,000.00

Clearing house

13,999.50

Internal revenue stamps

380.00

Total

$1,087,471. V,

Total

$1,087,471.77

GEORGIA RAILROA D SANK, AUGUSTA

Date of Charter, November 15th, 1892; Begun Business, December 31st, 1892 JACOB PHINIZY, President; RUFUS K. BROWN, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$1,255,776.00

Time loans

4,739,257.18

Overdrafts, secured

3,320.68

Overdrafts, unsecured

12,345.42

Bonds and stocks owned by the

bank

91,913.03

Banking house and furniture and

fixtures

50,000.00

Other real estate

22,205.00

Due from banks and bankers in

this state

74,306.41

Due from banks and bankers in

other states

581,545.45

Currency

220,029.00

Gold

7,380.00

Silver, nickels, etc

20,759.45

LIABILITIES

Capital stock paid in

$ 600,000.00

Undivided profits, less current

expenses, interest and taxes

paid ..."

616.070.17

Due to banks and bankers in

this state

360,467.48

Due to banks and bankers in

other states

132,427.82

Individual deposits subject to

check

4,772,296.51

Savings deposits

2,003,868.78

Demand certificates

356,1 27.37

Certified checks

1,696.57

Cashier's checks

305,377.31

Cash items

125,414.06

Clearning house Advances on cotton

216,187.00 1,611,345.00

U. S. Liberty Bonds, 4%. 1942

108,000.00

U. S. War Saving Certificates...

824.00

A. Rosenthal real estate

7,724.33

Total

$9,148,332.01

Total

$9,148,332.01

MERCHANTS BANK, AUGUSTA

Date of Charter, January, 1904; Begun Business, Februarv 1, 1904 A. S. HATCH, President; E. E. ROSBOROUGH, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$ 236,192.76

Time loans

1,466,268.26

Overdrafts, unsecured

4,897.20

Bonds and stocks owned by the

Bank

50.06 1.67

Banking house

44,0011.00

Furniture and Fixtures ....

994.75

Other real estate

0 373.61

Due from banks and bankers in

this state

78,556.54

Due from banks and bankers

other states

PS 827 17

Currencv

97,574.00

Gold ,.."

7 70.00

Silver, nickels, etc

8,079.43

Cash items

7 166.94

Clearing house

42.069.30

LIABILITIES

Capital stock paid in

$ 200,000.00

Surplus fund

250,000.00

Undivided profits, less current

expenses, int. and taxes paid. 68,084.97

Due to banks and ba -kers In this

state

24'.272.93

Due to banks and bankers in

other states

32,1.01.331

Due unpaid dividends

24.00

Individual deposits, subject to

check

1 437,932.56

Time certificates

116,609.19

Total

$2,129,124.96

Total

$2,129,124.96

TREASURER'S REPORT

17

PLANTERS LOAN & SAVINGS BANK, AUGUSTA

Date of Charter, 1870; Begun Business, 1870 L. C. HAYNE, President; GEO. P. BATES, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC 15TH 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, unsecured

Bonds and stocks owned by the

Bank

Banking house

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Silver, nickels, etc

Cash items

Clearing house

Lioerty bonds

285,917.30 942,212.46
991.58
75,045.00 45,000.00
24,764.27
56,706.60 94,003.00
1,031.53 471.13
15,991.96 18,479.00

LIABILITIES

Capital stock paid in

$

Undivided profits, legs current

expenses, int. and taxes paid.

Due unpaid dividends

Individual deposits, subject to

check

Cashier's checks

Savings deposits

Due to clearing house

50,000.00
245,224.01 129.15
417,962.53 4,716.82
840,468.25 2,170.07

Total

$1,560,670.83

Total

$1,560,670.83

UNION SAVINGS BANK, AUGUSTA

Date of Charter, Oct., 1891; Begun Business, Jany., 1892 WM, SCHWEIGERT, President; THOS. S. GRAY, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, secured

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

*

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

Clearing house

133 017 72 851,835.06
2,719.47 2447.16
166,223.66 88,615.47 18,561.21
7,380.36
63,390.63
2,863.30 34,106.00 2,012.50 4,325.08 2.694.38 22,442.45

LIABILITIES

Capital stock paid in

$

Undivided profits, less current

expenses, int. and taxes paid.

Due to banks and bankers in this

state

Due to banks and bankers in

other states

Individual deposits, subject to

check

Savings deposits

Demand certificates

Time certificates

Certified checks

Cashier's checks

Due to clearing house

100,000.00
42,110.92
12,626.44
9,926.60
336,382.56 788,457.29
28,016.31 61,248.17
754.97 5,113.99 17,697.10

Total

$1,402,334.35

Total

$1,402,334.35

AUSTELL BANK

Date of Charter, Jany. 3, 1910: Begun Business, Jany. 20, 1910 DR. CHAS. F. BENSON, President; B. H. VEAL, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, secured

Bonds and stocks owned by the

hank, Liberty

Furniture and fixtures

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

4.200.00' 24,984.39
55.33
4,500.00 1,927.87
17,091.99
2,041,78 3,474.00
97.50 138.38

LIABILITIES

Capital stock paid in

$

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Demand certificates and time cer-

eific.^tes

Cashier's checks

15.000.00 434.95
28,175.75 14,809.09
91.45

Total

$ 58,511.24

Total

$ 58,511.24

18

TREASURER'S REPORT

AVERA BANKING CO., AVERA

Date of Charter, March 15, 1910; Begun Business, March 23, 1910 L.. B. HOLT, President; C. H. HATHAWAY, Cashier

RESOURCES

Demand loans

$

Time loans .. .

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

GoJd

Silver, nickels, etc

Cash items

3,500.00 26,861.18
1,516.37 2,500.00 2,210.00
56,071.78
3,171.72 4,502.00
16.00 1,024.81
69.90

LIABILITIES

Capital stock paid in

$

Undivided profits, lees current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

Cashier's checks

15,000.00
1,907.53
73,752.92 10,577.47
205.84

Total

$ 101,443.76

Total

? 101,443.76

BANK OF BACONTON, BACONTON

R. P. JACKSON, President; R. M. TILLER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Time loans

$

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Silver, nickels, etc

Mutual Fire Insurance fund

Depositors guarantee fund

63,896.64
625.00 2,007.23 1,918.43
7,522.15
4,443.21 987.00 86.06 120.00
3,223.65

LIABILITIES

Capital Stock paid in

?

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

Cashier's checks

15,000.00
3,378.84
36,457.02 28,446.79
1.872.78

Total

$ 85,155.43

Total

$ 85,155.43

BAINBR1DGE STATE BANK, BA1NBRIDGE

Date of Charter, Feby. 1906; Begun Business, May, 1891 E. G. POSEY, President; E. S. VARNER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, secured

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Due from banks and bankers in

this state

Due from banks and bankers in other states

Currency

Gold

Silver, nickels, etc

Cash items Clearing house

Revenue stamps

27.082.88 556.831.46
2,83.6B 5,120.36
19,900.00 15.650.00 3,428.40
64,179.23
40.482.23 29.609.00
95.00 3,730.46
42.89 3,83r..nr,
85.50

LIABILITIES

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Savings deposits

Demand certificates

Time certificates

Certified checks

Cashier's checks

100,000.00 20,000.00
64.228.06
364,444.32 91,556.64 15,724.44 110,608.54 4.533.70 1,860.41

Total

,

t 772,956.11

Total

? 772,956.11

TREASURER'S EEPORT

19

CITIZENS BANK, BAINBRIDGE

Date of Charter, Nov. 8, 1911; Begun Business, Dec. 19, 1911

W. G. POWELL, President; R. H. MAY, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC 15TH 1917

RESOURCES Demand loans Time loans Overdrafts, unsecred

25,376.32 93,771.80
1,113.08

LIABILITIES

Capital stock paid in

$

Surplus fund

i

Undivided profits, letss current

30,000.00 12,000.00

Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states

4,500.00 64,845.23 11,376.25

expenses, int. and taxes paid.. Individual deposits, subject to
check Time certificates

5.962.8S
158,976.24 13,855.10

Currency

6,038.00

Gold

760.00

Silver, nickels, ate

3,023.21

Clearing house

7,45b.35

Advances on cotton

3,031.43

Total

$ 220,794.17 _

1T0ntt=ail

1

'

$ 220,794.17

DECATUR COUNTY BANK, BAINBRIDGE

M. G. NUSSBAUM, President- FRANK" <3 Tnwpe n..v.i

STATEMERNETSOOUFRCCOENS DITION AT THE 'cEo^E VB&8SS^ET 15TH, 1917

Demand loans

$

Time loans

Bonds and stocks owned by the bank

Other real estate

Due from banks and bankers in

6,172.89 67,380.94 36,519.75 1,670.00

LIABILITIES

Capital stock paid in

s

Undivided profits, less current

expenses, int. and taxes paid..

Savings deposits

Time certificates

25,000.00
9,735.12 65.938.19 28,022.80

this state

15,905.72

Due from "banks and bankers in

other states

1,046.81

Ttal

128.696.11

Totatt

, U8.t9tt.ll

BALDWIN STATE BANK, BALDWIN

W. A. SHORE, President; E. C ADDY rashic^

STATEMENRETSOOUP RCCOENSDITION

Time loans

$

Overdrafts, unsecured

Stocks owned by the bank Banking house

Furniture and fixtures

Due from banks and bankers in

AT THE
68,475.60 481.26
I,00o!o0 3,304.88 2,007.95

CLOSE"' OPBUSINESS'DEC. 15TH,

LIABILITIES

Capital stock paid in

$

Undivided profits, less current expenses, int. and taxes paid..
Time certificates Cashier's checks

1917
15,000.00
7,555.07 11,993.42
40.43

this state

14,344.75

Due from banks and bankers in

other states

2,372 95

Currency

3,674.00

Gold Silver, nickels, etc Cash items

344.50 467.32 460.09

Total

| 96,931.24

Total

BANK OF B ALL GROUND, BALL GROUND

Date of Charter, Jany. 4, 1906

H. H. HARDIN, President; F. G. MAUNEY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH

RESOURCES Demand loans Time loans

$ 4,761.51 35,657.76

LIABILITIES

Capital stock paid in

$

Individual deposits, subject to

Overdrafts, unsecured

52.74

check

Banking house

3,500.00 Savings deposits

Furniture and Fixtures

2,000.00 Demand certificates

Due from banks and bankers in

Time certificates

this state

20,695.24 Cashier's checks

Due from banks and bankers in

other states Currency Gold Silver, nickels, etc Cash items Profit and loss Depositors guarantee fund Fire insurance fund Revenue stamps

2,740.09

4,713.00

'

92.50

363.06

69.92

1.101.20

2,702.70

120.00

10.00

6,931.24
1917' 25,000.00 44,449.47
747.99 2,702.70 5,123.10
559.46

Total

$ 78,582.72

Total

$ 78,582.72

20

TREASURER'S BEPORT

BARNESVILLE BANK, BARNESVILLE

,,,

Date of Charter, Sept. 14th, 1908; Begun Business, Sept. 17th, 1908 W. A. PROUT, President; B. LANGFORD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, secured, cotton ....

Overdrafts, unsecured

Furniture and fixtures

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

22,504.93 68,790.63 11,498.68
274.47 3,459.60
41,619.43
7,830.44 9,188.00
52.50 666.66 1,089.44

LIABILITIES

Capital stock paid in

$

Surplus fund

Undivided profits, lqss current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

Cashier's checks

36,000.00 2,880.00
2,833.22
124,077.64 793.53 390.32

Total

$ 166,974.71

Total

$ 166,974.71

CITIZENS BANK, BARNESVILLE

Date of Charter, May, 1902; Begun Business, May, 1902 C. O. SUMMERS, President: C. H. HUMPHREY, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, secured by cotton ..

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

Clearing house'

86,563.27 132,832.02 39,119.31
795.89
53,750.-00 2,000.00 1,890.25 5,000.00
68.871.66
32,179.71 10,582.00
500.00 673.60 311.19 2,523.74

LIABILITIES

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

45,000.00 20,000.00
6,269.37
318,196.23 48,127.04

Total

$ 437,592.64

Total

$ 437,592.64

BARTOW BANK, BARTOW

Date of Charter, Dec. 11, 1910; Begun Business, Janv. 1st, 1903 T. N. SMITH, President; J. R. MURPHY, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, unsecured

Bonds and stocks owned by the

hank

Banking house

Furniture and fixtures

Due to banks and bankers in

this state

Due to banks and bankers in this

other states

Currency

Silver, nickels, etc

Clearing house

Advances on cotton

Depositors guarantee fund

P.evenue stamps

14,377.43 73,148.07
463.32
8,750.00 1.584.76 3,028.68
25,496.53
6,953.98 2.728.00 7,997.95
987.22 195.972.69
3,302.85 5.00

Total

$ 344.976.48

LIABILITIES

Capital stock paid in

$

Undivided profits. less current expenses, int. and taxes paid. .
Individual deposits subject to

Time certificates . .

25,000.00 5,000.00
3,652.48
216,976.34 91.111.66 3.056.00

Total

? 344.976.48

TREASURER'S REPORT

21

FARMERS STATE BANK, BARTOW

Date of Charter, 1910; Begun Business, 1910 T. S. BROWN, President; J. A. MULLIS, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house
Furniture and fixtures Due from banks and bankers
this state
Due from banks and bankers other states
Currency Gold Silver, nickels, etc

9,117.77 23,976.16 134,404.19
746.93 3,500.00 2,380.25
48,422.49
8,227.44 13,277.00
60.00 1,057.24

LIABILITIES

Capital stock paid in

$

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

Cashier's checks

15,000.00
1,856.79
186.966.SS 40,472.89
872.91

Total

? 245,169.47

Total

J 245,169.47

BANK OF BARWICK, BARWICK

J. W. MASSEY, President; LAWSON HARDY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, secured

Overdrafts, unsecured

Banking house

Furniture and fixtures

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

10,000.00 38,016.19 22,313.75
182.91 1.636.83 1,959.49
30,547.56
7.403.90 3,411.00
135.00 438.79 469.27

LIABILITIES

Capital stock paid in

$

Undivided profits, less current

expenses, int. and taxes paid..

De unpaid dividends

Individual deposits, subject to

check

Time certificates

Due to clearing house

15,000.00
1,274.23 52.00
67,598.24 31,651.96
938.26

Total

if 116.514.69

Total

.$ 116.514.69

BAXLEY BANKING CO., BAXLEY

Date of Charter, 1902: Begun Business, 1897 R. H. COMAS, President; V. H. McQUAIER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Tirtie loans

,

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Silver, nickels, etc

Cash items

Advances on cotton

Interest account due bank

48,854.97 434.257.87
3,572.63
4,500.00 14,000.00 9.000.00 23,252.33
120,777.05
22,654.15 42.013.00
3,678.22 3,756.63 213,923.61 6,550.00

LIABILITIES

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

Certified checks

Cashier's checks

60,000.00 18.500.00
3,244.91
617,432.52 242,448.18
85.75 5,698.10

Total

$ 947,409.4

Total

$ 947,409.46

22

TREASURER'S REPORT

BAXLEY STATE BANK, BAXLEY

Date of Charter, August 23rd, 1917; Begun Business August 25th, 1917 I. I. MOODY, President; C. A. WHITAKER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Time loans

$

Bonds and stocks owned by the

bank

Furniture and fixtures

Due from banks and bankers in

other states

Cash items

Profit and loss (current expense)

Total

$

33,197.95
5,000.00 2,087.77
7,428.81 3,206.31 1,056.08
51,976.92

LIABILITIES

Capital stock paid in

$

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to cneck

Time certificates

Cashier's checks

15,000.00
1,592.55
29,742.65 3,171.75 21469.97

Total

$ 51,976.92

BANK OF BENEVOLENCE, BENEVOLENCE

Date of Charter, Feb. 1st, 1911; Begun Business, Sept., 1910 E. G. PERRYMAN, President; F. R. TTARD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, unsecured

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Silver, nickels, etc

Cash items

Advances on cotton

673.00 10,846.28
23.00 2,456.30 2,037.39 1,872.71
5,014.05
15,773.07 1,275.00
316.33 40.00
599.39

LIABILITIES

Capital stock paid in

?

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

Cashier's checks

15,000 00
1,532 91
24,254.25 59.21 7915

Total

? 40,925.52

Total

$ 40,925.52

FARMERS & MERCHANTS BANK, BERLIN

Date of Charter Sept. 27th, 1910; Begun Business Sept. 27th, 1910 C. H. BURNEY, President; H. R. NOBLES, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, unsecured

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers jn

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Advances on cotton

Revenue stamps

Suspense account

Checks held to prevent over-

draft

1,500.00 35,778.02
20.38 1.480.00 2,181.24
250.00
11,707.23
4,316.85 1,145.00 1,907.50
257.68 27,150.50
5.00 66.27
230.49

LIABILITIES

Capital stock paid in

$

Surpdus fund

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

Cashier's checks

15,000.00 5,500.00
2,911.93
42,832.35 18,887.32
2,864.56

Total

$ 87.996.16

Total

% 87,996.16

TREASURER'S EEPORT

23

BANK OF BETHLEHEM, BETHLEHEM

Date of Charter, Sept. 12, 1912; Begun Business Sept. 12, 1912 J. S. HARRISON, President; A. C. ASKEW, Cashier

STATEMENT OF CONDITION AT THE CLOSE'OF BUSINESS DEC. 15TH, 1917

Time loans

$

Banking house

Furniture and fixtures

Due from banks and bankers in this state

Due from banks and bankers'in

other states

Currency

Gold

....'.'.'.'"!

Silver, nickels, etc

Cash items

26,579.28 1,200.00 1,222.84
6,062.89
5,093.85 1,883.00
47.50 162.58 221.62

LIABILITIES

Capital stock paid in

$

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to check

Demand certificates

!'.'.'.'.

Time certificates

Cashier's checks

15,000.00
2,701.71
16,580.60 4,000.00 4,097.91
93.34

Total

$ 42,473.56

Total

j 42,473.56

BISHOP BANKING CO., BISHOP

Date of Charter, 1905; Begun Business, 1906 A. J. ARNOLD, President; A. H. SHANNON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

Advances on cotton

6,558. 80^881. 1^327.
2,604. 2,308. 1,969.
77,091.80
6,754.23 7,912.00
10.00 1,000.65
327.33 81,715.73

LIABILITIES

Capital stock paid in

?

Undivided profits, less current ex-

penses, interest and taxes paid

Surplus fund

Individual deposits, subject to

check

Time certificates

Cashier's checks

25,000.00
3,602.56 3,500.00
225.054.64 5,841.07 7,463.00

Total

% 270,461.27

Total

$ 270,461.27

BLACKSHEAR BANK, BLACKSHEAR

Begun Business July 7, 1892 A. P. BRANTLET, President; M. C. McALPIN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

5

Time loans

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Advances on cotton

209,000.00 236,687.70
2,613.07
50,000.00 2,310.00 766.24
70,103.53
54,675.48 4,732.00 60.00 476.34
77,311.73

LIABILITIES

Capital stock paid in

$

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

Cashier's checks

50,000.00
28,989.15
489,049.81 140,495.17
201.96

Total

$ 708,736.09

Total

$ 708,736.09

24

TREASURER'S REPORT

CITIZENS BANK, BLACKSHEAR

Date of Charter, Nov. 6, 1905; Begun Business, Jan. 5, 1906 W. H. MEEKS, President; J. B. TRUBTT, Cashier

STATEMENT OF CONDITION-AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Time loans

?

Overdrafts, unsecured

Bonds and stocks owned by the

hank

Banking house

Furniture and'fixtures

Other real estate

Due to banks and bankers in this

state

Due to banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Clearing house

81.216.z6 782.71
900.00 2,580.59 2,455.22 3,180.71
55,637.61
33,141.98 6,139.00 20.00 207.97 3,597.69

Total

$ 189,869.74

LIABILITIES

Capital stock paid in

$

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

Cashier's checks

17,000.00
1,758.75
13,687.31 33,796.72
426.96

Total

$ 189,859.74

UNION COUNTY BANK, BLAIRSVILLE

Date of Charter, Nov. 11th, 1909; Begun Business, Nov. 24th, 1909 V. M. WALDROOP, President; ZEKE CANDLER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

.'

$

Time loans

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Due from banks and bankers in

this state

Cash items

Profit and loss

War tax stamps

Live stock

2,234.55 91,417.06
456.92
1,450.00 2,662.50 2,472.56
5,232.17 3,691.87 1,138.70
17.00 194.25

LIABILITIES

Capital stock paid in

f

Due to banks and bankers in this

this state

Individual deposits, subject to

check

Time certificates

Cashier's checks Bills payable, including time cer-

tificates representing borrowed

money

15,000.00 5,000.00 16,710.13 58,720.19 1,537.25
14,000.00

Total

$ 110,967.67 Total

$ 110,967.57

FARMERS STATE BANK, BLAKELY

Date of Charter, August 12th, 1911; Begun Bus.ness, August, 1911 CHAS. M. DEAL, President- WILLIS S. COX, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES
Time loans Overdrafts, secured, cotton Overdrafts, unsecured, temporary Banking house, fur. & fixtures... Other real estate Due from banks and bankers In
this state Due from banks and bankers in
other states Currency Gold i Silver, nickels, etc Cash items Advances on farm products con-
sisting of corn, cotton, velvet
beans and hay

118,842.35 1,500.00 3.250.67 14,158.54 10.136.76
18,217.26
6,887.92 3,050.00
432.50 530.64 1,100.67
7,547*35

LIABILITIES

Capital stock paid in

$

Undivided profits. less current

expenses, int. and taxes paid .

Individual deposits, subject to

check

Time certificates

Cashier's checks

Notes and bills rediscounted....

Bills payable, including time cer-

tificates representing borrowed

money

50,000.00 3,952.72
105,393.13 5,272.37 1,036.44
10,000.00
10,000.00

Total

$ 185,654.66

Total

$ 185,654.66

TREASURER'S EEPORT

25

FANNIN COUNTY BANK, BLUE RIDGE

Date of Charter, May 29th, 1916: Begun Business, June 6th, 1916 J. M. EATON, President; J. F. HOLDEN, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, secured

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

Profit and loss

Revenue stamps

Liberty bonds

1,200.00 69,552.57
667.00 604.05
11,500.00 10,000.00
2,923.50 6,500.00
8,363.59
3,256.80 8,708.00
995.00 501.74 1,068.69 1,491.48 100.00
72.00

LIABILITIES

Capital stock paid in

?

Surplus fund

Individual deposits, subject to

check

Time certificates

Certified checks

Cashier's checks

Bills payable, including time cer-

tificates representing borrowed

money

Cash long

15,000.00 7,130.34
46,781.90 41,339.75
205.61 3,030.77
14,000.00 16.05

Total

$ 127,504.42

Total

$ 127,504.42

FARMERS BANK, BLYTHE

S. M. McNAIR, President; W. E. NORRELL, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Time loans

$

Overdrafts, unsecured

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Silver, nickels, etc

Cash items

Profit and loss

Time certificates

10,979.35 59.35
1,947.50 765.62 148.53
10,480.95
24,358.09 893.00 592.57
1,025.00 500.00
12,000.00

LIABILITIES

Capital stock paid in

$

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

15,000.00 2,055.55
41,391.80 5,302.61

Total

S 63,749.96

Total

$ 63,749.96

FARMERS BANK OF BOGART, BOGART

Date of Charter, Aug. 30th, 1910: Begun Business, October, 1910 L. O. BENTON, President; J. C. COOPER, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, unsecured

Banking house

Furniture and fixtures

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Advances on cotton and cotton

seed

1,107.00 43,770.00 10,674.17
1,000.00 1,000.00
17,393.42
17,763.47 4,219.00 17.50 213.81
13.144.16

Total

? 110,302.53

LIABILITIES

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, int. and taxes paid..

Due unpaid dividends

Individual deposits, subject to

check

Time certificates

Cashier's checks

15,000.00 5,000.00
2,567.18 9.60
77,918.99 9,551.57
255.19

Total

? 110,302.53



26

TREASURER'S EEPORT

BANK OF BOSTON, BOSTON

Date of Charter, Dec. 7th, 1905; Begun Business, March 5, 1906 J. W. TAYLOR, President; L. L. WILLIAMS, Cashier
STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

5

Time loans

Overdrafts, secured

Overdrafts, unsecured

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

153.89 79,405.04
3,230.90 51.94
7,156.92 1,642.32 1,245.79
20,845.45
6,775.03 4,760.00
40.00 31.17 16.82

LIABILITIES

Capital stock paid in

$

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Demand certificates

Time certificates

Cashier's checks

25,000.00
4,710.25
46,953.96 504.55
48,185.66 .85

Total

$ 125,355.27

Total

$ 125,355.27

MERCHANTS & FARMERS BANK OF BOSTON, BOSTON

Date of Charter, 1891; Begun Business, 1902 JAS. M. JONES, President; F. C. JONES, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

'. ?

Time loans

Overdrafts, secured

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house, furniture and

fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold Silver, nickels, etc

Cash items

61,279.09 221,462.16
4,883.26 13,021.81
3,000.00
11,000.00 1,850.00
31,590.75
3,877.83 3,302.00
237.50 1,281.67
637.26

LIABILITIES

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Savings deposits

Time certificates

Certified checks

Cashier's checks

Bills payable, including time cer-

tificates representing borrowed

money

Other liabilities (Full payments

made on 2nd Liberty loan

50,000.00 25,000.00 19,160.01 140,034.53 14,351.24 95,373.77
lil.34 2,946.11
10.000.00 446.33

Total

$ 357,423.33

Total

$ 357,423.33

BANK OF BOSTWICK, BOSTWICK

Date of Charter, Oct. 26th, 1911; Begun Business, Nov. 1st, 1911 J. M. PRESTON, President; H. S. KAYLOR, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES

Demand loans

$

Time loans

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Furniture and fixtures

Due from banks and bankers In

this state

Due from banks and bankers u

other states

Silver, nickels, etc

Cash items

Other resources (imemized)

Revenue stamps

10,180.85 27,170.58
1,244.00
2,500.00 1,427.45
54,344.02
455.78 24.81
590.79 10.00 5.47

LIABILITIES

Capital stock paid in

$

Undivided profits, lees current

expenses, int. and taxes paid..

Due unpaid dividends

Individual deposits, subject to

check

Demand certificates

Time certificates

Cashier's checks

15,000.00
5,511.75 14.40
75,760.60 400.00
1,900.00 1,080.00

Total

? 99,666.75

Total

99,666.75

TREASURER'S EEPORT

27

BANK OF BOWDON, BOWDON.

Date of Charter, October 16th, 1905; Begun Business, October 5th, 1905. S. HOLDERNESS, President; A. E. FLEMING, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES

Time loans

$

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Silver, nickels, etc

Cash items

Advances on cotton

83,930.93 1,447.61
500.00 3,000.00 2,615.00 9,267.31
36,776.18
17,351.18 9,967.00 357.56 3,569.55 60,301.43

LIABILITIES

Capital stock paid in

$ 50,000.00

Surpls fund

10,000.00

Undivided profits, less current

expenses, int. and taxes paid.. 7,142.85

Individual deposits subject to

check

142,979.01

Demand certificates

17,664.30

Cashier's checks

1,297.59

Total

? 229,083.75

Total

229,083.75

MERCHANTS & PLANTERS BANK, BOWDON.

Date of Charter, Aug. 30, 1911; Begun Business, Sept. 15, 1911. H. J. REAVES, President; W. G. BROWN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES

Demand loans

%

Time loans

Overdrafts, unsecured

Banking house

Furniture and Fixtures

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc. ,

Cash items

Advances on cotton

917.10 93,936.62
8,157.34 8,427.63 3,115.00
107,323.87
15,487.35 14,641.00
732.50 12.11
5,243.91 38,741.91

LIABILITIES

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits subject to

check

Savings deposits

Demand certificates

Time certificates

Cashier's checks

50,000.00 12,000.00
4,614.12
193,359.20 4,718.66
19,955.62 8,928.92 3,159.82

Total

$ 296,736.34

Total

% 296,736.34

BANK OF BOWERSVILLE, BOWERSVILLE.

Date of Charter, Dec. 14, 1906; Begun Business, Jan. 1, 1907. JAS. A. ESTES, President; D. H. RIDGWAY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES

Demand loans

$

Time loans

Overdrafts, unsecured

Banking house

Furniture and fixtures

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

3,500.00 42,636.97
43.59 1,990.00 1,743.00
31,738.60
15,681.82 4,149.00 40.00 475.42 317.99

LIABILITIES

Capital stock paid in

%

Undivided profits, less current

expenses, int. and taxes paid..

Individual deposits, subject to

check

Time certificates

Cashier's checks

20,000.00
6,760.75
72.147.63 2,778.51 628.90

Total

% 102,315.79

Total

? 102,315.79

28

TREASURER'S REPORT

BANK OF BOWMAN, BOWMAN.

Date of Charter, 1905; Begun Business, 1905. L. W. HENDRICK, President; O. L. TEASLEY, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES

Demand loans

$

Time loans

Overdrafts, unsecured

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers iri

other states Currency

Gold

..'.'.'.'.'.*.

Silver, nickels, etc

Cash items

Clearing house

24,441.10 122,476.65
640.07 4,318.49 2,500.00 ' 3,281.51
93,393.88
68,453.25 6,076.00 465.00 517.51 455.72 343.51

LIABILITIES

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, int. and taxes paid..

Due unpaid dividends

Individual deposits subject to

check

Time certificates

Certified checks

Cashier's checks

25,000.00 5,000.00
9,103.95 88.00
221,700.44 66,073.92 69.90 326.48

Total

$ 327,362.69

Total

$ 327,362.69

FARMERS BANK, BOWMAN.

Date of Charter, 1911; Begun Business, April 15th, 1911 A. A. SEYMOUR, President; B. F. BURNETTE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 67,575.09

Overdrafts, unsecured

2,421.23

Banking house

3,836.00

Furniture and fixtures

2,815.00

Due from banks and bankers in

this state

66,042.47

Due from banks and bankers iii

other states Currency Gold

24,617.07 \ 10,735.00
500.00

Silver, nickels, etc

1,173.03

Cash items

6,541.01

Advances on cotton

24,602.95

LIABILITIES.

Capital stock paid in

$ 18 400 00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,264.59

Due unpaid dividends

16.00

Individual deposits subject to

,,,.check

165,941.98

Time certificates

19,014.51

Cashier's checks

4J222 27

Ttal

$210,859.35

Total

$2"l0,859.35

BANK OF BREMEN, BREMEN.

Date of Charter, March 23, 1903; Begun Business, March 25, 1903 W. H. WILLIAMSON, President; C. H. HUDSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

| T--^I

RESOURCES.

Demand loans

$ 47 335 93

Time loans

58i760.26

Overdrafts, secured, cotton

37,895.93

Overdrafts, unsecured

14,106.82

Bonds and stocks owned by the

bank

8,000.00

Banking house

2,0u0.00

Furniture and fixtures

1,500.00

Other real estate

100.00

Due from banks and bankers in

this state

13,557.51

LIABILITIES.

Capital stock paid in

$ 40,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 16,766.65 Individual deposits subject to

check Time certificates

75,798.15 33,974.91

Cashier's checks

410.62

Bills payable, including time cer-

tificates representing borrowed

money

25,000.00

Due from banks and bankers in

other states

3 408 07

Currency

3]302.00

Silver, nickels, etc

565.91

Cash items

1,417.90

Total

$191950.33

Total

Tl~91,950.33

TREASURER'S REPORT

29

FARMERS BANK, BREMEN.

Date of Charter, 1911; Begun Business, Sept., 1911. J. P. BOATRIGHT, President; W. A. Duncan, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 1,915.45

Time loans

37,189.33

Overdrafts, secured, cotton

14,333.42

Overdrafts, unsecured

587.42

Banking hous'e

3,170.25

Furniture and fixtures

1,823.07

Due from banks and bankers in

this state

25,930.98

Due from banks and bankers in

other states

7,659.48

Currency

2.020.00

Gold

150.00

Silver, nickels, etc

455.46

Cash items

330.79

Revenue stamps

>

5.00

LIABILITIES.

Capital stock naid in

$17,600.00

Undivided nrofits, less current ex-

penses, interest and taxes paid.. 4,205.08

Individual deposits subject to

check

54,886.49

Time certificates

17,762.51

Cashier's checks

1,116.57

Total

70.65

Total

$95,570.65

FARMERS & MERCANTS BANK, BREWTON.

Date of Charter, May 26, 1910; Begun Business, July 6, 1910. JAS. L. KEEN, President; L. P. KEEN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.



Time loans

$21,490.50

Overdrafts, unsecured

1,777.52

Bonds and stocks owned by the

bank

2,541.19

Banking house

1,756.25

Furniture and fixtures

2,405.84

Due from banks and bankers in

this state

52,734.18

Due from banks and bankers in

other states Currency

;
'



.\.

5,181.49 5,633.00

Silver, nickels, etc

732.07

Cash items



2-25

Advances on cotton

1,938.78

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid. . 2,137.65

Due unpaid dividends

150.00

Individual deposits subject to

check

73,552.24

Time certificates

5,144.20

Cashier's checks

208.98

Total

6,193.07

Total

$96,193.07

CITIZENS BANK, BRINSON.

Date of Charter, Dec. 17, 1910; Begun Business, Dec. 22, 1910. S. BRINSON, President; A. Y. JONES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency
Gold ..: Silver, nickels, etc Cash items Clearing house

$22,717.24 2,112.06 2,000.00 l,uoo.70
in
7,003.82 in
2,466.16 1,979.00
290-?0 4oo.l i 564.65 1,893.29

Total

$43,017.09

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 438.28

Individual deposits subject to

check

16,076.35

Time certificates

11,342.44

Cashier's checks

160.02

Total

$43,017.09

30

TREASURER'S EEPORT

FARMERS BANK, BRONWOOD.

Date of Charter, April 30, 1913; Begun Business, May 5 1913

STATEMENT O^NS)^ VHE "cL^O^lMW MOT. 1917.

RESOURCES.

Time loans

$ 69,298.60

Overdrafts, unsecured

1,370.81

Bonds and stocks owned by the

bank

60.00

Banking house

4,000.00

Furniture and fixtures

2^500 00

Due from banks and bankers in

this state

49,842.39

Due from banks and bankers in

other states

13,431.60

Currency

2,365.00

Gold Silver, nickels, etc

,,,.50 163 75

Cash items

1,879^52,

4-dvances on cotton

11,303.481'

LIABILITIES.

Capital stock paid in

% 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7 799 02

Individual deposits subject to

,,, check

120,294.84

Time certificates

12,830.43

Cashier's checks

'328^36

TotaI

? 156,252.65

Total

$156,252.65

BANK OF BROOKLET, BROOKLET.

c,TM.TMTM, X N- SHEAROUSE, President: PAUL B LEWIS Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC 15TH 1917.

RESOURCES. Demand loans

$ 2 608 00

Time loans

58,283.35

Overdrafts, unsecured

1,536.37

Bonds and stocks owned by the

bank



Banking house

4.100.00 1 921 65

Furniture and fixtures

807.00

Other real estate

2,187 20

Due from banks and bankers in

this state

74,041.11

Due from banks and bankers in

other states

23.500.01

Currency
2la
Silver, nickels, etc

1,298.00
69625.0800

Cash items

1,127*57

LIABILITIES.

Capital stock paid in Surplus fund

I

,,25 3

000.00 375.57

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,326.03 Individual deposits subject to

check
Time certificates Certified checks Cashier's checks

118 446.25

516.70

2

188.00 315.54

Total

$172,168.09

Total

?172~,16S.C9

BROOKS BANK, BROOKS.

,,m. ,,

Date of Charter, Aug. 8, 1907; Begun Business K- B- BANKS, President; I. A. SCOTT

Sept 12 Cashier

1907.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC 15TH. 1917.

RESOURCES.

Demand loans

$ 9,043 43

Time loans

17,165.10

Overdrafts, unsecured

!..

864.92

Bonds and stocks owned by the

bank

17.359.00

Banking house

1,600.00

Furniture and fixtures

1.739.S5

Other real estate

870.00

Due from banks and bankers in

this state

39.028 91

Due from banks and bankers in

other states Currency

13.429.70 3,690 00

Gold

.....'.'.'.'.

40.00

Silver, nickels, etc

734.02

Clearing house

1,825.50

Advances on cotton

16,840.60

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. Individual deposits subject to

9,513.18

check
Time certificates Cashier's checks

84,011 32 15,633.35
54.18

Total

4 .?124,212.03

Total

1124.212.03

TREASURER'S EEPORT

31

BRUNSWICK BANK & TRUST CO., BRUNSWICK.

Date of Charter, 1889; Begun Business, 1889. F. D. AIKEN, President; C. Z. WALKER, Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$

Time loans

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

Revenue stamps

187,044.80 462,373.57
97.79
242,723.82 21,500.00 2,578.05 585.13
93,265.97
73,163.75 24,006.00
602.50 5,814.71 3,634.33
92.00

LIABILITIES.

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, interest and taxes

paid

Due to banks and bankers in

this state

Due to banks and bankers in

other states Individual deposits subject to

check

Savings deposits

Demand certificates

Time certificates

Certified checks

Cashier's checks

100,000.00 72,000.00
18,075.01 245,161.33
14,926.49 316,567.13 117,916.16 111,091.80 120,115.49
572.48 1,056.53

Total

$1,117,482.42 Total

$1,117,482.42

GLYNN COUNTY BANK, BRUNSWICK.

Date of Charter, 1907; Begun Business, March, 1907. J. J. LOTT, President; MILTON F. BROWN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

LIABILITIES.

Demand loans

$127,222.22 Capital stock paid in

$ 75,000.00

Time loans

334,688.37 Undivided profits, less current ex-

Overdrafts, unsecured

1,113.26

penses, interest and taxes paid.. 19,015.70

Bonds and stocks owned by the

Due to banks and bankers in

bank

29,048.00

this state

35,000.00

Banking house

22,200.00 Due to banks and bankers in

Furniture and fixtures

6,800.00

other states

40,000.00

Due from banks and bankers in

Individual deposits subject to

this state

,

15,571.17

check

222,811.12

Due from banks and bankers in

Demand certificates

63,246.10

other states

22,571.95 Time certificates

81,425.95

Currency

4,451.00 Certified checks

276.01

Gold

220.00 Cashier's checks

255.44

Silver, nickels, etc

1,109.55 Bills payable, including time cer-

Cash items

2,034.80

tificates representing borrowed

money

30,000.00

Total

$567,030.32

Total

$567,030.32

FARMERS & CITIZENS BANK, BUCHANAN.

W. A. McCALMAN, President: G. L. STEWART, Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc
Cash items Revenue stamps

$ 357.26 37,127.10 657.91 2,097.00 1,926.50
in 6,695.81
in 25,076.42 6,931.00 536.25
1,645.12 10.16

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,536.20

Individual deposits subject to

check

61,730.64

Time certificates

3,630.77

Cashier's checks

62.92

Total

$82,960.53

Total

$82,960.53

32

TREASURER'S EEPORT

HARALSON COUNTY BANK, HARALSON.

Date of Charter, March 3, 1909; Begun Business, March 4, 1909. J. L. EAVES, President; H. G. RICHARDSON, Cashier.

. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Time loans
Overdrafts, unsecured Banking house
Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gol<3 Silver, nickels, etc Cash items

$50,510,887 1,706.76 2,034.00 2,000.00
in 17,834.3S
in 12,188 75 2,440.00
295.00 302.14 1,01)7.42

LIABILITIES.

Capital stock paid in

$15,000.09

Undivided profits, less current ex-

penses, interest and taxes paid.. 14,454.14

Individual deposits subject to

check

50,452.31

Time certificates

10,399 31

Cashier's checks

73'5g

Total

1,379.3

Total

$90,379.32

BANK OF BUCKHEAD, BUCKHEAD.

Date of Charter, July 9, 1906; Begun Business, Sept 3, 1906 P. H. McWHORTER, President; S. R. PASCHAL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans
Overdrafts, unsecured Banking house
Furniture and fixtures Other real estate
Due from banks and bankers this state
Currency Gold
Silver, nickels, etc Cash items Revenue stamps

$ 1,230.00 23,318.69 .10 1,531.17 1,389.09 3,727.:,2
94,274.29 539.00 295.00 472.24
3,538.17 1.00

LIABILITIES.

Capital stock paid in

$25 000 00

Surplus fund

2!500:00

Undivided profits, less current ex-

penses, interest and taxes paid .. 1,325 48

Individual deposits subject to

check

95476 39

Cashier's checks

....'.' 6 014 80

Total

$130,316.07

Total

$130,316.07

BUENA VISTA LOAN & SAVINGS BANK, BUENA VISTA.

Date of Charter, Sept., 1889; Begun Business, Sept., 1889. CHAS. W. LOWE, President; WM. C. WOOTEN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 28,723.61

Tfime loans

128,404.32

Bonds and stocks owned by the

bank

3,117.54

Banking house

4,000.00

Furniture and fixtures

996.00

Other real estate, land

2,675.40

Due from banks and bankers in

this state

58,119.54

Due from banks and bankers in

other states

27 692 43

Currency

7,450.00

G,ol<3

1,772.00

Silver, nickels, etc

3,457 15

Cash items

.'

2,881.77

Advances on cotton

115,782.91

LIABILITIES.

Capital stock paid in Surplus fund

$

30 33

000.00 000.00

Undivided profits, less current" ex-

penses, interest and taxes paid.. 4 025.35

Due unpaid dividends

.87

Individual deposits subject to

check
Time certificates Certified checks Cashier's checks Bills payable, including

time

'.. ..'.
cer-

177 552.77 97 159.06

3

33.76 214.76

tTMifincaetyes representing Acceptances

borrowed

20 20

000.00 000.00

Total

$385,072.70

Total

$385,072.70

TREASURER'S REPORT

33

BANK OF BUFORD, BUFORD.

Date of Charter, 1893; Begun Business,

.

L P PATILLO, President; T. S. BURNS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$12,295.68

Time loans Overdrafts, unsecured

12H!2^ 2,548.42

Bonds and stocks owned by the

hank Banking house Furniture and fixtures

22,600.00 ?'64.-'?, 2,97o.54

Other real estate

3,327.6o

Due from banks and bankers in

this state

H3.5C8.13

Due from banks and bankers in

other states Currency Gold Silver, nickels, etc
Cash items Advances on cotton

HJ5-S? 9'4'-
834^0--42" ,,l'TM'J"i 23,666.8b

Total

.$284,008.20

LIABILITIES.

Capital stock paid in

* 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 46,362.64

Due to banks and bankers in this

state

1,242.78

Due unpaid dividends

28.00

Individual deposits subject to

check

134.657.43

Savings deposits

4,097.44

Time certificates

71.297.16

Cashier's checks

522.75

Total

$284,008.20

SHADBURN BANKING CO., BUFORD.

Date of Charter, Jan. 23, 1901; Begun Business, Jan. 23, 1901. W B SHADBURN, President; R. B. WHITEHURST, Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

1 3,317.72

Time loans Overdrafts, unsecured

139,306.43 646.91

Bonds and stocks owned by the bank
Furniture and fixtures Other real estate

7,600.00 2,500.00 3,000.00

Due from banks and bankers in

this state

.',8,403.39

Due from banks and bankers in

other states Currency Silver, nickels, etc Cash items Profit and loss

19,142.81 2,300.00 1,451.49
166.09 6,811.24

Total

. 4224,616.08

LIABILITIES.

Capital stock paid in

$ 40,000.00

Surplus fund

15,000 00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,437.14

Individual deposits subject to

check

86,851.44

Savings deposits

2,014.20

Time certificates

76,275.93

Cashier's checks

67.37

Total

;

$234,646.08

BANK OF BULLOCHVILLE, BU LLOCH VILLE.

Date of Charter, Aug. 28, 1905; Begun Business, Oct. 21, 1905. H B LEVERETT, President: A. C. DUNN, Cashier.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans Time loans Overdrafts, secured with cotton

*-S'55-"?S 67,063 18 I(,0o4.b2

Overdrafts, unsecured
Banking house Furniture and fixtures Due from banks and
this state Due from banks and

bankers in bankers in

Snnim I'nnnnn l,OOO.uo
6,825.84

other states Currency Silver, nickels, etc

,"?!! * !;
ISS's;

Cash items Advances on cotton Other resources

. SSa Si 'Harn 309. '0

LIABILITIES.

Capital stock paid in

$25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,513.8^

Individual deposits subject to

check

61,500.39

Time certificates

5,253.56

Cashier's checks

10.34

Tota,

$97,278.15

Total

$97,278.15

34

TREASURER'S EEPORT

BUTLER BANKING CO., BUTLER.

R. A. HINTON, President; O. G. McCANTS Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH. 1917

RESOURCES.

Demand loans Time loans

f 3,000.00 32,739.32

Overdrafts, secured, cotton

22,476.16

Overdrafts, unsecured

361.99

Banking house

3,000.00

Furniture and fixtures

2,845.16

Other real estate

2,500.00

Due from banks and bankers in

this state

82,639 19

Due from banks and bankers in

other states Currency Gold

18,280.03

.....!

1,318.00 25.00

Silver, nickels, etc. .< Cash items

74.16 367.90

Other resources

205.36

LIABILITIES.

Capital stock paid in

$ 15,000 00

Surplus fund

4,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,044.64

Individual deposits subject to

check

123,908.54

Time certificates

17,858.07

Cashier's checks

7|02102

Total

$169,832.27

Total

$169,832.27

FARMERS & MERCHANTS BANK, BUTLER.

W. W. EDWARDS. President; V. I BUTT Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

} 300.00

Time loans

63,608.25

Overdrafts, secured

887.55

Overdrafts, unsecured

. 2,479.66

Bonds and stocks owned by the

bank

4,500.00

Banking house

2,214.38

Furniture and fixtures ......

3,635.92

Other real estate

1,517.87

Due from banks and bankers in

this state

21,562.20

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

Profit and loss

'.

Depositors' guarantee fund

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,312 85

Individual deposits subject to

r,,.check lime certificates

68,150.40 45,832.31

Certified checks

900 00

Cashier's checks

704^05

Total

$142,900.21

Total

$142,900.21

FARMERS BANK, BYRON.

Date of Charter, Dec. 2, 1909; Begun Business, Jan 3, 1910
C. L. BATEMAN, President: S. J. BARRON Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH 1917.

RESOURCES. Demand loans Time loans
Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states
Cash items

$ 4.287.S:: 79|97fl.l7
2L276!sO 1,986.92 1,700 00 1.000.00
in
15,028 26 in
\ 379 00
12lo55^93

LIABILITIES.

Capital stock paid in Surplus fund

$ 20,000.00 2.500.00

Undivided profits, less current ex-

penses, interest and taxes paid..

Due unpaid dividends

Time certificates

Cashier's checks

., ]

Bills payable, including time cer-

1,894.11
85,328.08 20,410.07
297 05

tificates representing borrowed

money

8,000.00

Total

$138,684.91

Total

nSl.Sl

TREASURER'S EEPORT

35

CADWELL BANKING CO., CADWELL.

Date of Charter, Jan. 5, 1910; Begun Business, Feb. 15, 1910. H. R. BEDINGFIELD, President; J. A. BURCH, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 34,826.83

Overdrafts, secured, cotton and

seed Overdrafts, unsecured

31,347.50 694.00

Bonds and stocks owned by the

bank Banking house Furniture and fixtures Other real estate

1,000.00 4,500.Ou 3,629.05
274.89

Due from banks and bankers in

this state

47,985.53

Due from banks and bankers in
other states Currency Gold Silver, nickels, etc Advances on cotton Prepaid insurance 4 years

2,125.17 4,640.00
160.00 528.00 9,419.09 218.75

Total

5141,347.31

LIABILITIES.

Capital stock paid in

$ 2o,000.00

Surplus fund

J.aOO.OO

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,66.3b

Due to banks and bankers in this

state Due unpaid dividends

10,000.00 30.00

Individual check

deposits

subject

to 9n5r ,3n_o,,7.79

Time certificates

3,893.16

Total

...SHI,-; 17.31

CAIRO BANKING CO., CAIRO.

Date of Charter, Nov. 3, 1903; Begun Business, 1900. WALTER DAVIS, President; O. T. DAVIS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Time loans
Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers

$240,886.73
S'?JA'2-
2,170.5o in
137,605.70 in

Currency Gold Silver, nickels, etc

18,7^'S Z-w
2,270. i2

Total

$440,556.36

LIABILITIES.

Capital stock paid in

$ 35,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 16,210.oo

Individual deposits subject to

check

298,100.96

Time certificates

^'^??'?'5

Cashier's checks

2,461.92

Total

$440,556.36

CITIZENS BANK, CAIRO.

Date of Charter, Dec. 3, 1903; Begun Business, Jan. 1, 1904. W. S. WIGHT, President; W. H. SEARCY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 13,184.48

Time loans

318,791.32

Bonds arid stocks owned by the

bank, Liberty Bonds

8,771.00

Banking house Furniture and fixtures

7'9I5-55 4,223.57

Due from oanks and bankers in

this state

129,906.85

Due from banks and bankers in

other states Currency

]2'2,,-ft,, 8,632.00

Gold

Silver, nickels, etc

>

, SSf'SS
HAHO

Cash items

1,400.93

Total

$514,0X5.68

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

18,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 19,619.13

Individual deposits subject to

check

320,434.11

Time certificates

103,159.17

Certified checks

2,025.00

Cashier's checks

848.27

Total

$514,08.1.08

THE GENERAL LIBRARY THE UNIVERSITY OF GEORGIA
ATHENS, GEORGIA

m mymny CF C:

ffifflg l^

338

36

TREASURER'S BEPORT

FARMERS & MERCHANTS BANK, CAIRO.

Date of Charter, Nov., 1910; Begun Business, Nov., 1910 THOS. WIGHT, President; J. E. FORSYTH, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans

$17,900.84

Time loans

269,228.40

Bonds and stocks owned by the

bank

4,784.L5

Banking house

4,252.90

Furniture and fixtures

2,976.-t5

Due from banks and bankers in

this state

80,233.80

Due from banks and bankers in

other states

5,'IG'.46

Currency

6|444!oC

Gold

62.50

Silver, nickels, etc

2,416.27

Cash items

14,841.23

LIABILITIES.

Capital stock paid in

$ 30.000 00

Undivided profits, less current ex-

penses, interest and taxes paid.. 12,'.iniJ.<5

Due unpaid dividends

126 00

Individual deposits subject to

_ check

251,678.87

Savings deposits

36.835.05

Time certificates

V 4^355.71

Cashier's checks

3,177^08

Total

$409,125.16

Total

$4~09.125.16

PEOPLES BANK, CALHOUN.

Date of Charter, Oct. 15, 1905; Begun Business, Oct 15 1905. W. L. HINES, President; C. L. MOSS, Cashier.'
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Sliver, nickels, etc
Cash items Advances on cotton

$ 8,300.00 219 23S (12 '390 58 916.95 3,500 00 4,9t4.21 5.079.74
,n 2,1-64.44
In 15,780.05 8,668.00 1,650.00 782 08
7,057/(2 52,898.15

LIABILITIES.

Capital stock paid in

$ 55,000 00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5 576 22

Individual deposits subject to

check

186,129.25

Time certificates

65,064.17

Notes and bills rediscounted

lo'oooioo

Total

$331,76064 Total

TH'ST^TST

BANK OF CAMILLA, CAMILLA.

Date of Charter. Nov. 4, 1889: Begun Business, Jan. 2. 1890 F. R. BENNETT, President; J. J. WICKER. Asst. Cashier.'
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

U0S,243.12

Time loans

318,790.23

Overdrafts, secured

4,5)9.95

Overdrafts, unsecured

3.803.10

Furniture and fixtures

10,000.00

Due from banks and bankers in

this state

36,736.79

Due from banks and bankers iii

other states

... 15,933.19

Currency Gold

...;.;

1'3,541.00 525.00

Silver, nickels, etc

3,041.33

Cash items

2.655.15

Liberty Bonds

..'. 21.300.00

Acceptances

25,000.00

Total

s-,63.792 18

LIABILITIES.

Capital stock paid in

$ 50 f 00 00

Surplus fund

50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 15 223 17

Individual deposits subject to

_ check

245,058.30

Savings deposits

')6,905.J4

Time certificates

74 98 21

Cashier's checks

6*707 '>6

Acceptances discounted

25[oOO 00

Total 1.18

TREASURER'S EEPORT

37

PLANTERS AND CITIZENS BANK, CAMILLA.

G. B. COCHRAN, President; H. C. ANDERSON, Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

Time loans

RESOURCES.

$144. 930.59

Overdrafts, secured and cured
Banking house Furniture and fixtures

unse

12. 010.13 &5,,,044175..1844

Due from banks and bankers this state

rn

34,158.10

Due from banks and bankers in
other states Currency
Gold Silver, nickels, etc Clearing house City warrants

32S.60 907.00 151.00 .125.54 351.31 991.27

LIABILITIES.

Capital stock paid in

$ 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1./29.74

Individual deposits subject to

check Savings deposits

123,904.51 7.181.1S

Time 'certificates

3^??-nl

Cashier's checks

,blW)i

Total

$226,680.02

Total

$226,686.02

CANON BANK, CANON.

Date of Charter, Nov. 5, 1905 R. H. BRYAN, President

Begun Business, Nov. 5, 1905. O. B. MENEES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$40,175.27

Bonds and stocks owned by the bank
Banking house Furniture and fixtures

,000.00 500.00 339.20

Due from banks this state

and

bankers

in 10,260.89

Due from banks and other states
Currency Gold Silver, nickels, etc

bankers

in

7,253.92 5,252.00
55.00
780.54

Cash items Liquidating account

400.00 2,000.00

Total

$72,010.82

LIABILITIES.

Capital stock paid in

$20, 000.00

Surplus fund

15, 000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 341.73

Individual deposits
check Time certificates Cashier's checks

subject

to 30 102.33 1. 407.27 165.49

Bills payable, including time certifi-

cates representing borrowed

money

5,000.00

Total

$72,016.82

BANK OF CANTON, CANTON.

Date of Charter, Nov. 17. 1892: Begun Business, Dec. 22, 1892. R. T. JONES, President; WM. GALT, Cashier.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Demand loans Time loans Overdrafts, secured Overdrafts, unsecured

5

20,640.94 238.576.38

2,802.72

2,590.33

Bonds and stocks owned by the

bank Banking house Furniture and fixtures

18,446.00 2.475.00 2,672.70

Due from banks this state

and

bankers

in 182,601.78

Due from banks other states

and

bankers

in 139.667.17

Currency Silver, nickels, etc Cash items Advances on cotton

2.291.00 373.96 682.84
12,802.94

Revenue stamps

.80.00

Total

$626,703.76

LIABILITIES.

Capital stock paid in

$100,000.00

Surplus fund and undivided profits,

less current expenses, interest

and taxes paid

53,524.35

Individual deposits subject to

check

389,615.56

Savings deposits

33,062.40

Time certificates

47,705.91

Cashier's checks

2,795.54

Total

$626,703.76

38

TREASURER'S KEPORT

BANK OF CHEROKEE, CANTON.

GUS COGGINS, President; N. A. THOMASON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

; 5 1,532.15

Time loans

.48,083.31

Overdrafts, unsecured

...... 1,022.72

Bonds and stocks owned by the

bank

3,000.00

Banking house

4,500.00

Furniture and fixtures

" 3,133.50

Due from banks and bankers in

this state

32.735.36

Due from banks and bankers in

other states Currency

3,621.79 5,981.00

Gold

...'..'.'.'.'.'.'.'.

yoo.oo

Silver, nickels, etc Cash items

.'.

797.52

72.97

Revenue stamps

\

100.00

LIABILITIES.

Capital stock paid in ..

|

Surplus fund

Undivided profits, less current ei-

15,000.00 5,000.00

penses, interest and taxes paid.. Individual deposits subject to

17.865.52

check Saving's deposits .......[ Demand certificates .. . Time certificates .. . Cashier's checks .. ,

162,693.01 2,685.61
5,000.00 20,413.12
426.06

Total

39,083.32

Total

423 ,'>81.32

CARLTON BANK, CARLTON.

Date of Charter, March, 1903- Begun Business, March, 1903 J. D. LONG, President; F. D. SMITH, Cashier.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 2,400.00

Time loans

84,848.03

Overdrafts, unsecured

...-..!!! 6,095.07

Bonds and stocks owned by the

bank

2,000.00

Banking house

2,405.19

Furniture and fixtures Other real estate

.' 2,734.51 8,702.02

Due from banks and banker's in

this state

60,11468

Due from banks and bankers in

other states Currency Gold Silver, nickels, etc Cash items

.'.'.'.'.'.'.'.'.'.'

58,699.52 4,374.00 1,000.00 29.56
23,912.25

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8,322 70

Individual deposits subject to

check

175,690.93

Time certificates

25,553.23

Cashiers checks

1,226.97

TtaI

$235,793.83

Total

236,79S.8S

PLANTERS BANK, CARLTON.

Date of Charter, March 11, 1912; Begun Business Dec 11 1911 L. H. EBERHARDT, President; J. M. '

STATEMENT OF CONDITION AT THE^CLOSE OF BTSINESS'DEC 15TH, 1917.

RESOURCES.

Demand loans

$15,940.00

Time loans

58,217.85

Overdrafts, unsecured

1,685 14

Bonds and stocks owned by the

,,ba,n,k Banking house

1,000.00 1700 00

Furniture and fixtures

l'sOOOO

Due from banks and bankers in

this state

35 157 73

Due from banks and bankers In

other states

16,951.28

Currency

3,545.00

Silver, nickels, etc

945 ^1

Clearing house

]][[ 2,654!61

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses interest and taxes paid.. 3,998.98 Individual deposits subject to

check

9 53S 23

Time certificates

30,'754.06

Cashier's checks

106 C5

Totals

39,397.32

Tota,s

$139,397 32

TREASURER'S REPORT

39

BANK OF FRANKLIN COUNTY, CARNESVILLE.

Date of Charter, March 12, 1906; Begun Business, March 22, 1906. DR. B. T. SMITH, President; L. F. LENHARDT, Cashier.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 3,75-1.85

Time loans

67,752.1'i

Overdrafts, secured, cotton and

mules

10,091.29

Overdrafts, unsecured

791.39

Bonds and stocks owned by the

bank

7,500.00

Banking house

800.00

Furniture and fixtures

1,194.90

Due from banks and bankers in

this state

70,267.51

Due from banks and bankers in

other states

19,519.75

Currency

21,900.00

Gold

185.00

Silver, nickels, etc

163.33

County warrants and cash items.. 10,603.00

Revenue stamps

11.50

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, Ies.s current ex-

penses, interest and taxes paid.. 8,623.63

Individual deposits subject to

check

140,671.44

Time certificates

15,957.51

Cashier's checks

4,545.11

Total

$194,797.69

Total

$194,797.69

CARROLLTON BANK, CARROLLTON.

Date of Charter, Dec. 26, 1890; Begun Business, Feb. 9, 1891. J. T. BRADLEY, President; H. N. SPENCE, Cashier.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$285,144.93

Bonds and stocks owned by the

bank

2,400.00

Furniture and fixtures

1,105.00

Due from banks and bankers in

this state

24,000.45

Due from banks and bankers in

other states

44,895.44

Currency

21,480.00

Gold

82.50

Silver, nickels, etc

2,377.74

Cash items

-.

3,988.84

Clearing house

9,300.98

Advances on cotton, warehouse re-

ceipts held by bank

101,093.00

One horse

.'

55.00

Customers' Liberty Bond account. 6,899.38

LIABILITIES.

Capital stock paid in

$100,000.0t>

Surplus fund

50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 41,234.03

Due unpaid dividends

220.00

Individual deposits subject to

check

247,137.55

Savings deposits

49,815.91

Demand certificates

3,591.18

Time certificates

6,674.53

Cashier's checks

4,150.07

Total

$502,823.27

Total

$502,823.27

1 CITIZENS BANK, CARROLLTON.

Date of Charter, Jan. 27, 1906; Begun Business, Feb. 8, 1906. A. K. SNEAD, President; LEWIS S. SIMS, Cashier.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$163,119.06

Liberty Bonds owned by the

bank

1,950.00

Furniture and fixtures

3,250.00

Real estate (cotton warehouse)... 10,000.00

Due from banks and bankers in

this state

19,563.20

Due from banks and bankers in

other states

74,913.75

Currency

5,179.00

Silver, nickels, etc

1,012.57

Cash items

1,453.74

Clearinghouse

2,486.61

Advances on cotton

36,744.29

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,448.63

Individual deposits subject to

check

181,729.79

Savings deposits

63,401.47

Cashier's checks .*

2,092.33

Total

$319,672.22

Total

$31^1,672.22

40

TREASURER'S REPORT

THE PEOPLES BANK, CARROLLTON.

Begun Business, Dec. 1, 1909. GBO. W. FLEMING, President; G. C. COOK, Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$166 979.10

Bonds and stocks owned by the

bank

500.00

Banking house Furniture and fixtures

5: 200.00 3 000.00

Other real estate

2 ,693.00

Due from banks and bankers .in

this state

8,640.70

Due from banks and bankers in

other states

54,438.79

Currency

7,726.00

Gold

537.50

Silver, nickels, etc

1,398.76

Clearing house

10,475.05

Advances on cotton

102,058.41

Adding machine

715.00

LIABILITIES.

Capital stock paid in

$ 60,000.00

Surplus fund

12,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,373.78

Individual deposits subject to

check

238,368.87

Savings deposits

17,866.79

Demand certificates

23,046.96

Cashier's checks

7,705.91

Total

$364,362.31

Total

$.154,362.31

BANK OF CARTERSVILLE, CARTERSVILLE.

Date of Charter, Sept. 11, 1895: Begun Business, Sept. 12, 1895. J. W. KNIGHT, President; C. M. MILAM, Cashier.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

Demand loans RESO URCES.

$ 5,517.23

Time loans

268,239.19

Overdrafts, unsecured

3,089.63

Bonds and stocks owned by the

bank

30,050.00

Banking house

3,760.42

Furniture and fixtures

7,657.33

Other real estate

8,130.00

Due from banks and bankers in

this state

25,970.17

Due from banks and bankers in

other states

36,392.68

Currency

13,717.00

Gold

87.50

Silver, nickels, etc

931.92

Cash items

3,473.79

Advances on cotton

42,690.09

LIABILITIES.

Capital stock paid in

$100,000.00

Surplus fund

23,250.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10,351.76

Due to banks and bankers in

this state

178.48

Due unpaid dividends

24.00

Individual deposits subject to

check

.'

233,696.98

Savings depostis

36,303.70

Time certificates

38,747.48

Certified checks

444.38

Cashier's checks

1,710.17

Bills payable, including time cer-

tificates representing borrowed

money

5,000.00

Total

$449,706.95

Total

$449,706.95

BANK OF CASSVILLE, CASSVILLE.

J. B. CRAWFORD, President; R. B. ROLLINS, Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc
Advances on cotton

$ 3,120.00 66,297.26 1,741.13 1,549.82
in 5,987.10
in 6,904.81 1,890.00 80.00 510.79
9,499.48

LIABILITIES.

Capital stock paid in

$15.000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 1,136.93

Individual deposits subject to

check

22,363.49

Demand certificates

40.000.00

Time certificates

18,743.39

Cashier's checks

286.07

Total

$97,529.88

Total

$97,529.88

TREASURER'S REPORT

41

BANK OF CAVE SPRING, CAVE SPRING.

Date of Charter, Oct. 25, 1905. W. O. CONNOR, President; J. F. HIGHT, Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Overdrafts, unsecured Bonds and stocks owned by the
bank Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states
Currency Gold Silver, nickels, etc Liberty Bond account Depositors' guarantee fund ...

73,567.28 4,0.52
3,000.00 1,775.70 2,809.21
50,309.83
2,041.62 2,500.00,
235.00 778.08 7,039.69 3,426.85

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 9,960.79

Individual deposits subject to

check

92,383.58

Demand certificates

3,000.00

Time certificates

26,597.19

Cashier's checks

582.22

Total

$147,523.78

Total

*147,523.78

PEOPLES BANK, CECIL. A. J. FOLSOM, President; R. G. LUKE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states
Currency Gold Silver, nickels, etc Cash items Other resources

$12,765.64 78.44
I,944.o0 1,395.25 2,888.00 in 4,164.56 in 1,005.80
3,382.00 120.00 147.01
1,246.83 3.75

Total

$29,141.78

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 632.57

Individual deposits subject to

check

11,046.41

Time certificates

2,127.72

Cashier's checks

335.08

Total

,141.78

BANK OF CEDARTOWN, CEDARTOWN.

Date of Charter, 1901; Begun Business, 1902. A. E. YOUNG, President; E. C. BENTON, Cashier.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES,

Demand loans

$ 8,363.77

Time loans

.261,442.74

Overdrafts, unsecured

6.729.79

TJ. S. Liberty Bonds

9,800.00

Banking house

7,386.02

Furniture and fixtures

6,314.65

Other real estate

288.00

Due from banks and bankers, in

this state

28,723.25

Due from banks and bankers in

other states

20,001.90

Currency

5,459.00

Gold Silver, nickels, etc

585.00 692.92

Cash Items

585.53

Clearing house

10,090.66

Advances on cotton

1,595.13

Total

$368,058.36

LIABILITIES.

Capital stock paid In

$ 50,000.00

Surplus fund

50,000.00

Undivided profits, less current ex-

penses, Interest and taxes paid.. 10,220.75

Due unpaid dividends

21.34

Individual deposits subject to

check

177,985.77

Savings deposits

7,182.93

Time certificates

68,512.44

Cashier's checks

4,135.13

Total

' .$368,058.36

42

TREASURER'S REPORT

COMMERCIAL BANK, CEDARTOWN.

Date of Charter, Oct. 16, 1889; Begun Business, Dec. 11, 1889. R. O. PITTS, President; C. D. HENDERSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 17, 500.00

Time loans

46.7, 923.42

Overdrafts, secured

3 814.68

Overdrafts, unsecured

4: 645.99

Liberty Bonds, bonds and stocks

owned by the bank

10,000.00

Banking house and furniture and

fixtures

15,500.00

Other real estate

275.00

Due from banks and bankers in

this state

115,990.70

Due from banks and bankers in

other states

199,040.71

Currency

10,845.00

Gold

660.00

Silver, nickels, etc

1,687.34

Cash items

11,834.76

Clearing house

2,662.11

Revenue stamps

70.00

LIABILITIES.

Capital stock paid in

$100,000.00

Surplus fund

100,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 74,760.22

Due to banks and bankers in

this state

15,890.58

Due unpaid dividends

336.00

Individual deposits subject to

check

473,189.82

Savings deposits

28,386.29

Demand certificates

66,875.27

Certified checks

87.96

Cashier's checks

2,923.59

Total

$862,449."3

Total

$862,449.73

FARMERS & MECHANICS BANK, CEDARTOWN.

Date of Charter, Sept. 20, 1907; Begun Business, Jan., 1908. R. H. JONES, President; A. H. VAN DEVANDER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Time loans Overdrafts, unsecured Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Revenue stamps

$53,464.50 1,942.17 2,745.88
in 8,813.12
in 11,927.73 1,741.00 145.00 153.73 168.77 5.00

LIABILITIES.

Capital stock paid in

$20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,538.79

Individual deposits subject to

check

40,878.97

Savings deposits

726.74

Time certificates

10,792.00

Cashier's checks

170.40

Bills payable, including time certifi-

cates representing borrowed

money

3,000.00

Total

$81,106.90

Total

$81,106.90

BANK OF CHAMBLEE, CHAMBLEE.

Date of Charter, Oct. 31, 1917; Begun Business, Oct. 31, 1917. S. H. ALLEN, President; .1. M. PILGRIM, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES

Demand loans

$5,460.00

Time loans

4,002.50

Bonds and stocks owned by the

bank

125.00

Furniutre and fixtures

300.00

Other real estate

3,750.00

Due from banks and bankers in this

state

19,774.09

Currency

386.00

Silver, nickels, etc

61.52

Cash items

205.85

Expenses

697.01

LIABILITIES

Capital stock paid in

$25,000.00

Undivided profits, less current ex-

penses, int. and taxes paid

111.96

Individual deposits, subject to check 9,325.01

Time certificates

325.00

Total

$34,761.97

Total'

$34,761.97

TREASURER'S EEPORT

43

FARMERS & MERCHANTS BANK, CHARING.

L. L. PURVIS, President; A. H. HENDRICKS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES

Time loans

$15,400.13

Overdrafts, unsecured

191.94

Banking house

1,335.82

Furniture and fixtures

2,165.91

Other real estate

848.76

Due from banks and bankers in this

state

15,533.15

Currency

2,228.00

Gold

15.00

Silver, nickels, etc

2.91

Cash items

25.00

Advances on cotton

6,141.65

LIABILITIES

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, int. and taxes paid

1,353.32

Individual deposits, subject to check 25,356.79

Time certificates

2,008.27

Cashier's checks

179.94

Total

$43,898.32

Total

$43,898.32

BANK OF CHATSWORTH, CHATSWORTH.

A. J. KEITH, President; HORACE DODD, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES

Demand loans

$ 6, 777.18

Time loans

138, 356.83

Overdrafts, unsecured

553.65

Bonds and stocks owned by the

bank

3, 200.00

Banking house

2, 343.24

Furniture and fixtures

701.04

Other real estate

055.00

Due from banks and bankers In

this state

1,858.42

Due from banks and bankers in

other states

403.25

Currency

3,865.00

Gold

490.00

Silver, nickels, etc

150.89

Cash items

253.48

Advances on cotton

11) 125.53

Wltham tire insurance fund

120.00

Depositors guarantee fund

,206.55

LIABILITIES

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, int. and taxes paid

3,091.35

Due to banks and bankers in this

state

500.00

Due to banks and bankers In other

states

403.25

Due unpaid dividends ,

32.00

Individual deposits, subject to

check

63,184.17

Demand certificates

4,000.00

Time certificates

69,699.40

Cashier's checks

953.14

Total

$183,460.06

Total

$183,460.06

COHUTTA BANKING CO., CHATSWORTH.

Date of Charter, July 17, 1905; Begun Business, Jan. 24, 1906. C. N. KING, President; T. W. BROOKS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES

Demand loans

$ 13,045.56

Time loans

72,151.80

Overdrafts, unsecured

770.40

Bonds and stocks owned by the

bank

1,758.32

Banking house

1,915.31

Furniture and fixtures

2,007.20

Other real estate

3,250.00

Due from banks and bankers in

this state

4,655.87

Due from banks and bankers in

other states '.

3,405.51

Currency

2,393.00

Gold

285.00

Silver, nickels, etc

78.57

Cash items

57.00

Advances on cotton

208.67

Total

$105,982.21

LIABILITIES

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, int. and taxes paid

4,678.63

Individual deposits, subject to

check

44,689.67

Time certificates

24,551.23

Certified checks

63.28

Notes and bills rediscounted

5,000.00

Bills payable, including time certi-

orates representing borrowed

monev

10,000.00

Total

$105,982.21

44

TREASURER'S REPORT

BANK OF CHAUNCEY, CHAUNCEY.

Date of Charter, Oct., 1905; Begun Business, Nov., 1905. J. J. CADWELL, President; M. WILLIAMS, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 17,111.01

Time loans

54,617.47

Overdrafts, secured

114,736.11

Overdrafts, unsecured Bonds and stocks owned by the

485.27

bank

6,500.00

Banking house

1,727.75

Furniture and fixtures

2,762.67

Other real estate

1,817.45

Due from banks and bankers in

this state

32,667.83

Due from banks and bankers in

other states

7,799.13

Currency

1,642.00

Gold

'

30.00

Silver, nickels, etc

187.46

Cash items

692.55

Advances on cotton

418.24

LIABILITIES

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, int. and taxes paid

8,676.01

Individual deposits, subject to

check

182.731.85

Time certificates

21,578.88

Cashier's checks

5,208.16

Total

$243,194.90

Total

$243,194.90

CHESTER BANKING CO., CHESTER.

D. A. BURCH, Presidents- E. E. EDWARDS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES

Demand loans Time loans Overdrafts, secured (by cotton) Overdrafts, unsecured Banking house Furniture and fixtures

Other real estate Due from hanks and
this state Currency Gold Silver, nickels, etc.

bankers

Cash items Advances on cotton

$34,002.95 17,826.01
.. 17,495.25 645.25
3,500.00 1,782.11
65.77 in
110,910.96
3,666.00 *75.00 131.38 211.04
73,001.43

LIABILITIES

Capital stock paid in

$ 22,800.00

Undivided profits, less current ex-

penses, int. and taxes paid

2,752.30

Individual deposits. subject to

check

222,966.45

Time certificates

12,501.92

Cashier's checks

5,350.40

Total

$266,371.07

Total

$266,371.07

BANK OF CH1CKAMAUGA, CHICKAMAUGA.

D. A. JEWELL, President; C. DUNAWAT, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 16TH, 191';

RESOURCES
Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
other states Currency Silver, nickels, etc Cash items U. S. Liberty bonds

$ 400.00 100,540.94 104.89 2,922.42 1,728.83
in 13,236.67 10,883.00 1,706.62 59.89 5.000.00

LIABTLTTTES

Capital stock paid in

$ 15.000.00

Undivided profits, less current ex-

penses, int. and taxes paid

7,159.97

Individual deposits, subject to

check

1?.nsi.iK

Savings deposits Time certificates Cashier's checks

31,862.35 2,324.07 3,530.92

Total

$196,583.26

Total

$196,583.26

TREASURER'S REPORT

45

BANK OF CHIPLEY, CHIPLEY.

TOM WISDOM, President; W. B. WISDOM, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 42,465.60

Time loans

64,658.52

Bonds and stocks owned by the

bank

10,166.64

Banking house

2,265.15

Furniture and fixtures

2,613.00

Other real estate

5,895.01

Due from banks and bankers in

this state

16,403.44

Due from banks and bankers in

other states

9,570.36

Currency

7,,,-0.00

Gold

62.50

Silver, nickels, etc

.'

3,155.48

Advances on cotton

15,951.30

Mutual Fire Ins

130.00

Depositors Ins. fund

3,253.85

Total

$184,080.85

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 6,297.02

Due unpaid dividends

233.00

Individual deposits subject to

check

'.

91,610.14

Savings deposits

8,217.91

Time certificates

36,299.65

Cashier's checks

1,423.13

Total

$184,080.85

FARMERS & MERCHANTS BANK, CHIPLEY.

Date of Charter, March 22, 1909; Begun Business, April 19, 1909. J. H. HOGAN, President; ROY ASKEW, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 21,747.69

Time loans

65,438.19

Overdrafts, secured, advance on

cotton

18,127.10

Overdrafts, unsecured

786.55

Banking house

2,548.81

Furniture and fixtures

6,001.61

Other real estate

4,638.86

Due from banks and bankers in

this state

39,876.23

Due from banks and bankers in

other states

24,171.60

Currency

8,283.00

Gold

107.50

Silver, nickels, etc

1.165.85

Clearing house

3S6.00

Total

$192,27 .^9

LIABILITIES.

Capital stock paid in

$ 46,000.00

Undivided profits, less current ex-

penses, interest and taxes paid. . 5,033.48

Individual deposits subject to

check

105,911.50

Savings deposits

2,"619.36

Time certificates

30,617.16

Cashier's checks

2.097.49

Total

$192,278.99

HABERSHAM BANK. CLARKESVILLE.

Hate of Charter, Mav 13, 1904; Begrun nusiness, 1903. .1. K. BURNS, President; F. M. REEVES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$1"- -9.10

Overdrafts, unsecured

231.60

Bonds and stocks owned by the

hank

5.098.00

Furniture and fixtures

2,208.26

Other real estate

1.082.v..

Due from banks and ^ankers in

this state

42,558.75

Due from hanks and bankers in

other states

7,129.96

Silver, nickels and cash items

4,197.54

7.TAP.TLTTTES.

Capital stock paid in

$ 25,000.nn

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,900.20

Individual denosits subject to

.

check

1^^.0(6.31

Time certificates

62.266.74

Certified checks

105.00

Cashier's checks

68/.56

Total

$213,0.- .81

Total

$213,035.81

46

TREASURER'S EEPORT

CLAXTON BANK, CLAXTON

Date of Charter, 1903; Begun Business, 1903 C. S. GRICE, President; E. BULLOCK, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$170,756.06

Time loans

187,295.87

Overdrafts, unsecured

608.27

Bonds and stocks owned by the

bank

100.00

Banking house

3,29258

Furniture and fixtures

2,321.33

Due from banks and bankers in

this state

150,399.59

Due from banks and bankers in

other states

6 S60 45

Currency

7,660.00

Silver, nickels, etc

873.07

Cash items

5,964.79

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 26,863.55

Individual deposits subject to

"heck

289,752.29

Time certificates

161,054.64

Cashier's checks

3i46l!o3

Total

$536,132.01

Total

$536,132.01

BANK OF CLAYTON, CLAYTON

J. C. DOVER, President; T. A. DUCKETT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans ..'.

$ l 200.00

Time loans

183,309.37

Overdrafts, unsecured

296.91

Bonds and stocks owned by the

bank
Banking house

4,500.00 2,250.00

Furniture and fixtures

2,000 00

Due from hanks and bankers in

this state

76,415.11

Due from banks and bankers in

other states

45 742 54

Currency

5',434ioo

Gold

1,007.50

Silver, nickels, etc

1,487 57

Cash items

498 87

Revenue stamp account

5^00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,443.04

Due unpaid dividends

24.00

Individual deposits subject to

check

162,686.19

Demand certificates

127,039.64

Cashier's checks

1,954.00

Total

$324,146.87

Total

$324,146.87

CLERMONT BANKING CO., CLERMONT

Date of Charter, June 13th, 1912; Begun Business, Feb. 3, 1913 J. M. HAYNES, President; J. G. HUNTER, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC 15TH 1917

RESOURCES.

Demand loans

$ 2,000 00

Time loans

36,833.05

Overdrafts, secured

10 080 00

Overdrafts, unsecured

1,001 48

Bonds and stocks owned bv the

,, ba,n.k

1,000.00

Banking house

146184

Furniture and fixtures

2.543 16

Due from banks and bankers in

this state

51,787.78

Due from banks and bankers in

other states

44 59

Currency

6,438.00

SGi.?lvMer, n;icke;ls, etc Cash items Fire Ins. fund

125 00

\\

25 80

239 80

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less curent ex-

penses, interest and taxes paid..

789.05

Individual deposits subject to

check

74.915.46

Time certificates

21,910.99

Tota'

$112,615.00

Total

$112,615.00

TREASURER'S EEPORT

47

FARMERS & MERCHANTS BANK, CLEVELAND

Date of Charter, Oct. 16th, 1913; Begun Business, Dec. 13th, 1913 H. A. JARRARD, President; A. G. MAXWELL, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency
Gold Silver, nickels, etc
Cash items Clearing house

$ 987.36 58,026.55 468.03 667.57 2,004.92 2,380.04
in 12,701.03
in 51.07
4,239.00
32.50 740.14
402.56 104.60

Total

$82,805.37

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,316.38

Individual deposits subject to

check

27,242.62

Time certificates

30,533.18

Cashier's checks

713.19

Bills payable, including time certifi-

cates representing borrowed

money

8,000.00

Total

.

$82,805.37

WHITE COUNTY BANK, CLEVELAND

Date of Charter, Sept. 22, 1909; Begun Business, Oct. 4, 1909 R. T. KENIMER, President; J. H. TILFORD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

Time loans

Overdrafts, unsecured

Banking house

Furniture and fixtures

Due from banks and bankers

this state

Due from banks and bankers

other states

Currency

Gold

Silver, nickels, etc

Cash items

Clearing house



Fire insurance fund

$ 1,213.15 90.915.69 442.83 3,836.05 1,400.85
in 33,399.50
in 8,944.92 6,722.00
70.00 199.52
1,204.69 2o5.36 120.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8,505.39

Individual deposits subject to

check

42,059.86

Time certificates

80,212.06

Cashier's checks

2,947.25

Total

$148,724.56

Total

$148,724.56

FARMERS BANK, CLIMAX

Date of Charter, Oct. 8, 1912; Begun Business, Oct. 15, 1912 P. H. TRULOCK, President; W. B. JOHNSON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, unsecured
Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency
Gold Silver, nickels, etc

$ 4,500.00 46,3^.-3 133.73
3,000.00 2,059.52 in 20,594.20 in 5,671.87 4,087.00
72.o0 992.49

LIABILITIES.

Capital stock paid in

$15,000.00

Surplus fund

4,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,343.70

Individual deposits subject to

check

46,658.20

Time certificates

18,394.77

Cashier's checks

1,071.a/

Total

$87,474.64

Total

$87,474.64

48

TREASURER'S EEPORT

FARMERS & MERCHANTS BANK, CLYO

Date of Charter, Jan. 28, 1914; Begun Business, Jan., 1914 W. T. GREEN, President; W. B. FUTRELL, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state
Due from banks and bankers other states
Currency Silver, nickels, etc Cash items Profit and loss

$29,i,,o.66 196.92
1,796.00 2,176.01 in 3,869.34
in 242 02 575.00 121.04 143.66
1,269.32

LIABILITIES. Capital stock paid in Due unpaid dividends Individual deposits subject
check lime certificates Cashier's checks

$15,000.00 10.00
to
17,830.37 7,461.52 '84.08

Total

$40,385.97

Total

.$40,385.97

BANK OF COBBTOWN, COBBTOWN

Date of Charter, Nov. 30, 1906; Begun Business, Nov. 30, 1906 E. DAUGHTRY, President; B. S. COLLINS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Time loans
Overdrafts, secured Overdrafts unsecured Bonds and stocks owned by
bank
Banking house Furniture and fixtures Due from banks and. bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc

$ 77,882.49 17,309.31 2,396.17
200.00 2,067.06 3,101.10
37,156.87 In
6,468.40 2,006.00
700.95

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 9,150.60

Individual deposits subject to

check

118,453.84

Time certificates

2,126.39

Cashier's checks

4^557.52

Total

$149,288.35

Total

$149,288.35

CITIZENS BANK, COCHRAN

J. A. FISHER, President; U. H. PATRICK, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans

$ 26,197 80 101,408.26

Overdrafts, unsecured

89.76

Bonds and stocks owned by the

bank Banking house

6.000.00 3,707.36

Furniture and fixtures

2,256.11

Other real estate

'56s 05

Due from banks and bankers in

this state

41,149.8]

Due from banks and bankers in

other states

88 205 7:!

Currency

9,476.00

g.'d , Silver, nickels, etc

1,455265.0101

Cash items

.*.

' 99 80

Clearing house

626.77

Advances on cotton, overdraft

137,697 17

Depositors' guarantee fund

2,906 85

Mutual Fire fund

,

120.00

LIABILITIES.

Capital stock paid in

$ 25.000.00

Surplus fund

5.000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 12,628.85

Individual deposits subject to

check

358,486.81

Time certificates

21,145.51

Cashier's checks

219 41

Ttal

$422,480.58

Total

$422,480.58

TREASURER'S EEPORT

49

COCHRAN BANKING COMPANY, COCHRAN

Date of Charter, March 9, 1899; Begun Business, March 9, 1899 J. P. PEACOCK, President; J. A .WALKER, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 32,479.04

Time loans

131,941.66

Overdrafts, secured

2,092.59

Overdrafts, unsecured

150.93

U. S. Liberty bonds

50,000.00

Bonds and stocks owned by the

bank

28,000.00

Banking house

7,650.00

Furniture and fixtures

1,687.24

Other real estate

5,135.07

Due from banks and bankers in

this state

139,485.59

Due from banks and bankers in

other states

122,679.99

Currency

11,810.00

Gold

547.50

Silver, nickels, etc

397.19

Cash items

735.51

Advances on cotton (overdrafts)... 100,605.79

Other resources

4,179.85

Revenue stamps

100.00

LIABILITIES.

Capital stock paid in

$ 75,000.00

Surplus fund

50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 25,763.26

Individual deposits subject to

check

442,710.06

Time certificates

44,945.48

Certified checks

103.22

Cashier's checks

1,156.93

Total

$639,678.95

Total

$639,678.95

BANK OF COLLEGE PARK, COLLEGE PARK

Date of Charter, Nov. 10, 1910; Begun Business, Nov. 10, 1910 J. H. LONGINO, President; G. F. LONGINO, Jr., Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 2,552.88

Time loans

65,655.69

Overdrafts, secured

310.59

Overdrafts, unsecured

1,436.49

Bonds and stocks owned b" the

bank

2,398.97

Banking house

10,783.42

Furniture and fixtures

1,773.56

Other real estate

3,136.08

Due from banks and bankers

this state

41,090.92

Due from banks and bankers

other states

2,102.64

Currency

1,685.00

Gold

155.0.

Silver, nickels, etc

393.74

Cash items

875.48

Advances on cotton

8,223.39

Revenue stamps

2.00

LIABILITIES.

Cepital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 6,620.99

Individual deposits subject to

check

97,306.47

Savings deposits

6,161.51

Time certificates

5,995.48

Cashier's checks

123.38

Unearned interest

I,368.u0

Total

$142,575.83

Total

$142,575.83

BANK OF COLLINS, COLLINS

Date of Charter, Oct. 14, 1905; Begun Business, Sept. 1, 1905 L. O. BENTON, President; J. L. MERCER, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

$ 57.130.08

Bonds and stocks owned by the

bank

17,000.00

Banking house

5,974.61

Furniture and fixtures

1,861.59

Due from banks and bankers in

this state

57,155.71

Due from banks and bankers in

other states

29,337.73

Currency

3,478.00

Silver, nickels, etc

526.11

Cash items

9.48

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

4,902.49

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,280.38

Individual deposits subject to

check

123,091.34

Time certificates

21,306.2a

Cashier's checks

4,892.95

Total

$172,4Vi.31

Total

$172,473.31

50

TREASURER'S BEPORT

COLQUITT EXCHANGE BANK, COLQUITT

Date of Charter, Peby. 21, 1917; Begun Business, June 1, 1917 S. M. WATSON, President; B. F. EAWLS, JR., Asst. Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

Banking house Furniture and fixtures Due from banks and
other states Currency Gold Silver, nickels, etc Cash items

bankers

$38,424.64
3,249.25 1,950.00 in
604.38 1,220.00
5.00 123.48 978.62

Total

$46,555.37

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 446.89

Due to banks and bankers in this

state

4,520.87

Individual deposits subject to

check

10,788.10

Savings deposits

730.80

Time certificates

1,111.33

Cashier's checks

3,957.38

Notes and bills rediscounted

10,000.00

Total

$46,565.37

COLUMBUS LOAN & BANKING CO., COLUMBUS

Date of Charter, May 29, 1914; Begun Business, June 1st, 1914 V. A. COX, President; T. A. WILLIAMS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 68 125.00

Time loans

104 ,886.14

Overdrafts, secured

6.90

Bonds and stocks owned by the

bank

:

l ,200.00

Furniture and fixtures

3, 536.70

Other real estate

343.15

Due from banks and bankers in

this state

8.3S4.03

Due from banks and bankers in

other states

4,335.14

Currency

8,114.00

Gold

95.00

Silver, nickels, etc

2,441.76

Cash items

237.60

Clearing house

2,334.73

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

2,332.59

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,959.87

Individual deposits subject to

check

63 ,446.49

Savings deposits

40 ,501.20

Demand certificates

800.00

Time certificates

10 000.00

Bills payable, including time cer-

tificates representing borrowed

money

30,000.00

Total

.$204,040.15

Total

$204,040.15

COLUMBUS SAVINGS BANK, COLUMBUS

Date of Charter, Dec. 24th, 1888; Begun Business, April, 1889 G. GUNBY JORDAN, President; H. B. CROWELL, Treasurer

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 213,678.00

Time loans

403,611.75

Bonds and stocks owned by the

bank

1.086.420.00

Other real estate Due from banks and bankers in
this state Due from banks and bankers in
other states

5,000.00 41,572.24
5,202.51

f%% Liberty Bonds 4% Liberty Bonds Accrued interest

50,'21000 27,454.00 10,111.66

LIABILITIES.

Capital stock paid in

$ 200,000.00

Surplus fund

115,000.00

Undivided profits, less current

expenses, interest and taxes

paid

41,568.99

Due unpaid dividends

43.00

Individual deposits subject to

check and savings deposits

1,254.599.60

Time certificates

177,048 57

Bills payable

55,000.00

Total

$1,843,260.16

Total

$1,843,260.16

TREASURER'S REPORT

51

HOME SAVINGS BANK, COLUMBUS

Date of Charter, Dec. 31, 1888; Begun Business April, 1903 RHODES BROWNE, President; WM. B. LANGDON, Treasurer

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans

S 87'4*TM4

Time loans

285,753.07

Bonds and stocks owned by the

bank

185,661.00

Furniture and fixtures

342'S2

Other real estate

18,950.00

Due from banks and bankers in

this state

21,406.39

Due from banks and bankers in

other states

6,615.11

Accrued interest

6,471.49

LIABILITIES.

Capital stock paid in

! 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 37,551.53

Savings deposits

521,400.67

Time certificates

4,846.00

Unearned interest

1,606.50

Total

$615,404.70

Total

$615,404.70

MERCHANTS & MECHANICS BANK, COLUMBUS

Date of Charter, 1871; Begun Business, 1872 O. C. BULLOCK, President; J. B. KEY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$206,073.29

Time loans

5-u,571.71

Overdrafts, unsecured

2,785.83

Bonds and stocks owned by the

bank

2,500.00

Due from banks and bankers in

this state

5,070.21

Due from banks and bankers in

other states

150,768.54

Currency

16,974.00

Gold

135-00

Silver, nickels, etc

229.93

Cash items

469.00

Clearing house

57,881.38

Advances on cotton

2,535.98

Due from subscribers Liberty

Loan Bonds

10,140.71

LIABILITIES.

Capital stock paid in

$125 000.00

Surplus fund

125 000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 26,505.69

Due to banks and bankers in this

state

5,518.78

Due to banks and bankers in oth-

er states

11,530.29

Individual deposits subject to

check

324, 942.86

Savings deposits

280 603.36

Demand certificates

36 517.00

Time certificates

23 364.30

Certified checks

8 153.30

Notes and bills rediscounted

30 000.00

Total

$997,135.58

Total

$997,135.58

MUSCOGEE BANK, COLUMBUS

Date of Charter, Dec, 1913; Begun Business. Jan.. 1914 J. M. MURRAH, President; JOHN K. HINDE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 73,012.49

Time loans

169,584.37

Overdrafts, unsecured

278.20

Bonds and stocks owned by the

bank

300.00

Furniture and fixtures

6,974.68

Due from banks and bankers in

this state

21,305.44

Due from banks and bankers in

other states

43.068.48

Currency

14,534.00

Gold Silver, nickels, etc

10.00 533.75

Cash items

3,685.43

Total

$333,286.84

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

12,500.00

Undivided profits, less current ex-

penses, interest and taxes paid. . 6,229,76

Due to banks and bankers in this

state

1,140.76

Individual deposits subject to

check

136,560.90

Savings deposits

104,379.61

Demand certificates

17,964.16

Time certificates

4,100.00

Certified checks

22.26

Cashier's cheeks

389.39

Total

$333,286.1

52

TREASURER'S REPORT

PHOENIX BANK, COLUMBUS

Date of Charter, 1905; Begun Business, 1905 R. P. SPENCER, President; J. W. MATTHEWS, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 35,525.09

Time loans

117,539.38

Bonds and stocks owned by the

bank

1,501.40

Furniture and fixtures

4,720.00

Other real estate

16,505.71

Due from banks and bankers in

this state

12,396.24

Due from banks and bankers in

other states

10,988.61

Currency

6,150.00

Gold

1,785.00

Silver, nickels, etc

1,233.29

Clearing house

6,387.03

Total

$214,820.75

LIABILITIES.

Capital stock paid in

$ 39,200.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,686.42

Due to banks and bankers in this

state

3,977.05

Due unpaid dividends

108.00

Individual deposits, subject to

check

77,258.63

Savings deposits

69,087.58

Time certificates

4,500.00

Certified checks

3.07

Bills payable, including time certi-

ficates representing borrowed

money

15,000.00

Total

$214,820.75

COMER BANK, COMER

Date of Charter, 1900; Begun Business, 1900 J. P. GHOLSTON, President; W. E. HENSEE, Cashier

RESOURCES.

Demand loans

i 17,700.00

Time loans

149,038.37

Bonds and stocks owned bv the

bank

2,700.00

Banking house

4,090.49"

Furniture and fixtures

3,775.00

Due from banks and bankers in

this state

78,645.95

Due from banks and bankers in

other states Currency Gold Silver, nickels, etc Cash items

....;.

24,213.60 7,271.00
243.50 1,145.46
889.77

Advances on cotton

41,606.78

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 16,498.99

Due unpaid dividends

4.00

Individual deposits, subject to

check

231,947.93

Savings deposits

6,346.18

Time certificates

43,299.03

Cashier's checks

6,770.08

Total

$334,866.21

Total

$334,866.21

PEOPLES BANK, COMER

Date of Charter, March 25, 1907; Begun Business, March 2, 1907 J. O. NORRIS, President; C. N. RIDGETVAY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 32,712.60

Time loans

42,492.20

Overdrafts, secured

282,01.61

Overdrafts, unsecured

1,357.48

Bonds and stocks owned by the

bank

500.00

Banking house

4,600.00

Furniture and fixtures

2,421.50

Due from banks and bankers in

this state

7,712.66

Due from banks and bankers In

other states

3,700.70

Currency

8,464.00

Gold

280.00

Silver, nickels, etc

439.07

Cash items

199.46

LIABILITIES.

Capital stock paid in

$ 25.000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 13.351.76

Due to banks and bankers in this

state

5,000.00

Due unpaid dividends

8.00

Individual deposits, subject to

check

73,635.16

Time certificates

15,561.85

Cashier's checks

'525^04

Total

$133,081.28

Total

$133,081.28

TREASURER'S KEPORT

53

NORTHEASTERN BANKING CO., COMMERCE

Date of Charter, 1892; Renewed 1912 L. G. HARDMAN, President; C. J. HOOD, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 19,967.74

Time loans

180,687.07

Overdrafts, secured

52,390.04

Overdrafts, unsecured

1,609.96

Bonds and stocks owned by the

bank

65,820.00

Banking house

5,000.00

Furniture and fixtures

3,000.00

Due from banks and bankers in

this state

260,450.43

Due from banks and bankers in

other states

68,421.37

Currency

9,404.00

Gold

2,855.00

Silver, nickels, etc. ...

1,028.68

Cash items

2,469.29

LIABILITIES.

Capital stock paid in

$100,000.00

Surplus fund

30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 11,472.81

Due unpaid dividends

20.00

Individual deposits, subject to

check

446.752.08

Time certificates

84,314.29

Certified checks

163.06

Cashier's checks

383.34

Total

$673,105.58

Total

$673,105.58

CONCORD BANKING CO., CONCORD

Date of Charter, Oct. 29, 1903; Begun Business, Nov. 18, 1903 C. T. SMITH, President; S. A. KING, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$12,940.82

Time loans

40.609.3:;

Overdrafts, unsecured

507.65

Bonds and stocks owned bv the

bank

28,450.00

Furniture and fixtures

2,000.00

Due from banks and bankers in

this state

120,661.03

Due from banks and bankers in

other states

18,296.28

Currency

5,602.00

Gold

5.00

Silver, nickels, etc

163.00

Cash items

174.23

Advances on cotton

8,223.47

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 24,890.40

Individual deposits, subject to

, check

174,170.17

Time certificates

9,998.93

Cashier's checks

3,573.32

Total

$237,632.82

Total

$237,u,,2.82

BANK OF CONYERS, CONYERS

Date of Charter, Nov. 1st, 1904; Begun Business. Dec. 19th, 1904 M. L. WOOD, President; E. P. McDANTEL, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 12,776.88

Time loans

159,073.20

Overdrafts, unsecured

290.46

Banking house, furniture and fix-

tures

4,750.00

Other real estate

1,037.30

Due from banks and bankers in

this state

82,724.31

Due from banks and bankers in

other states

22,292.42

Currency

6,769.00

Silver, nickels, etc

883.72

Advances on cotton

2,090.68

United States Treasurer certifi-

cates

25,000.00

LIABILITIES.

Capital stock paid In

$ 30,000.00

Surplus fund

35,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8,476.38

Individual deposits. subject to

check

172,047.65

Time certificates

68.779.3S

Other liabilities (itemized), re-

served for interest on time de-

posits

2,604.56

Reserved for taxes

780.00

Total

$317,687.97

Total

$317,687.97

54

TREASURER'S EEPORT

BANK OF ROCKDALE, CONYERS

Date of Charter, Oct., 15, 1891; Begun Business, June, 1901

-,_.,,m

c- B- HUDSON, President; C. E. REAGAN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH 1917

RESOURCES.

Demand loans

$ 8,367.20

Time loans

239,376.21

Overdrafts, unsecured

3,285.07

Banking house and furniture and

fixtures

5,000.00

Other real estate

900.00

Due from banks and bankers in

this state

97,531.68

Due from banks and bankers in

other states

76,839.08

Currency

15,286.00

Silver, nickels, etc

2,684.12

LIABILITIES.

Capita} stock Daid in

$ 50,000.00

Surplus fund

50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid. 14,275.00

Individual deposits, subject to

check

362,109.31

Time Certificates

50,690.39

Cashier's checks

768.15

Bills payable, including time cer-

tificates representing borrowed

money

4,000.00

Clearing house Cash items

9,569^62 4,986.50

Advances on cotton

40,916.37

Other resources (itemized), Liberty

Bonds

27,101.00

Total

$531,842.85

Total

$531,842.85

FARMERS & MERCHANTS BANK, COOLIDGE

^W nAT LTM ER m DAVm IS, ^P1 re8s'i^den1?';11B'-OYBeKgIuNn HBAusRinReIsSsO, NNovC.as2h0i,er1911

STATEMENT OF CONDITION AT THE CLOSE OF 'BUSINESSPDEC 15TH 1917

RESOURCES. Time loans Banking house
Furniture and fixtures Other real estate Due from banks and bankers
this state
Due from banks and bankers other states

$127,309.55 2,235.91
4,656.29 3,623.56 in 41,131.71
in 4,092.26

LIABILITIES.

Capital stock paid in

$ 22,800.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 9,737.25

Individual deposits subject to

m check

115,750.19

Time certificates

59 910 60

Cashier's checks

994 08

Currency

2,500.00

Silver, nickels, etc

397 40

Advances on cotton

23 245 44

Total

$209,192.12

Total

~. $209,192712

AMERICAN SAVINGS BANK, CORDELE

J. W .CANNON, President; E. A. VINSON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Due from banks and bankers
this state Currency

$ 1,600.97 38,680.93
In 17,992.07 150.00

LIA-^jJTIES.

Capital stock paid in

$25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,460.82

Savings deposits

29,983.19

Silver, nickels, etc

20.04

Total

.$ 58,444.01

Total

$ 58,444.01

CITIZENS BANK, CORDELE

Date of Charter, 1899; Begun Business, Sept., 1899

rS,TMT.Am TTM EM.,,ENT

x M- HUNT, President: J. F. HAMILTON, Cashier OF CONDITION AT THE CLOSE OF BUSINESS DEC

15TH, 1917

Time loans

RESOURCES.

$ 89,039.53

Overdrafts, unsecured

870 33

Bonds and stocks owned by the

bank

12,250.00

Furniture and fixtures

1,711.77

Other real estate

7,077 63

Due from banks and bankers in

this state

24,823.23

Due from banks and bankers in

other states

5,829 02

LIABILITIES,

Capital stock paid in

$ 25,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,071.73

Individual deposits subject to

check

132,839.94

Time certificates

23.109.03

Certified checks Cashier's checks

200.00 209.59

Currency

4,705.00

Gold ..........

280.00

Silver, nickels, etc

1,609 17

Cash items

2[217!ei

Advances on cotton

49,016^99

Total

7^1997430729

Total

..$199,430.29

TREASURER'S EEPORT

EXCHANGE BANK, CORDELE

Date of Charter, Nov. 29, 1905; Begun Business, Jan. 2, 1906 J. J. WILLIAMS, President; B. P. TISON, Cashier
STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$

Time loans

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

Advances on cotton

119,687.06 321,040.37
5,923.09
47,900.00 3,000.00 14,931.36
339,368.33
103,645.82 73,663.00 200.00 13,690.43 7,731.97
110,440.94

LIABILITIES.

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, interest and taxes

paid

Due to banks and bankers in

this state

Due unpaid dividends

Individual deposits subject to

check

Savings deposits

Demand certificates

Time certificates

Certified checks

Cashier's checks

100,000.00 40,000.00
27,575.77
27,400.76 12.00
681,669.46 25,392.13 35,000.00
214,962.17 1,198.85 8,011.23

Total

$1,161,222.37

Total

$1,161,222.37

CORNELIA BANK, CORNELIA

J. E. BARR, President; P. DUCKETT, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

! 5,867.01

Time loans

205,169.05

Overdrafts, unsecured

950.69

Bonds and stocks owned by the

bank

9,254.00

Banking house

4,000.00

Furniture and fixtures

3,072.43

Other real estate

2,770.00

Due from banks and bankers in

this state

16,526.00

Due from banks and bankers in

other states

3,807.82

Currency

6,853.00

Gold

350.00

Silver, nickels, etc

1,489.29

Cash items

213.21

Clearing house

386.70

Advances on cotton

13,987.95

Stamp account

.38

LIABILITIES.

Capital stock paid in

$ 40,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,513.63

Due unpaid dividends

16.00

Individual deposits subject to

check

96,754.28

Time certificates

121,971.05

Cashier's checks

442.57

Total

274,697.53

Total

$274,697.53

BANK OF COVINGTON, COVINGTON

S. P. THOMPSON, President; C. S. THOMPSON, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 26,290.00

Time loans

329,818.38

Overdrafts, secured

35,897.86

Overdrafts, unsecured

5,353.92

Bonds and stocks owned by the

bank

14,795.00

Furniture and fixtures

4,625.39

Other real estate

14,094.15

Due from banks and bankers in

this state

158,835.53

Due from banks and bankers in

other states

24,165.10

Currency

19,254.20

Gold

667.50

Silver, nickels, etc

257.80

Cash items

8.678.76

Profit and loss

175.00

Heating plant

375.77

LIABILITIES.

Capital stock paid In

$100,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 23,880.30

Due unpaid dividends

16.00

Individual deposits subject to

check

469,944.03

Savings deposits

8,242.93

Time certificates

41,200.90

Total

$643,284.16

Total

$643,284.16

56

TREASURER'S EEPORT

BANK OF NEWTON COUNTY, COVINGTON

Date of Charter, Jan. 17th, 1905; Begun Business, Feb. 1st, 1905 M. G. TURNER, President; J. TV'. HAREELL, Cashier
STATEMENT OP CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$10,329.11

Time loans

174,032.70

Overdrafts, secured

5,879.57

Overdrafts, unsecured

2,517.83

Bonds and stocks owned by the

bank, Liberty Bonds

1,650.00

Furniture and fixtures

3,718.25

Other real estate

15,099.72

Due from banks and bankers in

this state

203,946.73

Due from banks and bankers in

other states

77,335.07

Currency

16,409.00

Gold

700.00

Silver, nickels, etc

541.10

Cash items

3,957.23

Clearing house

5,150.06

Profit and loss

850.39

Other resources (cotton drafts in

transit)

17,547.16

LIABILITIES.

Capital stock paid in

$80,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 12,254.59

Due unpaid dividends

64.00

Individual deposits subject to

check

389,827.42

Savings deposits

8,314.02

Time certificates

47,785.55

Cashier's checks

1,418.34

Total

$539,663.92

Total

$539,663.92

BANK OF CRAWFORD, CRAWFORD

Date of Charter, 1905; Begun Business, 1905 JNO. P. HODDEN, President; W. W. BERRY, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, unsecured Subscription to Liberty Bonds Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state
Due from banks and bankers other states
Currency Gold Silver, nickels, etc
Cash items Interest account

$ 16,700.00 78,679.62 2,116.71 3,500.00 1,800.00 1,801.25 2,570.00
in 41,754.86
in 8,449.41 4,791.00 75.00 950.09
17.80 2,009.07

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,157.47

Individual deposits subject to

check

117,096.70

Time certificates

16,091.59

Cashier's checks

2,869.05

Total

$165,214.81

Total

$165,214.81

FARMERS BANK, CRAWFORD

Date of Charter, Sept. 9, 1911; Begun Business, Sept. 20, 1911 E. O. VEAL, President; H. T. O'NEAL, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans
Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc
Cash items Advances on cotton Interest paid

$ 10,144.71 51,679.39
2,099.11 1,544.84 2,200.00 1,600.00 in 29,186.23 in 10,041.38 8,827.00
2.50 598.68
226.50 46,929.86
1,047.52

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

3,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,672.95

Due unpaid dividends

157.85

Individual deposits subject to

check

122,866.06

Time certificates

22,078.73

Cashier's checks

1,352.13

Total

$166,127.72

Total

$166,127.72

TREASURER'S REPORT

57

BANK OF CRAWFORDVILLE, CRAWFORDVILLE

Date of Charter, Feb. 23, 18.99; Begun Business, October 1st, 1898 JOHN F. HOLDEN, President; M. F. GRIFFITH, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 1,320.00

Time loans

70,844.97

Overdrafts, unsecured

3,256.57

Bonds and stocks owned by the

bank

3,568.70

Furniture and fixtures

2,007.71

Other real estate

841.00

Due from banks and bankers in

this state

64,724.12

Due from banks and bankers in

other states

9,886.70

Currency ..,

4,273.00

Gold

50.00

Silver, nickels, etc

182.90

Cash short

6&.3a

Time certificates

50,000.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 16,448.80

Individual deposits subject to

check

105,707.72

Time certificates

34,972.01

Cashier's checks

46.95

Total

$212,175.48

Total

J212.175.48

BANK OF TALIAFERRO, CRAWFORDVILLE

Date of Charter, Nov. 18th, 1907 JNO. F. HOLDEN, President; C. A. GRIFFIN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 775.00

Time loans

54,989.21

Banking house

5,892.87

Furniture and fixtures

1,648.40

Other real estate

7,556.65

Due from banks and bankers in

this state

55,912.32

Due from banks and bankers in

other states

3,801.68

Currency

4,556.00

Gold

135.00

Silver, nickels, etc

449.58

Cash items

3,001.83

Revenue stamps

52.50

Time certificates (Citizens and

Savings Bank, Augusta, Ga.)... 50,000.00

LIABILITIES.

Capital stock paid in

$24,000.00

Surplus fund

16,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 9,981.27

Individual deposits subject to

check

90,312.24

Time certificates

47,390.18

Cashier's checks

1,137.35

Total

$188,821.04

Total

$188,821.04

BANK OF CULLODEN, CULLODEN

Date of Charter, Oct. 11th, 1897; Begun Business, Oct. 21, 1897 U. S. FULLER, President; E. T. WINN, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 29,584.48

Time loans

56,114.00

Overdrafts, secured

37,181.84

Overdrafts, unsecured

134.72

Bonds and stocks owned bv the

bank

10,200.00

Banking house

1,934.90

Furniture and fixtures

2,695.96

Other real estate

1,757.25

Due from banks and bankers In

this state

71,170.98

Currency

2,987.00

Silver, nickels, etc

932.36

Cash items

1,841.84

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,627.99

Due unpaid dividends

20.00

Individual deposits subject to

check

129,218.83

Time certificates

41,456.40

Cashier's checks

212.11

Total

$216,535.33

Total

$216,535.33

58

TREASURER'S REPORT

MERCHANTS & PLANTERS BANK, CULLODEN

Date of Charter, Dec. 2nd, 1904; Begun Business, Jan. 5th, 1905 J. O. HOLMES, President; F. P. SULLIVAN, Asst. Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, secured (cotton) Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states
Currency Silver, nickels, etc Cash items Suspense acct., short Insurance cotton

% 700.00 44,457.15 22,694.48 5,960.18 950.00 1,397.40
in 33,771.27
in 4,437.28 3,448.00 421.20 156.02 il7.76 952.90

LIABILITIES.

Capital stock paid in

$15,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paiu.. 4,358.89

Individual deposits subject to

check Time certificates Cashier's checks

So'nijoiji 23,928.2
724.23

Total

:?l"l9,463.64

Total

,

1119.488.64

BANK OF CUMMING, CUMMING

Date of Charter, 1904; Begun Business, Oct. 19, 1904 J. H. HOCKENHULL, President; S. H. ALLEN, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states
Currency Gold Silver, nickels, etc Cash items Advances on cotton

$ 4,080.00 118,18b.39 974.40 6,500.00 2,095.09 2,575.00
In 19,053.07
in 541.52
6,971.00 435.00 646.05
1,327.03 31,603.00

LIABILITIES.

Capital stock paid in Surplus fund

% 25,000.00 15,000.00

Undivided profits, less current expenses, interest and taxes paid.. 1,068.48

Individual deposits subject to

check Time certificates

88,809.50 55,109.57

Bills payable, including time cer-

tificates representing borrowed

money

10,000.00

Total

*194,987

Total

$194,987.55

FA'RMERS & MERCHANTS BANK. CUMMING

Date of Charter, Nov. 16th, 1908; Begun Business, Nov. 16th, 1908 J. A. OTWELL, President: R. E. HOPE, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans
Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency
Gold Silver, nickels, etc Cash items Advances on cotton Revenue stamps

$ 6,500.00 140,347.60
1,398.20 1,014.85 6,500.00 2,347.26 2,632.63 In 14,185.99 in 2,592.99 2,435.00
5.00 315.75 1.365.59 12,534.87
68.76

LIABILITIES. Capital stock paid in Surplus fund Individual deposits' subject
check Time certificates

$25,000.00 8,830.43
to
66,254.49 94,150.57

Total

$194,235.49

Total

$194,235.49

TREASURER'S BEPORT

59

BANK OF CUSSETA, CUSSETA

Date of Charter, 1907; Begun Business, June, 1907 O. C. STEPHENS, President; W. A. GAYLER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 1,037.00

Time loans

40,611.02

Bonds and stocks owned by the

bank

5,200.00

Banking house

2,357.59

Furniture and fixtures

1,471.39

Due from banks and bankers in

this state

10,453.46

Due from banks and bankers in

other states

13,810.65

Currency

2,940.00

Gold

107.50

Silver, nickels, etc

4X3.02

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,825.94

Individual deposits subject to

check

32,620.77

Savings deposits

26,575.13

Time certificates

1,384.19

Cashier's checks

.*

65.60

Total

$ 78,471.63

Total

$ 78,471.63

BANK OF CUTHBERT, CUTHBERT

Date of Charter, Sept. 27, 1887; Begun Business, Nov. 1st, 1890 D. B. TEABEAUT, President; E. C. TEED, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

LIABILITIES.

Demand loans Time loans Overdrafts, secured

$ 28,000.00 143,301.55 10,229.26

Capital stock paid in

$50,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

Overdrafts, unsecured

10,015.&*

penses, interest and taxes paid.. 4,482.32

Bonds and stocks owned by the

Due to banks and bankers in this

bank Banking house Furniture and fixtures Other real estate

15,709.60 4,769.00 4,300.00 3,135.52

state Individual deposits
check Time certificates

subject

1,680.64 to
229,280.46 3,051.50

Due from banks and bankers in

Cashier's checks

1,184.96

this state

35,496.38

Due from banks and bankers In

other states

Currency

Gold

Silver, nickels, etc

".

Cash Items

Advances on cotton

Total

$304,679.88

Total

$304,679.88

GEORGIA BANK & TRUST CO., CUTHBERT

Date of Charter, Jany. 1st, 1917; Begun Business, Jany. 2nd, 1917 F. H. DAVIS, President; P. M. REID, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

t 8,347.49

Time loans Overdrafts, unsecured

97,414.82 3,373.56

Bonds and stocks owned by the

bank

73,442.29

Banking house Furniture and fixtures

2,850.50 2,408.50

Other real estate

3,000.00

Due from banks and bankers in

this state

24,348.72

Due from banks and bankers in

other states

1,72H2

Currency Silver, nickels, etc

"S2o"2, 1,358.64

Cash items Advances on cotton Advances on peanuts

^'^IAI
64,80b.48 W'j-TM

Bills of exchange

8,026.30

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,704.57

Due to banks and bankers in oth-

er states

32.87

Due unpaid dividends

12.00

Individual deposits subject to

check

220,202.95

Time certificates

39,754.87

Cashier's checks

1,390.35

Bills payable, including time cer-

tificates representing borrowed

money

20,000.00

Total

$311,097.61

Total

$311,097.61

60

TREASURER'S EEPORT

DACULA BANKING CO., DACULA

Date of Charter, 1909; Begun Business, Sept. 27, 1909 A. M. WILSON, President; JNO. G. HOOD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 12,500.00

Time loans

40,966.41

Overdrafts, unsecured

1,410.63

Bonds and stocks owned ~y the

bank

2,500.00

Banking house

1,500.00

Furniture and fixtures

1,418.26

Due from banks and bankers in

this state

68,940.09

Due from banks and bankers in

other states

21,29,,.98

Currency

4,387.00

Gold

90.00

Silver, nickels, etc

162.58

Cash items

5,203.58

Advances on cotton

17,719.71

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paiu.. 5,321.79

Individual deposits subject to

check

137,6,6.15

Time certificates

4,59o.98

Cashier's checks

497.32

Total

$178,092.24

Total

$178,092.24

BANK OF DAHLONEGA, DAHLONEGA

J. F, PRUETT, President; T. F. JACKSON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and
this state Due from banks and
other states Currency Gold Silver, nickels, etc

bankers bankers

$3,328.00 22,320.87 10.25 2,100.00 1,259.05 1,149.36
in 24,884.47
in 1,760.72 5,575.00 600.00 432.80

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. -851.82

Individual deposits subject to

check

36,000.77

Time certificates Cashier's checks

9,523.11 44.82

Total

,

$61,420.52

Total

$61,420.52

BANK OF LU MPKIN COUNTY, DAHLONEGA

R. C. MEADERS President; A. B. KEITH, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans Furniture and fixtures Other real estate Due from banks and
this state Due from banks and
other states Currency

bankers bankers

Gold Silver, nickels, etc

$ G?'-TMTM 1,790.00 1,525.00
in 8o,o9o9o2.6c9o in
698.46 8,963.00
475.00 490.34

LIABILITIES.

CaP^1 stock paid in

$ 15,000.00

Surplus fund

3 000 00

Undivided profits, less current ex-

T p,?n.s.?s' interest and taxes paid.. 1,172.95 Individual deposits, subject to

check

28 425 73

Time certificates Cashier's checks

^'BO?'^
14420 44J0



Total

$ 81,435.23

Total

$ 81,435.23

TREASURER'S REPORT

61

BANK OF DALLAS, DALLAS

R. D. LEONARD, President; A. M. KENDALL, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

5 30,596.56

Time loans

90,325.92

Overdrafts, secured by cotton

13,798.68

Overdrafts, unsecured

5,010.02

Bonds and stocks owned by the

bank

8,700.00

Banking house

2,278.30

Furniture and fixtures

3,215.00

Due from banks and bankers in

this state

77,578.22

Due from banks and bankers in

other states

27,354.93

Cash items

11,335.00

Other resources (itemized), due by

Paulding County

2,000.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,811.83

Due unpaid dividends

12.00

Individual deposits, subject to

check

108,606.96

Savings deposits

87,516.75

Time certificates

30,608.51

Cashier's checks

2,592.62

Other liabilities (itemized), long

and short

43.96

Total

$272,192.63

Total

$272,192.63

COMMERCIAL SAVINGS BANK, DALLAS

Date of Charter, 1907; Begun Business, 1907 R. B. "WALKER, President; H. L. TURNER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 3,607.10

Time loans

52,513.41

Overdrafts, unsecured

132.03

Bonds and stocks owned by the

bank

59,007.32

Banking house

6,429.75

Furniture and fixtures

2,315.26

Other real estate

12,008.44

Due from banks and bankers in

this state

2,389.04

Due from banks and bankers in

other states

5,870.61

Silver, nickels, etc

5,758.19

Advances on cotton

17,391.03

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 2,121.29

Due to banks and bankers in this

state

8,000.00

Due to banks and bankers in other

states

12,500.00

'Individual deposits, subject to

check

30,666.54

Savings deposits

44,344.60

Demand certificates

23,000.00

Time certificates

17,988.17

Certified checks

36.23

Cashier's checks

3,765.35

Total

$167,422.18

Total

$167,422.18

BANK OF DALTON, DALTON

Date of Charter, Nov. 26, 1911; Begun Business, Oct. 13, 1912 W. C. FINCHER, President; BUELL STARK, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 5,985.00

Time loans

68.006.52

Overdrafts, secured

2,003.63

Overdrafts, unsecured . nv*

410.02

Banking house

16,774.72

Furniture and fixtures

4,918.49

Due from banks and bankers in

this state

10,393.40

Due from banks and bankers in

other states

3,751.95

Currency

15,215.00

Gold

952.50

Silver, nickels, etc

361.20

Advances on cotton

26,241.47

Revenue Stamps

10.00

LIABILITIES.

Capital stock paid in

$ 40,600 00

Undivided profits, less current ex-

penses, interest and taxes paid... 4,115.07

Due unpaid dividends

25 00

Individual deposits, subject to

,,,cneck

'.

97,456.47

Time certificates

12,821.28

Cashier's checks

' g]o8

Total

$155,023.90

Total

$155,023.90



62

TREASURER'S EEPORT

BANK OF KESTLER, DAMASCUS

Date of Charter, Nov. 3rd, 1905; Begun Business at Once J. A. HIGHTOWER, President; CHAS. L. TABB, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans Overdrafts, secured

$ 70,213.56 384.11

Overdrafts, unsecured Banking house

58.50 6,510.44

Furniture and fixtures Other real estate

1,653.30 1,922.52

Due from banks and bankers in

this state

57,496.42

Due from banks and bankers in

other states Currency

5,852.25 9,439.00

Gold Silver, nickels, etc

15.00 363.28

Uncollected checks

11,532.93

LIABILITIES.

Capital stock paid in

$ 20,850.00

Surplus fund

1,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,722.19

Individual deposits, subject to

check

116,386.90

Savings deposits Cashier's checks

21,183.64 2,298.58

Total

J165.441.31

Total

$165,441.31

BANK OF DANIELSV1 LLE, DAN1ELSVILLE

Date of Charter, Dec. 11, 1907; Begun Business, Jan. 15, 1908 J. F. HOLDEN, President; R. C. GRIFFITH, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.
Demand loans Time loans Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states

$ 60,000.00 33,224.47 2,375.28 1,365.25
in 65,362.25
in 12,931.86

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,380.83

Due to banks and bankers in

this state

3,688.65

Individual deposits, subject to

check

130,718.33

Time certificates

12,192.22

Cashier's checks

2,143.99

Total

$179,124.02

Total

$179,124.0

BANK OF DANVILLE, DANVILLE

Date of Charter, Aug. 19. 1905; Begun Business. Oct. 1st 1905 H. L. D. HUGHES, President; C. R. FAULK, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 31,184.68

Time loans

34,683.89

Overdrafts, secured by cotton

32,953.05

Overdrafts, unsecured

1,046.31

Bonds and stocks owned by me

bank

15,u00.00

Banking house.

1,000.00

Furniture and fixtures

1,000.00

Due from banks and bankers in

this state Due from banks and bankers in
other states Currency Silver, nickels, etc Cash Items Advances on cotton

79,231.03
30,517.45 3,264.00
98.80 401.65 45,478.39

LIABILITIES.

Capital stock paid in

$ 15 000 00

Undivided profits, less current ex-

penses, interest and taxes paid.. 17,315.71

Due unpaid dividends

60 00

Individual deposit, subject to

check .

213,154.73

Time certificates

30,828.81

Total

$276,359.25

Total

$276,359.25

TREASURER'S REPORT

63

DAR1EN BANK, DARIEN

Date of Charter, Deo., 1888; Begun Business, Jan., 1889 J. G. FORBES, Vice-President; J. A. SPACE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 14,230.87

Time loans

171,253.42

Overdrafts, unsecured

392.28

Bonds and stocks owned by the

bank (U. S.)

5,616.00

Banking house

2,000.00

Furniture and fixtures

900.00

Other real estate

1,898.18

Due from banks and bankers in

this state

,

4,568.16

Due from banks and bankers in

other states

140.15

Currency

4,137.00

Gold

45.00

Silver, nickels, etc

492.67

Cash items

1,874.16

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex

penses, interest and taxes paid.. 14,795.14

Due to banks and bankers in

this state

2,086.95

Individual deposits, subject to

check Savings deposits

50,023.64 78,296.14

Demand certificates

1,840.00

Time certificates

18,208.59

Cashier's checks

5,065.11

Notes and bills rediscounted

7,232.26

Bills payable, including time certi-

ficates representing borrowed

money

5,000.00

Total

$207,547.83

Total

$207,547.83

MERCHANTS & FARMERS BANK, DAV1SBORO

Date of Charter, 1905; Begun Business, 1905 W. C. WILSON, President; S. J. TAYLOR, JR., Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 12,450.00

Time loans

40,583.52

Overdrafts, secured

2,642.34

Bonds and stocks owned by the

bank

2,100.00

Banking house Furniture and fixtures

?'SS2"92 1,236.4b

Due from banks and bankers in

this state

119,421.11

Due from banks and bankers in

other states

23,766.71

Currency

HIX

Gold Silver, nickels, etc

320.00 (96.63

Cash items and clearing house

4,642.48

Advances on cotton

31,985.91

Other resources (itemized), Liberty

Bonds

'

5'7^'?2

Interest accrued

20.73

Totai

$250,633.89

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10,539.28

Individual deposits, subject to

check

183,006.77

Time deposits

30,707.34

Cashier's checks

1,380.50

Total

$250,633.8

PLANTERS STATE BANK, DAV1SBORO

Date of Charter, Oct. 7th, 1911; Begun Business, Oct. 9th, 1911 ' J. W. ALDRED, President; J. E. DANIEL, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans Banking house Furniture and fixtures

S 22,124.75



2'5D,,V 2,554.11

Due from banks and bankers in

this state

32,242.26

Due from banks and bankers in

other states

20,221.33

Currency Silver, nickels, etc

6'H?-2" 1,221.32

Cash items Advances on cotton

-HsfoS 68,4b7.x

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

4,505.14

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,220.85

Individual deposits, subject to

check

130,371.57

Time certificates

2,998.13

Cashier's checks

2,629.52

Tota,

$159,725.21

Total

$159,725.21

64

TREASURER'S EEPORT

BANK OF DAWSON, DAWSON

Date^0f haTMe.r' June 29th- 19n< Begun Business, July 1st 1911 M. C. EDWARDS, President; C. D. COCKE .Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

^

RESOURCES.

Demand loans Time loans

$ 21,966.70 174,241.81

Overdrafts, secured

"

34,521.07

Overdrafts, unsecured

2,874.42

Bonds and stocks owned by the

bank

10,000.00

Due from banks and banker's" in

this state

81,035.68

Due from banks and bankers in

other states Currency Gold Silver, nickels, etc Cash items

.....;

58,526.24 9,533.00 102.50 1,197.90 9,404.34

LIABILITIES.

Capital stock paid in ....

$100,000.00

Surplus fund

...; 18,000.00

Undivided profits, less current ex

penses, interest and taxes paid.. 8,726.00 Due to banks and bankers in this

state

65,981.13

Individual deposits, subject" to

check

172,266.50

Demand certificates Time certificates

.".".'"

578.00

37,429.69

Cashier's checks

.'

422.34

T0U1

$403,403.66

Total

$403,403.66

FIRST STATE BANK, DAWSON

Date of Charter, 1887; Begun Business, 1887 J. M. BELL, President; E. J. PACE, Cashier

.STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans

$ 10,144.95 131,51^.87

Overdrafts, secured Overdrafts, unsecured

..

17,713.36

.".'.' 5,552.48

Bonds and stocks owned by trie

bank

28,750.00

Banking house

20,000.00

Furniture and fixtures Other real estate

8,200.00 94,350.00

Due from banks and bankers" in

this state

144.81

Due from banks and bankers iri

other states Currency
Gold Silver, nickels, etc Cash items

.".".";.";.'." .!!'.!

12,340.15 6,324.00 30.00 867,60 6,841.40

LIABILITIES.

Capital stock paid in Surplus fund

$ ,.

50,000.00 50,000.00

Undivided profits, less current' ex-

penses, interest and taxes paid..

Due to banks and bankers in this state

Individual deposits,'' subject'' 'to check

Demand certificates ..........'.

Time certificates

.".'.".'.'

Due to clearing house

Notes and bills rediscounted....'.'.'.

Bills payable, including time certi-

99,213.32
753.73
70,409.18 20,316.20 15,700.00
136.24 5,400.00

ficates representing borrowed

money

11350 00

Other liabilities (itemized)

19*500 00

Ttal

$342,778.67

Total

$342,778.67

FARMERS & CITIZENS BANK, DAWSONVILLE

DatHHOoYVT?m BRT ANTMNOTMN,9?P'resX?idi1e:ntB ; egMUOnTB TusBlnReAssN, NJOanNu, arCyas1hsite, r 1912

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH 1917

RESOURCES.

Time loans

$ 85,003.45

Overdrafts, secured

1,104.91

Overdrafts, unsecured

" "

999.32

Bonds and stocks owned by the

_bank

1,500.00

.Banking house

1400 00

Furniture and fixtures

l'300'oo

Other real estate

900 00

Due from banks and bankers in

this state ..

3,989.23

Due from banks and bankers in

other states

4 QQI 22

_, .

LIABILITIES.

Capital stock paid in

J 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1142 91

Individual deposits, subject to

check

41797 21

pLiamshi^e?rsrticfLhCeactk,eSs

;639234:5396

Bills payable, including time "certificates representing borrowed

money

2,500.00

Currency "Old Silver, nickels, etc Cash items

...'.'.'.'.'.

2;62:00 437 gjj 118;60
j 523 12

Advances on cotton

2 320 02

Ttal

$107,459.07

Total

$107,459.07

mm

TREASURER'S EEPORT

65

BANK OF DEARING, DEAR1NG

Date of Charter, April, 1911; Begun Business, June 15, 1911 S. M. McNAIR, President; FRED J. HOWARD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans Overdrafts, unsecured Banking house

? 21,407.52 820.07
1,622.43

Furniture and fixtures

1,951.10

Due from banks and bankers in

this state

30,; i.64

Due from banks and oankers in

other states

22,451.43

Currency Gold Silver, nickels, etc

3,585.00 160.00 442.52

Other resources (itemized), col-

lection account

60:13

Total

$ 83,399.84

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,083.71

Individual deposits, subject to

check

57,359.28

Time certificates

7,756.85

Cashier's checks

200.00

Total

$83,399.84

BANK OF DECATUR, DECATUR

Date of Charter, Sept. 3, 1906; Begun Business, Nov. 12 1906 W. E. McCALLA, President; A. R. ALMON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans Overdrafts, unsecured

i 46,221.50 367,606.94 731.28

Bonds and stocks owned by the

bank Banking house Furniture and fixtures Other real estate

14,706.71 3,500.00 3,100.00 3,800.00

Due frorn banks and bankers in

this state

65,919.66

Due from banks and bankers In

other states Currency
Gold Silver, nickels, etc Cash items Clearing house

16,219.65

'-

14,016.00 197.50

1,507.13

62.81

6,076.91

Total

$543,666.1

LIABILITIES.

Capital stock paid in Surplus fund

25,000.00 25,000.00

Undivided profits, less current ex

penses, interest and taxes paid. 31,381.12

Due unpaid dividends

38.50

Individual deposits,
check Savings deposits Time certificates Cashier's checks

subject

to 302,788.16 128,180.86 26,724.34 4,553.11

Total

$543,666.09

DEKALB COUNTY BANK, DECATUR

J. O. NORRIS, President; C. H. BLOUNT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.
Time loans Overdrafts, secured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency
Gold .1 Silver, nickels, etc
Cash items

$140,471.23 153.41
2,600.00 3,000.00 l,72u.0U in 30,303.45 in 8,109.35 6,872.00
205.00 567.5b
l,5i<s.06

Total

$195,580.00

LIABILITIES.

Capital stock paid in

25,uu0.00

Surplus fund

12,500.00

Undivided profits, less current ex

penses, interest and taxes paid

8,651.86

Individual deposits, subject to

check

129,546.74

Time certificates

18,916.06

Cashier's checks

965.34

Total

$195,580.00

66

TREASURER'S BEPORT

BANK OF DEVEREAUX, DEVEREAUX

-r,,

,, Date of Charter, May 11, 1911: Begun Business TuW m ion

W. A. BASS AND J. M. COURSON, Vice-Prelwents; WALTON SMITH, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. MTH, 1917

RESOURCE^.

Time loans

$ 10,80D.75

Overdralts, secured

2,347 43

Bonds and stocks owned by the

,,bai?

1,700.00

Furniture and fixtures

2,175 88

Due from banks and bankers in

this state

48,668.84

Currency ........

5,612.00

Sliver, nickels, etc

1 517 22

Cash items

&3sb

Profit and loss

19S.10

LIABILITIES. Capital stock paid in Individual deposits, subject ,,DcemheacnkdJ certificates Certified checks

v 15,000.00 to
45,851.38 12 619 69
' 88^00

Total

Total

$ 73,559.07

DEXTER BANKING CO., DEXTER

Date of Charter Jan. 18, 1904; Begun Business. Feb. 20, 1904 R. C. HOGAN, President; H. T. MUM), Cashier

STATEMENT OF CONDITIONX AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

_,

RESOURCES.

Demand loans Time loans

$ 7,840.62 27,831.73

Overdrafts, secured

'.'.'.'.'..

19,698.05

Overdrafts, unsecured Banking house Furniture and fixtures

'.'.'.'.'

1,045.39 1,964.62 4,127.92

Due from banks and bankers 1:

this state

82,886.67

Due from banks and bankers"iii

other states

Currency

Gold

...'.'.'.'.'.'.'.'

Silver, nickels, etc

'.'..'.'.

Cash items

4,158.83 7,845.00
150.00 387.42 842.38

Advances on cotton

43,679.47

_ ,,,

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2 767 09

Individual deposits, subject to ' '

check

154 494 79

Time certificates

l9'non'i7

Cashier's checks

896 05

Other liabilities (itemized), re-

served for taxes

300.00

Total

1202,458.10

Total

$202,458.10

BANK OF DOERUN, DOERUN

Date L. O.

of Charter, BENTON.,

1902; Begun President:; W.

BMus. inRSeTMsVsTI,TTTHMTI,ay"'A,ca1s9h0i2er

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

T'me, loans

$121,780.11

Overdrafts, secured

28 613 4".

Overdrafts, unsecured

' l'04947

Bonds and stocks owned by the

bank

7.500.00

Banking house and real estate

4 500 00

Furniture and fixtures

2 000 00

Due from banks and bankers in

this state

29 936 77

2TM<* :::::: tilut Due from banks and bankers" iii

other states

R >><> nn

Slvcel r ni;c,kels , etc

11,.013135..5060

_, .

LIABILITIES.

Capital stock paid in

$40 000 00

Undivided profits, less current ex-

penses, interest and taxes paid.. Due unpaid dividends

Individual deposits, subject 'tocheck

Time certificates

...'.'..../"

Cashier's checks

."."."'

Bills payable, including time certl-

8,910.73 8.00
95,813.21 39,829.06
859.65

ficates representing borrowed

money

30,000.00

Cash items

119 40

Clearing house

]\[[ 2,469^80

Total

$215,420.65

Tota'

$215,420.65

TREASURER'S EEPORT

67

FARMERS BANK, DOERUN

Date of Charter, Nov. 13, 1909; Begun Business, Nov. 9, 1909 W. B. JONES, President; R. L. FREE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.
Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Clearing house Advances on cotton

$

15,000.00 133,743.23

9,712.27

538.14

2,311.00

2,856.91

in 31,176.29

in 14,341.72

9,400.00
437.50 986.65 1,042.00 4,700.36

28,227.54

LIABILITIES.

Capital stock paid in

* 16,400.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 14,630.07

Due unpaid dividends

56.00

Individual deposits, subject to

check

186,247.93

Time certificates

3!'274-J?

Cashier's checks

2,865.21

Total

$254,473. 61

rotal

$254,473.61

BANK OF DONALSONVILLE, DON ALSON VILLE

T.

J.

Date of SHINGLER,

Charter, 1903; President; W.

Begun Business, 1903 H. VANLANDINGHAM,

Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans Overdrafts, secured Overdrafts, unsecured

! $

44,302.00 365,853.16

6,857.10

2,617.37

Bonds and stocks owned
bank Banking house Furniture and fixtures Other real estate

by the

19,320.00 5,710.49 5,190.65 7,015.36

Due from banks and bankers in

this state

25,074.80

Due from banks and bankers in

other states

Currency

Gold Silver, nickels, etc

Cash items



43,189.43 6,676.00 1,205.00 2,263.36 271.46

Other resources (itemized), ad-

vances on peanuts, corn and velvet beans

21,045.14

Total

$556,589.:

LIABILITIES.

Capital stock paid in Surplus fund

$10j>: <>

000.00 000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. AS 149.51

Due unpaid dividends



436.00

Individual deposits, subject
check Time certificates Cashier's checks Notes and bills rediscounted

to

2b'

,994.56 811.97 197.28

21 000.00

Bills payable, including time certi-

ficates representing borrowed

money

15,000.00

Total

$556,589.32

PLANTERS BANK, DONALSONVILLE

P. S. SPOONER, President; J. L. HARALSON,, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans Overdrafts, unsecured Banking house Furniture and fixtures

;$ 68,383.30 140.30
3,797.05 1,816.69

Due from banks and bankers in

this state

1,759.81

Due from banks and bankers in

other states Currency Gold Silver, nickels, etc

6,058.43 4,100.00
487.50 1,044.42

Other resources (itemized), de-

positors insurance Mutual insurance Revenue stamps

2,779.85 120.00 5.00

LIABILITIES. Capital stock paid in

$ 15'000.00

Surplus fund

1,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,303.^9

Individual deposits, subject to

check

54,184.68

Time certificates

18,078.99

Cashier's checks

425.39

Total

$90,492.35

Total

$90,492.35

68

TREASURER'S EEPORT

CITIZENS BANK, DOUGLAS

Date of Charter, Dec. 26th B. H. TANNER, President;

1901; Begun Business, 1901 H. B. JOHNSON, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

,,

RESOURCES.

Demand loans Time loans Overdrafts, secured



\\ ..\.....[[[["

I 41,627.93 236,674.86
3,862.94

Overdrafts, unsecured Bonds and stocks owned by "the

786.22

bank

Furniture and fixtures ....'.'.'.

Other real estate

...'.'.

32,500.00 3,565.73
22,128.00

Due from banks and bankers'' in

this state

81,978.50

Due from banks and bankers' in

other states

Currency

Gold

.!*"!.".'.""

Silver, nickels, etc. .............

Clearing house

Advances on cotton

I''

. .

22,952.37 9,251.00 2.50 4,210.32 2,594.93
116,767.72

,,, ,, ,

LIABILITIES,

capital stock paid in Undivided profits, less

s current'e'x-

52,500.00

penses, interest and taxes paid.. Individual deposits, subject to

s8'w 62'7"2"4

DTsiaemm^eaS ncderdtciefeirpctiaoftiecssaittes.s'.:.:.:.:.:.':.:::::::::::;M 31Rf6',C1172U22043T-..090W616

Cashier's chieickis.

7,765.46

Total

.$578,903.02

Total

UNION BANKING CO., DOUGLAS

.$578,903.02

Date T. S.

of Charter, 1898PRICE, President;

Begun J. L.

Business, 1899 SHINE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans

; i 23,148.93 324,480.78

Overdrafts, secured

.'

2,701.53

Overdrafts, unsecured

937.14

Bonds and stocks owned by trie

bank Banking house Furniture and fixtures Other real estate

\

20,660.93 47,300.00 13,817.07 17,068.78

Due from banks and banker's" in

this state

67,270.37

Due from banks and bankers"in

other states Currency Gold Silver, nickels, etc Cash items Clearing house Advances on cotton

::::::::: ...'.'.
'.'.'.'.'.'.'.

90,432.87 6,669.00 967.50 2,385.63 3,82'.39 9.481.27
160,883.50

LIABILITIES. Capital stock paid in



Surplus fund

,]

Undivided profits, less current' ex-

500.00 000.00

penses, interest and taxes paid.. Due to banks and bankers in this

12,008.79

state
' Due unpaid dividends Individual deposits, subject"'to

565.68 65.00

check
Savings deposits Time certificates ... Certified checks Cashier's checks

'

495, 017.13

'"

ii38,

152,71 660.86

'

>

439.68 619.84

Total

$792,029.69

Total

$792,029.69

DOUGLASVILLE BANKING CO., DOUGLASVILLE

J. T. DUNCAN, President; G. S. McLARTY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH 1917

Time loans

RESOURCES. x.

$112,572.71

Overdrafts, unsecured

29 978 40

Bonds and stocks owned by the

bank

1423 97

Banking house

'." ' 5'200 00

Furniture and fixtures

3'28o'oo

LIABILITIES, Capital stock paid m Surplus fund
Undivided profits, less current expenses, interest and taxes paid..
Individual deposits, subject to

40.000.00 20,000.00
6,858.14

Due from banks and bankers in

this state ..

58,893.19

Time^cVrt'ihcates''\ ] \ \ \ \ [ [ [ ] \ ] \ ] ] \ \ \ "&$\fa

Due from banks and DanKers in

other states C"['-ency
<JOICI

33,497.11
4 500 00 24(1 nn

Silver, nickels, etc Cash items Clearing house

, ...:..::::."

1,080.67 (iso.no
l.noihOO

Advances on cotton

60,000.00

Total

$312,345.95

Total
"^ >-

.$312,345.95

TREASURER'S REPORT

69

FARMERS & MERCHANTS BANK, DOUGLASVILLE

Date of Charter, April, 1907; Begun Business, May, 1907 W. C. ABERCROMBIE, President; THAD McKOY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOIJJ^CES.

Demand loans

$ 4,122.83

Time loans

78,754.22

Overdrafts, on cotton

39,192.71

Overdrafts, unsecured

1,363.94

Bonds and stocks owned by the

bank

Banking house



Furniture and fixtures

3,000.00 o'1!?'?? 3,7bl.l5

Due from banks and bankers in

this state

23,522.51

Due from banks and bankers in

other states

6,212.35

Currency Gold Silver, nickels, etc Clearing house Other resources (itemized), de-
positors insurance fund
Mutual Are fund

'-^20Hi'.oS0 792.52
2,700.16
3,230.85 120.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 6,216.39

Individual deposits, subject to

check

113,808.58

Time certificates

36,827.28

Cashier's checks

292.41

Total

1182,144.66

Total

$182,144.66

BANK OF DOVER, DOVER

Date of Charter, July 5, 1912; Begun Business, Aug. 8, 1912 W A WILSON, President; L. F HARRIS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 7,682.06

Time loans

46,492.56

Overdrafts, secured

842.35

Overdrafts, unsecured

402.56

Bonds and stocks owned by the

bank Banking house

300.00 2,507.23

Furniture and fixtures

1,037.63

Due from banks and bankers in

this state

9,493.46

Due from banks and bankers in

other states

7,299.20

Currency



3,205.00

Gold

100.00

Silver, nickels, etc

702.60

LIABILITIES.

Capital stock paid in

? ^'i!?,?'TM

Surplus fund

1,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 740.07

Due unpaid dividends

48.00

Individual deposits, subject to

check :

5!'or-o

Time certificates

4,26o.96

Cashier's checks

14.18

Total

$ 80,064.65

Total

? 80,064.65

BANK OF DUBLIN, DUBLIN

Date of Charter, April 24, 1917; Begun Business, March 29, 1917 J. S. ALMAND, President; B. M. LEWIS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.
Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Clearing house Advances on cotton

? 700.00 7,793.89 1,558.57 957.01 2,230.35
In 77,058.06
in 3,450.65 1,396.00 15.00 501.59 376.50 4,088.90 54,174.83

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

353.08

Individual deposits, subject to

check

123,771.46

Time certificates

13,763.96

Certified checks

200.00

Cashier's checks

1,212.85

Total

$154,301.35

Total

$154,301.35

70

TREASURER'S EEPORT

CITIZENS BANK, DUBLIN

Date of Charter, Dec. 4th, 1916 J. M. WILLIAMS, President;

APLTBISE?RTBusRinessR, NDAelc.

15th,

1916

STATEMENT OFTCONDITION AT THE CLOSE OP BUSINESS DEC RESOURCES.

1&TH

1917

Demand loans

i in.,

LIABILITIES.

Time loans Bonds and

stocks

owned

by

the 141,849.47

Capital stock paid in .. Undivided profits, less currenV'e'x



50,000.00

bank

penses, interest and taxes paid.. 23,270.27

BanMng 'house '.'.'".'.'.'.'.'.';:.';

J'ooo'oo

check"*1 deposits' subject to

Furniture and fixtures ".'.'.'.'.'.'.'.'...'. Other real estate Due from banks and bankers in
this state

2!o81 50 7 666 66 64,589.49

Savings deposits' Time certificates Cashier's checks

147,308.48 871.24
1452,'685356.'4732

Due from banks and bankers' "in

go^threenrcystates

.::::: n6^,tu'oSo7

Silver, ' nickels,'' etc.' ".'.'.'.'.'.'.'.'.'.'.'.'.'.'.

806,'l7

Cash items Clearing- house .......'!'."

1,711.53

Advances on cotton

.'..'.','. 16,267!45

Total

.279,942.14

Total

COMMERCIAL BANK, DUBLIN

.$279,942.14

J.

S.

Begun Business, Julv 8 1911 ADAMS, President; A P HTLTDNr

r>, =.>,,,,

STATEMENT ^CONDITION AT THE CLOSE !%&*DEC. 15TH, 1917

&tt!/.::::::::::::-:
Overdrafts, secured

*89-6736

Overdrafts, unsecured

50o!oo

Bonds and stocks owned by the

bank ... Furniture and

.f.ix:tures

Other real estate

Due from banks and bankers in

1,540.00 6,160.03 8,739.31

this state

""' 42 584 90

LIABILITIES.

Capital stock paid in

25,000.00

Undivided profits, less current' ex

T Pfusj58.,interest and taxes paid. Individual deposits, subject t.

1,560.54

check
Savings deposits Time certificates Certified checks . Cashier's checks

122,086.11
1,306.81 29,933.07
140.00 1,058.09

Due from banks and bankers in

gTMy other states
liOId

:.::::::.

\f TMt 204 noo or. 4527 50

Silver, nickels, etc

'" l]56'll

Advances on cotton Bills of exchange

" l'276'84 5'nn

County warrants

j 016 57

TotaI

188,084.62

Total

.181,084.62

DUBLIN AND LAURENS BANK, DUBLIN

C W. BRANTLEY, President; S. J. LORD Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DW 15TH, 1917

RESOURCES. Demand loans Time loans

$ 28,914.18 523 972.37

Overdrafts, secured

33 639 04

Overdrafts, unsecured

'.'.'." 4'819'24

Bonds and stocks owned by the

tLr ibertky

Bonds

73.750500.0000

Furniture and fixtures Other real estate

...."i 6,687.60 2 4">9 7"

Due from banks and bankers" hi

this state

45 629 17

Due from banks and bankers"i'ri

,,*r states
SOO",ldTmy

93,921.38
141-|4H1~.0pj0Q

Silver, nickels, etc. .........'..'.'.'..'. Cash items Clearing house

1,441.80 S 933966.0824

LIABILITIES.

Capital stock paid in Surplus fund Undivided profits, less

current

ex-

75,000.00 90,000.00

penses, interest and taxes paid.. Due to banks and bankers in this

20,473.00

state Individual

deposits, ' subject'' 'to

4,898.00

check
Ravings deposits Time certificates Certified checks Cashier's checks Bills payable, including

... time' certi-

470,606.28 4,883.37
215,533.07 1,126.00 3,631.84

ficates representing borrowed

money

40,000.00

Advances on cotton

le'sSEi'sfl

Other resources (Itemized), rev- '

enue stamps

200 00

Total

926,151.56

Total

926,151.56

TREASURER'S REPORT

71

SOUTHERN EXCHAN GE BANK, DUBLIN

Date of Charter, Nov. 11th, 1914; Begun Business, Sept. 15th, 1914 T. B. HICKS, President; J. R. CHERRY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 13,725.27

Time loans

.

49,016.07

Bonds and stocks owned by the

bank

800.00

Furniture and fixtures

4,687.65

Due from banks and bankers in

this state

29,504.75

Due from banks and bankers In

other states

6,005.48

Currency

3,399.00

Gold

332.50

Silver, nickels, etc

412.09

Cash items

171.77

Clearing house

4,201.08

Advances on cotton

14,687.54

LIABILITIES.

Capital stock paid in

$ 30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,282.37

Due to banks and bankers in this

state

432.35

Individual deposits, subject to

check

75,743.89

Savings deposits

3,207.66

Time certificates

16,014.10

Cashier's checks

262.83

Total

$126,943.20

Total

$126,943.20

BANK OF DUDLEY, DUDLEY

Date of Charter, Oct. 2d, 1905; Begun Business, Nov. 1st, 1905 J. A. HOGAN, President; R. L. SUMNER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, secured by cotton Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items Advances on cotton Profit and loss

$ 250.00 13,383.51 6,555.55 113.15 1,674.43 1,790.49
in 12,034.68
in 8,627.60 3,151.00 220.28 17.16
27,028.39 619.36

LIABILITIES. Capital stock paid in Surplus fund Due unpaid dividends Individual deposits, subject
check Time certificates Cashier's checks

$15,000.00 3,750.00 731.08
to 50,355.18 5,309.53 499.81

Total

$ 75,645.60

Total

$ .5,645.60

BANK OF DULUTH, DULUTH

Date of Charter, Nov. 12, 1910; Begun Business, Nov. 1, 1904 L. P. PATILLO, President; D. W. WILSON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

? 66,398.17

Overdrafts, unsecured

2,261.29

Bonds and stocks owned by the

bank

1,000.00

Banking house

2,078.00

Furniture and fixtures

2,250.00

Due from banks and bankers in

this state

39,204.57

Due from banks and bankers in

other states

6,811.03

Currency

4,165.00

Gold

50.00

Silver, nickels, etc

154.38

Cash items

4,084.51

Advances on cotton

16,879.19

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,101.27

Due unpaid dividends

144.00

Individual deposits, subject to

check

92,127.58

Time certificates

22,041.42

Cashier's checks

921.87

Total

$145,336.14

Total

$145,336.14

72

TREASURER'S REPORT

FARMERS & MERCHANTS BANK, DULUTH

Date of Charter, Nov., 1910; Begun Business, Feb. 1st, 1911 W. E. JONES, President; F. E. SEAY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH. 19r

RESOURCES.

Demand loans

$ 1,293.81

Time loans

33,393.36

Overdrafts, unsecured

3,723.17

Banking house

2,204.40

Furniture and fixtures

1,632.48

Due from banks and bankers in

this state

46,583.48

Due from banks and bankers in

other states

179.73

Currency

5,422.00

Gold

233.00

Silver, nickels, etc

128.49

Cash items

205.07

Advances on cotton

4,717.51

Other resources (itemized), rev-

enue stamps

25.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,853.23

Individual deposits, subject to

check

66,918.60

Time certificates

14,563.61

Cashier's checks

406.06

Total

$ 99,741.50

Total

$ 99,741.50

CITIZENS BANKING CO., EASTMAN

Date of Charter, Dec. 8, 1900; Begun Business, Dec. 10, 1900 C. H. PEACOCK, President; T. H. PRINCE, Cashier

.STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 1,715.30

Time loans

157,764.30

Overdrafts, secured, cotton and

cotton seed

93,810.36

Bonds and stocks owned by the

bank

26,153.00

Banking house

7,703.15

Furniture and fixtures . ..:

5,415.41

Other real estate

3,554.01

Due from banks and bankers in

this state

106,346.30

Due from banks and bankers in

other states

42,6"!7.2

Currency Gold .:

3,611.00 182.50

Silver, nickels, etc.

1,378.50

Cash items

4,496.04

LIABILITIES.

Capital stock paid in

$100,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 25,479.17

Individual deposits, subject to

check

301,818.92

Time certificates

76,548.11

Cashier's checks

'920.93

Total

$504,767.13

Total

$504,767.13

MERCHANTS & FARMERS BANK, EASTMAN

Date of Charter, Feby. 27, 1904: Begun Business, March 4, 1895 E. D. GRAHAM, President: W. P. COBB, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1911

RESOURCES. Demand loans
Time loans Overdrafts, secured Overdrafts, unsecured Banking house
Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency
Silver, nickels, etc Cash items Liberty Bonds

$ 5 359 .79 189,858 .30 173,256 .67 8,984. 07 9.038 .30 4,799 .86 8,239 .31
in 108,346.31
in 2,647 48 9,713.00
431.70 4.634J3 1,400.00

LIABILITIES.

Capital stock paid in

$ 50.000 00

Surplus fund

26.000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 18,055.84

Individual deposits, subject to

check

324,964.82

Time certificates

117,590.62

Cashier's checks

2i697!s3

Total

$539,309.11

Total

$539,309.11

HUM

TREASURER'S REPORT

73

BANK OF EAST POINT, EAST POINT Date of Charter, Feby. 28, 1906; Begun Business, Feby. 19, 1906
R. F. THOMPSON, President; A. J. McCOY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans

LIABILITIES. $ 9,346.73 Capital stock paid in

< Til $ 35,000.00

Time loans

142,334.02

Overdrafts, unsecured

216.09

Bonds and stocks owned by the

bank

7,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,512.69

Individual deposits, subiect to

check

135,542.55

Banking house

'

Furniture and fixtures

Other real estate

5,055.23 3,021.64
567.36

Savings deposits Time certificates Cashier's checks

44,806.63 18,036.71
" 6.35

Due from banks and bankers in

this state

50,232.97

Due from banks and bankers in

other states

6,321.69

Currency

5,784.00

Gold

237.50

Silver, nickels, etc

799.22

Cash items

3,078.98

Other resources (itemized), de-

positors guarantee fund

3,293.50

Mutual Are insurance

120.00

Total

$237,904.93

Total

$237,904.93

BANK OF EATONTON, EATONTON

Date of Charter, May 11, 1903; Begun Business, Mav 14, 1903 L. O. BENTON, President; P. W. WALTON, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 70,723.52

Time loans

211,674.00

Overdrafts, unsecured

10,940.69

Bonds and stocks owned by the

bank

6,850.00

Banking house

5,634.00

Furniture and fixtures

1,700.01

Other real estate

2,028.00

Due from banks and bankers in

this state

'

26,707.21

Due from banks and bankers in

other states

21,811.87

Currency

882.00

Gold

5.00

Silver, nickels, etc

478.05

Cash items

127.17

Clearing house

'.

1,478.76

Advances on cotton

38,528.26

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

Z5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 29,556.16

Individual deposits, subject to

check

276,795.76

Demand certificates

15,000.00

Time certificates

27,312.92

Certified checks

165.00

Cashier's checks

738.69

Total

$399,568.53

Total

$399,568.53

CITIZENS BANK, EATONTON

Date of Charter, October 9th, 1917; Begun Business, Oct. 1st, 1917 W. P. WALLACE, President; JNO. DeJ. TURNER, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

? 1,491.00

Time loans

16,546.61

Overdrafts, unsecured

46.38

Bonds and stocks owned by the

bank

5,000.00

Furniture and fixtures

4,433.63

Due from banks and bankers in

this state

36,780.64

Due from banks and bankers fh

other states

<

7,947.09

Currency

1,234.00

Silver, nickels, etc

350.78

Cash items

24.50

Advances on cotton

3,774.34

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

403.81

Individual deposits, subject to

check

41,714.68

Demand certificates

5,000.00

Time certificates

5,353.16

Cashier's checks

157.S2

Total

$ 77,628.97

Total

$ 77,628.97

74

TREASURER'S REPORT

MIDDLE GEORGIA BANK, EATONTON

Date of Charter, Dee., 1890; Begun Business, Feb., 1891 E. B. EZELL, President; E. W. INGRAM, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$60,623.71

Time loans

?12,43(>.88

Overdrafts, secured

16,916.77

Overdrafts, unsecured

4,695.15

Bonds and stocks owned by the

bank

15,G39.t>3

Other real estate

2,000.00

Due from banks and bankers in

this state

101,246.04

Due from banks and bankers in

other states

105,776.55

Currency

3,580.00

Gold

10.00

Silver, nickels, etc

463.57

Cash items

16,447.05

Advances on cotton

113,366.03

LIABILITIES.

Capital stock paid in

$ 51,400.00

Surplus fund

51,400.(10

Undivided profits, less current ex-

penses, interest and taxes paid.. 38,809.88

Due unpaid dividends

X3.25

Individual deposits, subject to

check

489,423.20

Time certificates

41,393.81

Certified checks

547.28

Cashier's checks

10,193.86

Total

5683,201 2S

Total

$683,201.28

BANK OF EDISON, EDISON

Date of Charter, 1904; Begun Business, Oct., 1904 C. J. RAMBO, President; L. C. MANRY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 75,703.80

Time loans

140,012.99

Overdrafts, secured and unsecured 5,766.57

Bends and stocks owned by the

bank

16,856.00

Banking house

3,000.00

Furniture and fixtures

2,200.00

Due from banks and bankers in

this state

20,179.84

Due from banks and bankers in

other states

10,130.68

Currency

5,761.00

Silver, nickels, etc

539.2a

Cash items

75S.64

Advances on cotton

32,795.79

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

25.000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10,873.45

Individual deposits, subject to

check

224,866.01

Cashier's cheeks

2,965;14

Total

$313,704.60

Total

$313,704.60

BANK OF ELBERTON, ELBERTON

Begun Business 1893 "W. O. JONES, President; C. O. BROWN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$152. 265.01

Overdrafts, unsecured

1, 057.16

Bonds and stocks owned by the

bank Banking house

,207.91 .016.05

Furniture and fixtures

Other real estate

*.

Due from banks and bankers In

,262.32 .076.00

this state

3,942.46

Due from banks and bankers in

other states

18,089.61

Currency

7,866.00

Gold

590.(in

Silver, nickels, etc

449.03

Cash items

873.55

Clearing house

4,095.29

Advances on cotton

78,824.57

LIABILITIES.

Capital stock paid in

$ 25.000.00

Surplus fund

30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 20.311.87

Due to banks and bankers in this

state

2,730.48

Individual deposits. suhlect to

check

193.620.50

Time certificates

35,805.76

Cashier's checks

146.35

Total

$307,614.96

Total

$307,614.96

TREASURER'S REPORT

75

ELBERTON LOAN & SAVINGS BANK, ELBERTON

Date of Charter, Dec. 24th, 1886; Begun Business, 1887 P. M. HAWES, President; Z. C. HAYES, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 29,013.85

Time loans

172,193.82

Overdrafts, secured

1,946.24

Overdrafts, unsecured

32,204.32

Bonds and stocks owned by the

bank

35,000.00

Furniture and fixtures

1,500.00

Due from banks and bankers in

this state

80,300.93

Due from banks and bankers in

other states

75,277.91

Currency

3,232.00

Gold

325.00

Silver, nickels, etc

668.02

Cash items

7,230.64

Other resources (itemized), Liberty

Bonds held for customers

4,006.00

LIABILITIES.

Capital stock paid in

$ 75,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 37,214.21

Individual deposits, subject to

check

261,500.12

Time certificates

69,184.40

Total

$442,898.73

Total

$442,898.73

BANK OF ELKO, ELKO

Date of Charter, Jany. 11, 1905; Begun Business, Feby. 5, 1905 J. W. HODGE, President; C. E. EUBANKS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Time loans
Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Advances on cotton

? 9,262.27 2'200-99 750.00 415.46
in 58,780.42
in 485.45
2,024.00 167.50 546.56
1,707.55 1,117.98

Total

t 77,257.19

LIABILITIES.

Capital stock paid in

$20,400.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,485.81

Individual deposits, subject to

check

49,111.95

Time certificates

150.00

Cashier's checks

5,109.43

Total

? 77,257.19

BANK OF ELLAV1LLE, ELLAVILLE

Date of Charter, Sept. 10th, 1910; Begun Business, Sept. 16, 1910 J. H. STEVENS, President: H. F. DIXON, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 16,600.nn

Time loans

62,587.73

Overdrafts, secured

31,132.07

Overdrafts, unsecured

424.42

Bonds and stocks owned by the

bank

10,350.00

Furniture and fixtures

2.361.75

Due from banks and bankers in

this state

103,453.56

Due from banks and bankers in

other states

29,051.82

Currency

12,052.00

Gold

550.00

Silver, nickels, etc

1,625.16

Other resources (itemized), Pig

Club notes

424.35

Depositors guarantee fund

3,042.53

Total

$273,656.39

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10,414.59

Individual deposits, subject to

check

213,788.08

Time certificates



33,740.28

Cashier's checks

713.44

Total

$273,656.39

76

TREASURER'S EEPORT

BANK OF ELLENTON, ELLENTON

Date of Charter, August 31, 1911; Begun Business, September 25th, 1911 J. I. BAKER, President; A. D. HOLLAND, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans Banking house Furniture and fixtures Due from banks and
this state Due from banks and
other states Currency Gold Silver, nickels, etc Cash items

bankers bankers

Advances on cotton

$ 17,232.00 1,768.47 1,664.75
in 10,428.57
in 2,541.05 1,921.00 15.00 298.77 12.71
5,273^40

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

600.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,188.79

Individual deposits, subject to

check

18,314.92

Demand certificates

1,000.00

Time certificates

4,800.00

Cashier's checks

252.01

Total

$41,155.72

Total

141,155.72

BANK OF ELLENWOOD, ELLENWOOD

Date of Charter, March 18th, 1912; Begun Business, March 18th, 1912 G. T. WILLIAMSON, President; E. COWAN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

Banking house

Furniture and fixtures

Due from banks and bankers

this state

Due from banks and bankers

other states

Currency

,

Silver, nickels, etc

Cash items

Advances on cotton

$ 15,210.06
2,540.88 850.00
in 30,095.23
in 70.98
1,266.00 33.83
3,052.01 32,971.83

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid .. 6,762.21

Individual deposits, subject to

check

60,928.37

Time certificates

3,400 24

Total

6,090.82

Total

$ 86,090.82

BANK OF ELL1JAY, ELL1JAY

Date of Charter, May 21st, 1914; Begun Business. June 1st, 1914 SAM TATE, President; I. T. COLLINS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

Overdrafts, unsecured

Bonds and stocks owned by the

b^k Furniture and fixtures Other real estate

Due from banks and bankers in this state

Due from banks and bankers In

other states

Currency

.'

gSM Silver, nickels, etc

Cash items

.'

Other resources (itemized), Rev-

enue stamps

99,148.50 1,551.33
380.00 1,775 00 4,450 00
13,843.94
8 099 65 7,'654:no
3io.no ] 253 58
780 li3
50 00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1.063.35

Individual deposits. subject to

check

75.223.55

Time certificates Cashier's checks Bil's payable, including time certi-
ficates representing borrowed money

42.499.95 410.08
5,000.00

Total

$139,296.93

Total

$139,296.!

TREASURER'S REPORT

77

BANK OF ETON, ETON

Date of Charter, May 23rd, 1910; Begun Business, Sept. 1st, 1910 C. C. KEITH, President; L. M. JONES, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

Time loans

;

Overdrafts, unsecured

Furniture and fixtures

Due from banks and bankers

this state

Due from banks and bankers

other states

Currency

Gold

Silver, nickels, etc

Cash items

Profit and loss

$ 2,328.22 36,624.78 6,257.52 2,000.00
in 18,070.51
in 154.98
7,507.00 200.00 24.39 562.17 202.06

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

1,200.00

Due unpaid dividends

52.60

Individual deposits, subject to

check

40,974.62

Time certificates

8,704.41

Bills payable, including time certi-

ficates representing; borrowed

money

8,000.00

Total

? 73,931.63

Total

$ 73,931.63

BANK OF CAMPBELL COUNTY, FAIRBURN

Date of Charter, Nov. 16th, 1911; Begun Business, Nov. 27th, 1911 C. R. HARVEY, President; H. W. JONES, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 37,751.OS

Time loans

87,942.01

Overdrafts, unsecured

4,108.00

Bonds and stocks owned by the

bank

13,800.00

Banking house

11,000.00

Furniture and fixtures

2,881.39

Due from banks and bankers in

this state

37,789,31

Due from banks and bankers in

other states

518.70

Currency

2,199.00

Silver, nickels, etc

297.39

Cash items

391.91

LIABILITIES.

Capital stock paid in

$ 40,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,988.02

Individual deposits, subjec to

check

109,963.89

Savings deposits

104.31

Time certificates

:

43,374.17

Certified checks

-

30.91

Cashier's checks

217.46

Total

$198,678.76

Total

$198,678., 6

FAIRBURN BANKING CO.. FAIRBURN

.1. H. LONGINO, President; W. B. GREEN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 4.900.00

Time loans

195,980.89

Overdrafts, secured

3,050.43

Overdrafts, unsecured

2,113.24

Bonds and stocks owned by the

bank

'

19.475.00

Furniture and fixtures

2,746.15

Other real estate

8,484.52

Due from banks and bankers in

this state

54,090.69

Due from banks and bankers in

other states

42.i30.7l

Currency

9,480.00

Silver, nickels, etc

458.79

Cash items

1,247.9s

Advances on cotton

42,982.93

LTABTLT'i _ES.

Capital stock paid in

$ Fn.nnn ""

Surplus fund

16.000 00

Undivided profits, less current ex-

penses, interest and taxes "aid.. 14,093.53

Individual deposits, subject to

check

237.785.40

Demand certificates Time certificates

22.581.69 " 'nl; M

Cashier's checks

1,765.56

Total

$387.831.28

Total

$387.831.28

78

TREASURER'S REPORT

FAIRMOUNT BANK, FAIRMOUNT

Date of Charter, October 27th, 1912; Begun Business, Same Day MRS. EDNA F. TATE, President; THOS. A. UPSHAW, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

, 1,000.00

Time loans

49,903.54

Overdrafts, secured

3,365.01

Overdrafts, unsecured

121.9$

Liberty Bonds

219.03

Banking house

2,000.00

Furniture and fixtures

1,303.00

Other real estate

5,653.47

Due from banKs and bankers in

other states

28,597.33

Currency

5,144.00

Gold

315.00

Silver, nickels, etc

356.11

Cash items

443.00

Profit and loss

260.00

Other resources (itemized), dep.

guarantee fund

2,918.90

Witham's fire ins. fund

120.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paiu.. 7,400.03

Time certificates

14,434.13

Cashier's checks

297.90

Total

$101,720.35

Total

$101,720.35

FARMERS & MERCHANTS BANK, FAYETTEVILLE

J. W. WISE, President; CHAS. D. REDWINE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 5,770.88

Time loans

67,298.40

Overdrafts, secured

5,163.04

Overdrafts, unsecured

3,322.31

Bonds and stocks owned by the

bank

45.00

Banking house

2,191.29

Furniture and fixtures

1,426.52

Due from banks and bankers in

this state

74,751.68

Due from banks and bankers in

other states

34,367.35

Currency

3,052.00

Silver, nickels, etc

13.05

Cash items

236.58

Clearing house

2,080.52

Advances on cotton

71,551.51

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 28,015.09

Individual deposits, subject to

check

204,817.80

Time certificates

\

7,513.12

Cashier's checks

519.12

Notes and bills rediscounted

5.400.00

Total

$271,265.13

Total

$271,265.13

BANK OF FINLEYSON, FINLEYSON

Date of Charter, Sept. 20, 1910; Begun Business, 1910

L. F. FINLEYSON, President; CLARENCE FINLEYSON, Cashier

RESOURCES.

Time loans

$16,322.63

Overdrafts, secured

10,707.83

Bonds and stocks owned by the

bank

1,600.00

Banking house

1,400.00

Furniture and fixtures

1,700.00

Due from banks and bankers in

this state

13,200.45

Due from banks and bankers in

other states

21,078 10

Currency

4.229.00

Gold

100.00

Silver, nickels, etc

234.80

Cash items

51.00

Advances on cotton

25,804.67

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,486.28

Individual deposits, subject to

check

70,324.18

Time certificates

2.884.30

Cashier's checks

734.11

Total

$ 96,428.!

Total

$ 96,428.87

TREASURER'S KEPORT

79

BANK OF FLOVILLA, FLOVILLA

F. S. ETHERIDGE, President; J. T. GIBSON, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and
this state Due from banks and
other states Currency Silver, nickels, etc
Cash items

bankers bankers

$ 81,848.69 4,673.87 1,250.00 1,710.60 1,408.55
in 28,394.21
in 3,922.70 1,974.00 228.57
806.33

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

5,166.35

Undivided profits, less current ex-

penses, interest and taxes paid... 2,472.50

Individual deposits, subject to

check

86,429.26

Time certificates

16,988.77

Cashier's checks

160.64

Total

$126,217.52

Total

$126,217.52

BANK OF FLOWERY BRANCH, FLOWERY BRANCH

Date of Charter, June 24, 1904; Begun Business, Aug. 15, 1904 D. O. BENTON, President; C. O. WALLIS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 239.86

Time loans

38,354.88

Overdrafts, secured

547.29

Overdrafts, unsecured

399.05

Bonds and stocks owned by the

bank

2,030.00

Banking house

1,800.00

Furniture and fixtures

2^000.00

Other real estate

2,504.95

Due from banks and bankers in

this state

6,181.29

Due from banks and bankers in

other states

446.69

Currency

2,223.00

Gold

265.00

Silver, nickels, etc

40.MS

Cash items

573.90

Advances on cotton

26,831.00

LIABILITIES.

Capital stock paid in

$ 20,000.00

Surplus fund

2,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,606.38

Individual deposits, subject to

check

49,763.57

Time certificates

9,326.37

Cashier's checks

238.90

Total

$ 84,435.22

Total

? 84,435.22

CITIZENS BANK, FOLKSTON

Date of Charter, Dec. 11, 1911; Begun Business, Jan. 4, 1912 B. F. SCOTT, President; D. F. PEARCE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.
Time loans Furniture and fixtures Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Other resources (itemized),
pense account Liberty Bonds

$ 63,526.17 1,531.42
in 66,257.11 3,475.00 212.50 332.45 170.22
18.75 3,600.00

Total

$141,017.93

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,279.65

Due unpaid dividends

4.80

Individual deposits, subject to

check

94,432.90

Savings deposits

10.129.90

Time certificates

16,119.15

Cashier's checks

1,051.53

Total

$141,017.93

80

TREASURER'S EEPORT

BANK OF FORSYTH, FORSYTH

Date of Charter, 1887; Begun Business, 1895 R. B. STEPHENS, President; JNO. T. STEPHENS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 23,107.87

Time loans

59,913.22

Bonds and stocks owned by the

bank

25,250.00

Banking house

4,588.56

Furniture and fixtures

2,666.31

Due from banks and bankers in

this state

125,218.00

Due from banks and bankers in

other states

13,086.56

Currency

4,404.00

Silver, nickels, etc

27.97

Cash items

8,917.66

Advances on cotton

11,725.93

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

6,000.00

Undivided profits, less current ex-

penses, interest and taxes paid . 9,631.20

Individual deposits, subject to

,, check

213,211.64

Cashiers checks

63.24

Total

$278,906.0

Total

$278,906.08

FARMERS BANK, FORSYTH

Date of Charter, 1910 R. T. PERSONS, President; R. T. PERSONS, Cashier

RESOURCES.

Demand loans

$101,432.16

Time loans

36,091.70

Banking house

3,992.95

Furniture and fixtures

2,493.15

Due from banks and bankers in

this state

99,679.99

Due from banks and bankers in

other states

31,353.55

Currency

3,619.00

Gold

2,880.00

Silver, nickels, etc

973.97

Cash items

2,180.00

Clearing house

32,210.15

Advances on cotton

66,510.00

Other resources (itemized), held

Liberty Bonds

33,700.00

LIABILITIES.

Capital stock paid in

50,000.00

Surplus fund

50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 9,647.09

Individual deposits, subject to

check

307,469.53

Total

$417,116.62

Total

,

$417,116.62

MONROE COUNTY BANK, FORSYTH

.Date of Charter, Nov. 2, 1908; Begun Business, Oct. 19, 1908 W. C. HILL, President; CHARNER W. HILL. Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 54,163.04

Bonds and stocks owned by the

bank

23,000.00

Furniture and fixtures

2,000.00

Other real estate

800.00

Due from banks and bankers in

this state

94,511.43

Due from banks and bankers in

other states

8,352.98

Currency go'"1

5,741.00 31.00

Silver, nickels, etc

75 18

Cash items

6.686lo8

Clearinghouse

4,958.63

Advances on cotton

20,406.31

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,829.58

Individual deposits, subject to

check

183,806.39

Savings deposits

76,630.53

Time certificates

2,382.37

Cashier's checks

790.51

Total

$306,439.38

Total

:

$306,439.38

TREASURER'S REPORT

81

BANK OF FORT GA INES, FORT GAINES

Date of Charter, 1890; Begun Business, 1891 JOB VINSON, President; W. L. PAULLIN, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, unsecured Liberty Bonds Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Advances on cotton

$ 23,383.50 104,718.78 582.01 5,000.00 1,763.70
in 62,179.52
in 23,839.31 3,752.00 350.00 119.50 6,925.81 14,439.28

LIABILITIES.

Capital stock paid in

$ 50,000.00"

Surplus fund

35,000.00

Undivided profits, less current ex-

penses, Interest and taxes paid.. 10,228.74

Individual deposits, subject to

check

145,083.36

Time certificates

5,944.55

Cashier's checks

796.76

Total

$247,053.41

Total

$247,053.41

UNION SAVINGS BANK, FORT GAINES

Date of Charter, July 30th, 1910; Begun Business, Aug. 1st, 1910 E. W. CHAMBERS, President; W. A. MCALLISTER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

$ 43,570.88

Overdrafts, secured

1,536.59

Overdrafts, unsecured

864.79

Bonds and stocks owned by the

bank

1,309.00

Furniture and fixtures

2,012.86

Other real estate

6,896.06

Due from banks and bankers in

this state

26,597.42

Due from banks and bankers in

other states

13,545.94

Currency

554.00

Gold

95.00

Silver, nickels, etc

8.91

Cash items

2S4.78

Advances on cotton

100.84

LIABILITIES.

Capital stock paid In

$ 27,150.00

Surplus fund

284.43

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,199.67

Individual deposits, subject to

check

49,172.12

Time certificates

14,410.00

Cashier's checks

3,160.84

Total

$97,377.07

Total

$97,377.07

CITIZENS BANK OF FORT VALLEY, FORT VALLEY

Date of Charter, January 8th, 1910; Begun Business, December 1st, 1909 A. J. EVANS, President; C. E. MARTIN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

i 39.880.71

Time loans

437,863.66

Overdrafts, unsecured

19,373.65

Bonds and stocks owned by the

bank

37,650.00

Furniture and fixtures

7,380.34

Other real estate

1,100.00

Due from banks and bankers In

this state

49,818.48

Due from banks and bankers in

other states

63,700.10

Currency

7,620.00

Gold

836.00

Silver, nickels, etc

3,576.17

Cash items

4,786.67

Clearing house

1,935.15

Advances on cotton

18,059.17

Other resources (itemized), mule

account

300.00

Total

$693,; I.IO

LIABILITIES.

Capital stock paid in

000.00

Surplus fund

000.00

Undivided profits, less current ex penses, interest and taxes paid. 22 665.75

Due unpaid dividends

102.00

Individual deposits, subject to

check Savings deposits

405

,893.86 ,354.44

Time certificates Certified checks Cashier's checks

145 ,318.76 373.47 27.45

Other liabilities (itemized), rev.

taxes Liberty Bond account

^

,466.25 678.12

Total

$693,880.10

82

TREASURER'S REPORT

EXCHANGE BANK, FORT VALLEY

Date of Charter, 1888 W. C. WRIGHT, President; T. B. BROWN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

$224,328.33

Overdrafts, secured

11,740.50

Overdrafts, unsecured

13,373.63

Bonds and stocks owned bv the

bank

*.

10,000.00

Furniture and fixtures

5,475.46

Due from banks and bankers in

this state

76,017.58

Due from banks and bankers in

other states

17,522 38

Currency

13,284.00

Gold

3,030.00

Silver, nickels, etc

2,207.04

Cash items

1,009.74

Advances on cotton

"523.12

Other resources (itemized), Liberty

Bond interest account

26.66

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

7,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 11,735.67

Individual deposits, subject to

check

212,782.71

Time certificates

94,738.67

Certified checks

168.56

Cashier's checks

35.95

Other liabilities (itemized), Christ-

mas saving club

1,576.88

Total

$378,538.44

Total

$378,538.44

BANK OF HEARD COUNTY, FRANKLIN

Date of Charter. Oct. 14, 1905; Begun Business, Oct. 18, 1905 A. J. KITCHENS, President; . E. E. LEWIS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

Time loans

Overdrafts, unsecured

Liberty Bonds

Banking house

Furniture and fixtures

Due from banks and bankers

this state

Due from banks and bankers

other states

Currency

Gold

;'.

Silver, nickels, etc

Cash items

Advances on cotton

5,500 62,200 10,562. 5,000 2,844 1,754
40,088.32
15,372.75 10,560.00
297.50 825.49 1.120.55 4,265.00

LIABILITIES.

Capital stock paid in

$ 25 000 00

Surplus fund

12,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,696 86

Individual deposits, subject to

check

104,264.37

Time certificates

16,600.00

Cashier's checks

329.97

Total

'

$160,391.20

Total

$160,391.20

PEOPLES BANK, FRANKLIN

Date of Charter, Aug. 18, 1906: Begun Business. Sept. 6, 1906 ROBT. G. CRAIN, President; G. A. ADAMS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH 1917

RESOURCES.

Demand loans

$ 6,560.50

Time loans

45,413.15

Overdrafts, secured

8,591.09

Overdrafts, unsecured

5,619.16

Banking house

2,000.00

Furniture and fixtures

1,116.71

Other real estate

2,220.00

Due from banks and bankers in

this state

10,351.83

Due from banks and bankers in

other states Currency

1,130.94 6,539.00

Gold

.'.'..'.I..'.'.'.'.'.'.

415.00

Silver, nickels, etc

370.76

Cash items

1,010.66

County warrants

5,174.00

LIABILITIES.

Capital stock paid in

$ 25,000 00

Surplus fund

7,000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

307.32

Due unpaid dividends

44.00

Individual deposits, subject to

_ check

59,802.00

Bills payable, including time certi-

ficates representing borrowed

money

2,000.00

TotaI

$ 96,512.8

Total

; 96,512.80

TREASURER'S EEPORT

83

CITIZENS BANK, GAINESVILLE

J. C. PRUITT, President; C. L. NEWTON, Cashier v

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 7,487.62

Time loans

314,048.19

Overdrafts, unsecured

2,728.49

Bonds and stocks owned by the

bank

32,150.00

Furniture and fixtures

5,139.07

Due from banks and bankers in

this state

1

145,060.93

Due from banks and bankers in

other states

53,121.29

Currency

5,359.00

Gold

20.00

Silver, nickels, etc

434.18

Cash items

8,343.07

Advances on cotton

11,259.26

Other resources (itemized), rev-

enue stamps

8.52

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

."

20,260.14

Undiviled profits, less current ex-

penses, interest and taxes paid.. 3,023.81

Individual deposits, subject to

check

373,512.66

Savings deposits

121,130.49

Time certificates

9,807.11

Cashier's checks

6,925.41

Other liabilities (itemized), re-

served for taxes

500.00

Total

$585,159.62

Total

$585,159.62

FARMERS & MERCHANTS BANK, GAINESVILLE

Date of Charter, 1913; Begun Business, Dec, 1913 E. P. HAM, President; W. L. BEECH, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

Time loans

Overdrafts, unsecured

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

'

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items

County warrants

Liberty Bonds

Collections

637.50 92,270.01
227.29 10,370.49
3,181.38 720.39
12,106.31
5,991.56 2,572.00
290.00 890.53
85.75 6,205.63
611.55 560.05

LIABILITIES.

Capital stock paid in

$ 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid. . 1,509.84

Individual deposits subject to

check

52,509.13

Savings deposits

15,848.66

Time certificates

16,752.81

Cashier's checks

10.00

Total

$136,630.44

Total

$136,630.44

STATE BANKING CO., GAINESVILLE

Date of Charter. 1889; Begun Business, 1889 T. E. ATKINS, President; W. R. WINBURN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

$224 659.65

Overdrafts, unsecured

5 216.33

Bonds and stocks owned by the

bank

9 531.00

Furniture and fixtures

5 335.84

Other real estate . /

. 1 525.37

Due from banks and bankers in

this state

35,702.28

Due from banks and bankers in

other states

15 950.78

Currency

8 204.00

Gold Silver, nickels, etc



5.00

886.25

Cash items

1 278.32

Revenue stamps

20.00

LIABILITIES.

Capital stock paid in

$ 75,000.00

Surplus fund

30.000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5.273.73

Individual deposits subject to

check

142,532.61

Time certificates

54.300.66

Certified checks

1,207.82

Total

$308,314.82

Total

$308,314.82

_______

84

TREASURER'S REPORT

FARMERS & MERCHANTS BANK, GARFIELD

Date of Charter, Jan. 9, 1911; Begun Business, FeBy. 16, 1911 J. A. CHAPMAN, President; D. M. CASON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

$23,785.73

Overdrafts, unsecured

934.08

Bonds and stocks owned by the

_ Danlc

5,100.00

Banking house

4,207.48

Furniture and fixtures

2,586.76

Due from banks and bankers in

this state

46,007.67

Due from banks and bankers in

other states

22,049.95

Currency

4,355.00

ttold Silver, nickels, etc

320.00 252 90

Cash items

987.56

LIABILITIES.

Capital stock paid in Surplus fund

$ 15,000 00 1,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,153.70

Individual deposits subject to

m T.icmheeckcertificates

76,697.38 14,543.23

Cashier's checks

'722.82

Ttal

-

$110,617.13

Total

Jl'IollXlS

BANK OF GIBSON, GIBSON

Date of Charter, 1905; Begun Business, 1905 W. H. FERGUSON, President; J. W. HUGHES, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.
Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc

$ 21,704 14 .05
3 73487
l|626.51 in
93,220.52 in
3 971 22 5,'632!oO
^61.79

LIABILITIES.

Capital stock paid in

'...$15,000.00

Undivided profits, less current ex-

penses, Interest and taxes paid.. 1,632 11

Individual deposits subject to

,, check

113,249.78

Cashiers checks

169.Zl

Total

$130,051.10

Total

$130,051.10

BANK OF GILKVILLE

Date of Charter, Sept. 6th, 1911; Begun Business, Oct. 1st, 1911 M. O. GILMER, President; J. M. BRYAN, Cashier

STATEMENT OF C"N""r"T~ ' -

. ,,.T,TVB,!a^ DEC. 15TH, 1917

RESOURCES.

Time loans

$22,386.21

Overdrafts, unsecured

185 22

Banking house

2,158!50

Furniture and fixtures

1733 08

Due from banks and bankers in

this state

17 742 30

Due from banks and bankers'i'n

other states

5 055 58

Currency

1,226.00

uoia

100 00

Silver, nickels, etc Cash Items

72<t'70 ] 30 78

Advances on cotton

7,050 00

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 758.28

Individual deposits subject to

check

38,844.67

Time certificates

3,711.00

Cashier's checks

78.51

Ttal

'

$58,392.46 Total

$58,392.46

TREASURER'S EEPORT

85

BANK OF GIRARD, GIRARD

Date of Charter, April 27th, 1906; Begun Business, July 30th, 1906 JAS. F. ODOM, President; WM. V. STEPHENS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 6,371.00

Time loans

37,346.91

Bonds and stocks owned by the

bank

1,225.00

Banking house

1,800.00

Furniture and fixtures

2,200.00

Due from banks and bankers in

this state

106,895.00

Due from banks and bankers in

other states

15,678.05

CurrGncv

** 101.""

Silver, nickels, etc

1,206.95

Cash items

11,535.09

Total

.$188,009.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 15,797.36

Individual deposits subject to

check Time certificates

103,561.04 51,964.09

Cashier's checks

1,686.51

Total

8,009.00

GLENNVILLE BANK, GLENNVILLE

Date of Charter, January 12, 1905; Begun Business, about the same date W. F. DURRENCE, President; C. W. KICKLIGHTER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans Overdrafts, unsecured

$296, ,881.99 ,478.69 386.71

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Other real estate

...

,430.00 ,000.00 ,600.00 ,957.46

Due from banks this state

and

bankers in

74,507.00

Due from banks and bankers in

other states

Currency

Silver, nickels, etc

Cash items

Advances on cotton and seed

Building account



,372.41
,527.00 ,296.35 666.83 ,981.93 ,769.83

Total

".$529,856.20

LIABILITIES.

Capital stock paid in

$ 30,000.00

Undivided profits, less curent ex-

penses, interest and taxes paid.. 9,892.22

Individual deposits subject to

check

364,374.09

Time certificates

116,575.53

Certified checks

3.60

Cashier's checks

5,916.91

Reserved for interest

3,093.85

Total

$529,856.20

PEOPLES BANK, GLENNVILLE

Date of Charter, Sept., 1907; Begun Business, Sept., 1907 S. J. KICKLIGHTER, President; JAMES W. DELK, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.
Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items

$ 5H^-<! 89'1^^ 25b.n
,,j5nro 2,650.5.. in 59,341.89 in
Jilo'nn * ,,S"22 32-50 S25'I1
6.JS85JM

LIABILITIES.

Capital stock paid in

$ 25.000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10,237.60

Individual deposits subject to

check

, 148,821.50

Time certificates

50,427.21

Certified checks

23.96

Cashier's checks

2,747.96

Total

$237,258.23 Total

^237.258.23

86

TREASURER'S REPORT

FARMERS BAN K, GLENWOOD

Date of Charter, Nov. 5th, 1906; Begun Business, Nov. 10th, 1906 J. F. COOK, President; W. J. FUTEAL, Cashier

STATEMENT OP CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917

RESOURCES. Time loans

$ 83,664.54

Overdrafts, unsecured

9 735 25

Banking house

6'l4o'oO

Furniture and fixtures

l'736'50

Due from banks and bankers in

this state

132,971.34

Due from banks and bankers in

other states

15,902.94

Currency

16,397.00

Gold

40.00

Silver, nickels, etc

870 99

Cash items

1,686^43

Advances on cotton

13,491.61

Other resources (county war-

rants)

24,166.57

LIABILITIES.

Capital stock paid in

$ 20,000.00

Surplus fund

20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,057.87

Individual deposits subject to

check

232,112.85

Time certificates

27,413 17

Cashier's checks

5,'l29]28

Total

$306,713.17

Total

'306,713.

BANK OF GODFREY, GODFREY Date of Charter, Aug. 30, 1917; Begun Business, Sept. 1, 1917.
S. H. BUDLARD, President; O. J. ADAMS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 10,000.00

Time loans

1,979.69

Overdrafts, secured

L020.55

Banking house

2i286.45

Furniture and fixtures

2,346.55

Due from banks and bankers in

this state

12,768.23

Currency

3,500.00

Sliver, nickels, etc

430.35

Advances on cotton

1,400 00

Other resources (itemized), ex-

penses

28.53

LIABILITIES. Capital stock paid in Individual deposits, subject _ ch.?ck Savings deposits Certified ch'cks

$ 15,000.00 to
32,540.70 376 60 472.05

Total

$48,360.35

Total

$48,360.35

PEOPLES BANK, GORDON

Date of Charter, 1906; Begun Business, 1906 W. A. JONES, President; C. H. CATES, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

J 855 00

Time loans

85.101.'ss

Overdrafts, unsecured

1 765 04

Bonds and stocks owned by the

TB,b anak,"ikng house

3.lon.no 3 000 00

Furniture and fixtures

2,200 00

Other real estate

4 125 24

Due from banks and bankers in

this state

30,040.24

Due from banks and bankers in

other states

7 562 2

Currency G1(S Silver, nickels, etc

[ ] g]l29M 61805.0603

Cash items

, ]

32^85

LIABILITIES.

Capital stock paid in

$ 18,800.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5 940 34

Individual deposits, subject to

check

83.533.23

Time certificates

; 38^028.64

Cashier's checks

704 39

TotaI

$147,006.60

Total

$147,006.60

TREASURER'S REPORT

87

BANK OF GOUGH, GOUGH

Date of Charter, Jan. 22, 1910; Begun Business, Febv. 3, 1910 C. W, KITCHENS, President; C. W. KITCHENS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc
Cash items Advances on cotton Revenue stamps Depositors' guarantee fund Fire insurance fund Personal property

$ 2,697.63 33,703.12 2,134.76 3,019.56 508.90
in 17,280.33
in 27,555.47 3,339.00 60.00 1,636.80 61.52 3,096.45 100.00 1,000.00 292.60 50.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,853.10

Due unpaid dividends

69.60

Individual deposits, subject to

check

55,556.86

Time certificates

21,291.85

Cashier's checks

764.73

Total

96,536.14

Total

96,536.14

BANK OF GRAY, GRAY

Date of Charter, Aug. 23, 1909; Begun Business, Aug. 28, 1909 R. H. KINGMAN, SR., President; J. W. BONNER, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 5,000.00

Time loans

98,918.78

Overdrafts, unsecured

850.45

Bonds and stocks owned by the

bank

5,000.00

Banking house

2,341.07

Furniture and fixtures

1,785.98

Due from banks and bankers in

this state

106,96 i.25

Due from banks and bankers in

other states

14,760.43

Currency

4,608.00

Gold

72.50

Silver, nickels, etc

534.20

Cash items

1,084.40

Advances on cotton

10,000.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,859.49

Individual deposits, subject to

check

174,422.78

Time certificates

46,549.20

Cashier's checks

90.59

Total

$251,922.06

Total

BANK OF GRAYMONT. GRAYMONT

$251,922.06

Date of Charter, April 27, 1901 TV. M. DUNDEN, President; W. E. GRAY, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

$ 60,485.01

Overdrafts, secured by cotton

79,449.99

Overdrafts, unsecured

43.74

Bonds and stocks owned by the

bank

27,246.93

Banking house

4,379.00

Furniture and fixtures

2,827.14

Other real estate

18,133.09

Due from banks and bankers in

this state

3,762.12

Due from banks and bankers in

other states

3,203.30

Currency

> 2'J?JiJJ'

Gold

5i0.00

Silver, nickels, etc

322.28

Cash items

1,?o?'?o

Accrued interest

7,387.58

Total

$211,959.21

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 23,116.74

Due unpaid dividends

16.00

Individual deposits, subject to

check

147,369.77

Time certificates

25,041.36

Cashier's checks

1,415.34

Total

$211,959.21

H

88

TREASURER'S REPORT

BANK OF GRAYSON, GRAYSON

Date of Charter, July 11th, 1906; Begun Business, August 30th, 1906 W. A. COOPER, President; "W. T. ROBERTS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Banking house Furniture and fixtures Due from banks and bankers
this state
Due from banks and bankers other states
Currency Gold
Silver, nickels, etc Cash items
Advances on cotton

j 1,710. 26,213. 2,000. 2,391.
in
15,631.86 in
16,570 2,858 107 364
10,759. 79,639.

LIABILITIES.

Capital stock paid in

$25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,492.88

Individual deposits, subject to

check

123,809.90

Time certificates

5,281.60

Cashier's checks

650.75

Long and short account

11.00

Total

$158,246.13

Total

$158,246.13

BANK OF GRANTVILLE, GRANTVILLE

C. S. COLLET, President; J. A. LATIMER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Time loans ..,

$ 88,803.83

Overdrafts, secured

32,735.56

Bonds and stocks owned by the

bank Banking house

7,643.65 3,000.06

Furniture and fixtures

1,000.00

Other real estate

202.37

Due from banks and bankers in

this state

25,744.57

Due from banks and bankers in

other states

561.57

Currency Gold

3,205.00 30.00

Silver, nickels, etc. ...

1,672.24

LIABILITIES.

Capital stock paid in

$25,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,546.49

Individual deposits, subject to

,, check

120,882.76

Cashier s checks

169.54

Total

$164,598.79

Total

$164,598.79

GREENVILLE BANKING CO., GREENVILLE

Date of Charter, 1889; Begun Business, 1891 R. J. ATKINSON, President; W. L. PINKSTON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

< 26,310.39

Time loans

309,383.95

Overdrafts, unsecured, temporary.. 2.990.29

Bonds and stocks owned by the

bank Banking house Furniture and fixtures Other real estate

6,000.00 1,915.55 1,091.81 1,733.96

Due from banks and bankers in

this state

128,747.18

Due from banks and bankers in

other states

Currency

Gold

......"";;

Silver, nickels, etc

'

Cash items

,,

Advances on cotton

[

LIABILITIES.

Capital stock paid in

\ 65,000.00

Undivided profits, less current ex-

penses, Interest and taxes paid.. 87,769.59

Due to banks and bankers in this

state

i3g 52

Individual deposits, subject ' to

check

371,863.94

Time certificates

31,532.37

Cashiers checks

1,567.56

Tota'

$557,871.98

Total

.$557,871.98

TREASURER'S REPORT

89

PEOPLES BANK, GREENVILLE

Date of Charter, Aug. 17, 1905; Begun Business, Sept. 27, 1905 H. W. HILL, President; H. W. HILL, JR., Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 1,504.

Time loans

96,584.

Overdrafts, secured

2,300,

Overdrafts, unsecured, temporary.

812.

Bonds and stocks owned by the

bank

3,050,

Banking house

2,675.

Furniture and fixtures

1,000.

Due from banks and bankers

this state

. 62.-883.71

Due from banks and bankers n

other states

. 25,478.00

Currency

3,578.00

Gold

462.50

Silver, nickels, etc

806.01

Cash items and checks

1,872.99

Clearing house

611.61

Advances on cotton

. 24,840.74

LIABILITIES.

Capital stock paid in

$ 30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 22,439.59

Individual deposits, subject to

check

150,542.90

Time certificates

25,418.82

Total

.$228,401.31

Total

$228,401.31

GRIFFIN BANKING CO., GRIFFIN

Date of Charter, Oct., 1870; Begun Business, Oct., 1870 J. P. NICHOLS, President; E. C. SMITH, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$278,912.41

Time loans

335,298.95

Overdrafts, secured

25,294.87

Overdrafts, unsecured

1,491.76

Bonds and stocks owned by the

bank

32,375.00

Banking house

10.000.00

Furniture and fixtures

3.000.00

Other real estate

5^00.00

Due from banks and bankers in

this state

44,666.65

Due from banks and bankers in

other states

142,523.67

Currency

26,601.00

Gold

4,045.00

Silver, nickels, etc

1,095.20

Cash items

411.20

Clearing house

,

21,401.77

LIABILITIES.

Capital stock paid in

$100,000.00

Surplus fund

50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 92,325.52

Bue to banks and bankers in this

state

334.06

Individual deposits, subject to

check

601,319.48

Savings deposits

24,691.58

Demand certificates

6,453.27

Cashier's checks

802.57

Total

.$933,917.4S Total

$933,917.48

MERCHANTS & PLANTEDS BANK, GRIFFIN

H. H. BASS, President; J. C. BROOKS, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$180, 154.43

Time loans

354 927.31

Overdrafts, unsecured

52, 861.56

Ponds and stocks owned by the

bank

500.00

Banking house

000.00

Other real estate

261.36

Due from banks and bankers in

this state

81,208.63

Due from banks and bankers in

other states

18, 463.48

Currency

6, 804.00

Gold

922.bO

Silver, nickels, etc

2 224.50

Cash items

2, 973.45

Clearing house Advances on cotton

5: 99,

453.83 376.43

Total

$911,931.48

LIABILITIES.

Capital stock paid in

$100,000.00

Surplus fund

100,000.00

Undivided nrofits, less current ex-

penses, interest and taxes paid.. 62,972.62

Individual deposits, subject to

check

538,161.69

Demand certificates

110,723.70

Cashier's checks

73.47

Total

$911,931.48

90

TREASURER'S REPORT"

SAVINGS BANK OF GRIFFIN, GRIFFIN

Date of Charter, Oct., 1889; Begun Business, 1891 B. R. BLAKBLY, President; J. H. SMITH, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$114,080 62

Time loans

$136,711.65

Overdrafts, secured

22,946.52

Overdrafts, unsecured

1,553.19

Bonds and stocks owned by the

bank

15,200.00

Banking house

8,000.00

Furniture and fixtures

4,715.00

Other real estate

12,171.65

Due from banks and bankers in

this state

21,460.78

Due from banks and bankers in

other states

5,777.45

Currency

8,469.00

Gold

2,812.50

Silver, nickels, etc

4,589.12

Cash items

5,106.85

Clearinghouse

11,501.43

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 47,380.40

Individual deposits, subject to

check

123,516.10

Savings deposits

100,958.51

Demand certificates

43,107.55

Cashier's checks

132.60

Total

575,095.76

Total

$375,095.76

EFFINGHAM COUNTY BANK, GUYTON

JAS. T. WELLS, President; R. J. TAYLOR, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

$$111155,DD7.43

Overdrafts, unsecured

927.63

Bonds and stocks owned by the

bank

4,889.00

Banking house

4,000.00

Furniture and fixtures

5,742.72

Other real estate

19,099.18

Due from banks and bankers :

this state

50,768.92

Due from banks and bankers in

other states

1,014.84

Currency

3,800.00

Gold

25.00

Silver, nickels, etc

1.749.37

Cash items

281.20

LIABILITIES. Capital stock laid in .'. Undivided profits, less current ex-
penses, interest and taxes paid.. Due unpaid dividends Individual deposits, subject to
check Savings deposits Time certificates Cashier's checks

25,000.00
800.44 124.00
87,798.59 80,582.25 13,214.52
435.49

TotaI

$207,955.29

Total

$207,955.29

JONES COUNTY BANK, HADDOCK

Date of Charter July 14th, 1905; Begun Business, Aug 25 190*5 T. R. TURNER, President; G. A. SMITH! Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

.$ 8,033.35

Time loans

52,986.81

Overdrafts, secured

494.04

Overdrafts, unsecured

971.43

Bonds and stocks owned by the

bank

5,000.00

Banking house

1,590.11

Furniture and fixtures

1,803.11

Due from banks and bankers in

this state

113,108.78

Due from banks and bankers in

other states

4,794.05

Currency

2,915.00

Gold

10.00

Silver, nickels, etc

563.85

_ .

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid 21,556.31 Due to banks and bankers in this

state
Due unpaid dividends ........ Individual deposits, subject to

32.82 50.00

check ...

120,234.58

Time certificates Cashier's checks

25,150.00 246.82

TtaI

*192'270-53 TM*>

$7^7^?

TREASURER'S REPORT

91

BANK OF HOGAN, HOGAN

G. W. DELOACH, President; J. L. DELOACH, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

Time loans Overdrafts, unsecured

Banking house Furniture and fixtures

Other real estate

Due from banks and

this state Due from banks and

other states

Currency

Gold Silver, nickels, etc

Cash items



bankers bankers

Total

?

800.00 60,440.54

60.14

2,286.00

1,490.00

1,923.51

in 10,274.57

in 5,384.99 2,748.00 10.00 135.38
1,151.25

86,704.38

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current expenses, interest and taxes paid
Individual deposits, subject to
check Time certificates Cashier's checks

1,682.85 38,577.00 31,088.73
355.80

Total

1,704.38

BANK OF HAHIRA, HAHIRA

Date of Charter, Jan. 22, 1906; Begun Business, Feb. 15, 1906 L. M. STANFILL, President; W. H. McKINNON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and
this state Due from banks and
other states Currency Gold Silver, nickels, etc Cash items Advances on cotton

bankers bankers

;$ 27,473.66 121,160.22 6,014.35 2,178.85 2,215.00 1,648.75
in 18,907.17
in 8,455.14 3,981.00 40.00 438.99 148.82 38,658.39

LIABILITIES.

Capital stock paid in

$ 35,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10,858.28

Individual deposits, subject to

check

115,597.45

Time certificates

58,970.65

Cashier's checks

893.96

Total

$231,320.34

Total

$231,320.34

CITIZENS BANK, HAHIRA

Date of Charter, Dec. 16, 1912; Begun Business, 1912 G. W. VORN, President; M. LOTT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

* 67'?nq'sq

Overdrafts, unsecured Books and stationery

""?-"TM?

Furniture and fixtures

; 3,879.bb

Due from banks and bankers in

this state

,j 87,928.4.:

Due from banks and bankers other states
Currency Gold Silver, nickels, etc
Cash items Advances on cotton'::::

862.25 838.00 135.00 551.68 1,086.60
12.292.29

LIABILITIES.

Capital stock paid in

$ 24,900.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,248.52

Individual deposits, subject to

check

131,362.69-

Time certificates ; Cashier's checks



15,585.61 953.1f>

Total

$176,049.92 Total

$176,049.92

92

TREASURER'S KEPORT

BANK OF HAMILTON, HAMILTON

Date of Charter, 1905; Begun Business, 1905 C. H. COOK, President; T. W. TELFORD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

.$ 8,960.20

Time loans

43,759.71

Bonds and stocks owned by the

bank

3,170.00

Banking house

1,686.16

Furniture and fixtures

2,205.04

Other real estate

1,036.22

Due from banks and bankers in

this state

17,293.14

Due from banks and bankers in

other states

12,816.61

Currency

2,785.00

Silver, nickels, etc.

269.82

Cash items

445.50

Advances on cotton

8,115.97

Profit and loss

11,616.29

Mutual fire insurance

120.00

LIABILITIES.

Capital stock paid in

$ 16,200.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,074.57

Individual deposits, subject to

check

48,982.18

Time certificates

35,275.13

Cashier's checks

131.49

Total

.'...$102,663.37

Total

$102,663.37

BANK OF HARRIS COUNTY, HAMILTON

Date of Charter, Oct. 10th, 1917; Begun Business, Nov. 27, 1911 B. H. WILLIAMS, President; W. K. HEWETT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 15,861.'i6

Time loans

25,575.04

Overdrafts, secured and unsecured 1,796.07

Bonds and stocks owned by the

bank

1,300.00

Furniture and fixtures

2,703.90

Due from banks and bankers in

this state

20,354.79

Due from banks and bankers in

other states

2,310.32

Currency

5,426.00

Silver, nickels, etc

425.36

Advances on cotton

14,106.69

Mutual fire insurancs funds

263.95

Expense, interest and taxes paid. 1,988.17

LIABILITIES.

Capital stock paid in

$ 15,000.00

Individual deposits, subject to

check

52,622.82

Demand certificates

18,788.15

Cashier's checks

501.28

Bills payable, including time certi-

ficates representing borrowed

money

6,200.00

Total

$ 93,112.25

Total

$ 93,112.25

BANK OF HAMPTON, HAMPTON

Date of Charter, 1902; Begun Business, 1902 W. P. TVTLSON, President; J. O. RUTHERFORD, Cashier

STATEMENT OF CONDITION" AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 400.00

Time loans

93.572.b5

Overdrafts, unsecured

680.40

Bonds and stocks owned by the

bank

7,000.00

Furniture and fixtures

1,200.00

Due from banks and bankers in

this state

73,882.01

Due from banks and bankers in

other states

27,680.63

Currency

5,350.00

Gold

100.On

Silver, nickels, etc

352.12

Cash items

3,146.21

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,421.93

Individual deposits, subject to

check

114,943.49

Time certificates

36,007.05

Cashier's checks

1,991.55

Total

$213,364.02' Total

$213,364.02

TREASURER'S EEPORT

93

BANK OF HOPEVILLE, HOPEVILLE

J. M. DANIEL, President; ZACK ADAMSON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures

t

8,132.00 64,642.58



563.88 706.87

2,673.64

2,235.55

Other real estate

3,474.96

Due from banks this state

and bankers in

28,732.99

Due from banks and bankers in

other states Currency
Gold Silver, nickels, etc

3,122.17 2,107.00
105.00 312.97

Cash items

558.53

Total

$117,368.14

LIABILITIES.

Capital stock paid in

f 15^00.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,387.62

Individual
check

deposits,. subject

to 9H,t,i

Time certificates

6,041.41

Cashier's checks

564.60

Total

$117,368.14

BANK OF COLUMBIA COUNTY, HARLEM

Date of Charter, Nov. 29th, 1909; Begun Business, Dec. 13th, 1909 E. D. CLARY, Vice-President; W. S. LAZENBY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.
Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Advances on cotton Liberty Bonds

$ .l-]i0A% 4H?n U*jJ
X'SrJcX 2,<i54.b9 in 70,407.73 in 7'25H,, 6',,,,XX
2o5.00 3T8.18
, TM f**-,,fA 1,726.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,659.06

Individual deposits, subject to

check

"

147,505.23

Time certificates

38,624.97

Cashier's checks

946.81

Total

$216,636.07

Total

$216,636.07

BANK OF HARRISON, HARRISON

Date of Charter, March 12, 1906; Begun Business, Feb. 6th, 1906 WILEY SMITH, President; J. N. LANIER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.
Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items
T0tai

$ J i'HS ,,,,TM TM

^'TVA'S
i42nn

i'UZ'ii l.syi.bb

W

. 0

100,196.bo

in

2?'7Hn

1'IM7R

627.35

$192,819.13

LIABILITIES.

Capital stock paid In

$ 15,000.00

Surplus fund

t

1,600.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 12,358.42

Individual deposits, subject to

check

157,703.38

Time certificates

6,257.33

Total

$192,819.13

94

TREASURER'S REPORT

FARMERS & MERCHANTS BANK, HARTWELL

Date of Charter Dec. 7th 1899; Begun Business, Jan. 1st, 1900 J. i. bKELTON, President; J. L. MASSEY, Cashier

STATEMENT OP CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917

_

RESOURCES.

Demand loans

* on SQQ S7

Time loans

.:;..

104362'so

Overdrafts, unsecured

1258 81

Bonds and stocks owned by trie

bank Banking house

....

A nno no 870000

.

LIABILITIES.

Capital stock paid in

$ 50,000 00

Surplus fund

i2onnnn

Undivided profits, less current'ex-

TInPd?ivni.sdeusa. l

interest and deposits,

taxes paid.. subject to

10,516 28

Furniture and fixtures

Other real estate

.';;:'

Due from banks and bankers in

2'30250 846987

Time certificates''.'.".'.'.'.'.'.'.'.

216'641'?fi

Cashier's checks

.'.'.'.'.'.'.' 1,972.62

tins state ...

78,648.34

Due from banks and bankers in

other states

Currency ...

Gold

.'.'.'.'.'.'.'.'.'.'.'.'.

Silver, nickels, etc

,

Cash items

\ '

Advances on cotton

'.'.'.'.'.

85,568.10 10,586.00
25.00 188.57 143.26 32,050.71

Tota-1

$357,203.33

Total

.$357,203.33

HARTWELL BANK, HARTWELL

Date of Charter, 1889; Begun Business, 1889 J. W. WILLIAMS, Preside nt; J. G. CROFT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH 1917

RESOURCES.

Demand loans Time loans

; 49,073.46 213.574.06

Overdrafts, unsecured

2,461.23

Bonds and stocks owned by trie

bank Banking house

...."'

5,040.00 7.000.00

Furniture and fixtures

" 2,153.38

Other real estate

.'

190.00

Due from banks and bankers in

this state

25,! :.78

Due from banks and bankers' iii

other states Currency

54,557.69 7,280.00

Gold

.'.'.'.'.'.'.'.'.'.'.'.'.'.'.'.

Silver, nickels, etc

Cash items

, \ [ \

182.50 753.24 430.92

Advances on cotton

36,828.88

Liberty Bonds (customers)

5,154.00

LIABILITIES.

Capital stock paid in . Surplus fund Undivided profits, less current

< i ex-

60,000.00 15,000.00

penses, interest and taxes paid. Individual deposits, subject to

19,487.75

check

Savings deposits

'.

Time certificates

Cashier's checks ........

Due to clearing house ...'.'.'."...

284,399.81 4,315.34
18,535.52 3,697.21 5,212.51

TotaI

$410,648.14

Total

.$410,648.14

HART COUNTY BANK, HARTWELL

C. I. KIDD, President; P. T. KIDD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 7,792.35

Time loans

62,235.72

Overdrafts, unsecured

1,536.19

fBonds and stocks owned by the

bank

12,750.00

:< Furniture and fixtures

2,556.61

Due. from banks and bankers in

this state

83,607.00

D uoethefrromstatbesanks and bankers iri Currencv

28,684.80 10,367.00

Silver, nickels, etc

1,073.37

Cash items and clearing

72.24

LIABILITIES.

Capital stock paid in

$ 95 000 00

Undivided profits, less current ex- ^'U00-00

penses, interest and taxes paid.. Individual deposits, subject to

i2',,705*4 "2i1l

check

' 177 ,,,,,,

Savings deposits

S7TI

DTiemmeanfdprtciefirrtaifticBates

1r.^tka.a5r

Cashier's checks

243.53

Total

$210,675.28

Total

$210,675.28

TREASURER'S EEPORT

95

PLANTERS BANK, HAWKINSVILLE

Date of Charter, Feb. 27th, 1896; Begun Business, March, 1896 N. A. JELKS, President; B. W. CONEY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 93,273.59

Time loans

121,530.51

Overdrafts, unsecured

55.47

Bonds and stocks owned by the

bank

300.00

Banking house and furniture and

fixtures

20,000.00

Other real estate

2,891.82

Due from banks and bankers in

this state

162,846.24

Due from banks and bankers in

other states

47,546.33

Currency

18,560.00

Silver, nickels, etc.

2,483.36

Che'cks and clearing house

7,754.29

Advances on cotton (overdraft)... 153,794.37

U. S. certificates of indebtedness. 10,000.00

U. S. Liberty Loan bonds

18,000.00

LIABILITIES.

Capital stock paid in

? 50,000.00

Surplus fund

50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 43,394.21

Individual deposits, subject to

check

372,734.59

Demand certificates

22,719.44

Time certificates

118,658.69

Cashier's checks

1,529.05

Total

659,035.98

Total

$659,035.!

HAWKINSVILLE BANK & TRUST CO., HAWKINSVILLE

Date of Charter, August, 1872; Begun Business, August, 1872 E. J. HENRY, President; JNQ. H. CALDWEDL, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 62,658.57

Time loans

162,328.41

Overdrafts, secured

2,206.45

Overdrafts, unsecured

1,707.86

Bonds and stocks owned by the

bank

20,135.75

Banking house and furniture and

fixtures

14,650.00

Other real estate

8,100.00

Due from banks and bankers in

this state

22,333.30

Due from banks and bankers in

other states

37,191.64

Currency

2,421.00

Gold

542.50

Silver, nickels, etc

739.31

Cash items

2,197.98

Clearinghouse

3,768.44

Advances on cotton

2,424.06

Advances on cotton (overdraft)... 62,035.31

U. S. Liberty Bonds

4.500.U0

LIABILITIES.

Capital stock paid in

$50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 44,023.91

Due unpaid dividends

45.00

Individual deposits, subject to

check

203,549.57

Demand certificates ...;

23,083.38

Time certificates

87,724.28

Certified checks

351.73

Cashier's checks

1,162.71

Total

$409,940.58

Total

$409,940.58

BANK OF HAZLEHURST

J. W. HINSON, President; J. C. SHAW, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc
Cash items Advances on cotton

$82,918.13 2,272.1 4,940.42 1,748.19 8,187.16
in 18,362.98
in 3,891.33 4,649.00 332.50 318.35 95!'^ 1,344.09

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,438.13

Due to banks and bankers in other

states

5,000.00

Individual deposits, subject to

check

75,993.25

Time certificates

26,965.49

Cashier's checks

3,525.31

Total

$129,922.18

Total

$129,922.18

96

TREASURER'S REPORT

CITIZENS BANK, HAZLEHURST

Date of Charter, 1905; Begun Business, 1905 L. CARTER, President; F. M. HAYNES, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

$ 99,182.59

Overdrafts, secured, advances on

cotton

3,050.75

Overdrafts, unsecured Bonds and stocks owned by the
bank

255.84 200.Q0

Furniture and fixtures

1,900.00

Other real estate

4,806.19

Due from banks and bankers in

this state .._. Due from banks



and

bankers

in

35,178.41

'Other states Currency Gold

37,382.84 5,018.00
130.00

Silver, nickels, etc Cash items

537.03 2,363.86

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 11,076.93

Individual deposits, subject to

check

127,761.68

Time certificates Cashier's checks Bills payable, including time certi-
ficates representing borrowed money

20,577,73 589.17
5,000.00

Total

$190,005.51

Total

$190,005.51

MERCHANTS & PLANTERS BANK, HAZLEHURST
Date of Charter, July, 1914; Begun Business, July, 1914 G. W. VARN, President; T. R. KNIGHT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

$ 74,959.97

Overdrafts, secured (cotton and

seed)

!

801.22

Furniture and fixtures

3,492.46

Due from banks and bankers in

this state

7,659.00

Due from banks and bankers in

other states

5,274.46

Currency

1,600.00

Silver, nickels, etc

142.03

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 776.86

Individual deposits, subject to

check

60,101.71

Time certificates

18,050.57

Total

$93,929.14

Total

J 93,929.14

BANK OF HELEN, HELEN

Date of Charter, July 4th, 1913; Begun Business, August 23rd 1913 JOHN E. MITCHELL, President; I. D. CAIN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.
Demand loans Time loans Overdrafts, unsecured Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold
Silver, nickels, etc Cash Items

$ 1.251.14 39,567.76 176.96
775.33 5,721.60 in 3,330.61 in 6 671 13
'32l!oo 5 00
257 95 427 04

LIABILITIES.

Capital stock paid in

$15 000 00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,133.02 Individual deposits, subject to

check

35,754.39

Time certificates

4 575 49

Cashier's checks

' 21.62

TOtal

$58,508.52 Total

$ 58,508.52

TREASURER'S REPORT.

97

CITIZENS BANK, HELENA

Date of Charter, Oct. 2nd, 1905 O. W. TURNER, President; R. G. HUTCHESON, Acting Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

i

Time loans

$ 20,085.07

Overdrafts, unsecured

351.77.

Bonds and stocks owned by the

bank

1,700.00

Banking house

2,350.71

Furniture and fixtures

2,300.00

Other real estate

1,200.85

Due from banks and bankers in this state
Due from banks and bankers in other states
Currency Gold Silver, nickels, etc

28,395.28
485.43 6,300.00
147.50 467.94

Cash items

113.34

Total

$ 63,897.89

ft

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,247.98

Individual deposits, subject to

check

39,280.10

Time certificates

4,616.75.

Cashier's checks

3,753.06

Total

$ 63,897.89

BANK OF HIAWASSEE, HIAWASSEE

Date of Charter, June 14, 1909; Begun Business, July 21, 1909 J. F. JOHNSON, President; W. O. SPARKS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH. 1917.

RESOURCES.

Time loans

$ 59,752.23

Bonds and stocks owned by the

bank

3,000.00

Banking house

2,200.00

Furniture and fixtures

1,450.00

Other real estate

590.00

Due from banks and bankers in

this state

10,249.91

Due from banks and bankers in

other states

1,740.56

Currency

2,894.00

Gold

80.00

Silver, nickels, etc

5(0.13

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,771.08

Individual deposits, subject to

check

32,812.71

Time certificates

32,943.04

Total

? 82,526.83

Total

$ 82,526.83

BANK OF HILLS BORO, HILLSBORO

Date of Charter, Aug. 23rd, 1911 Begun Business, Aug. 31st, 1911 J. T. GARLAND, President; E. B. McCULLOUGH, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

",397.96

Time loans

200,920. II

Bonds and stocks owned by the

bank

40,494.71

Banking house Furniture and fixtures Due from banks and
this state Currency Silver, nickels', etc Cash items.

bankers

H5H? 2,24b.31 m 2?'5?H 4'8^
,,000
____Z

Total

$294,038.33

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8,138.71

Individual deposits, subject to

check

147,234.86

Time certificates

113,565.52

Cashier's checks

99.24

Total

$294,038.33

anna

98

TREASURER'S REPORT

HINESVILLE BANK, HINESVILLE Date of Charter, Sept. 4, 1911; Begun Business, Nov. 15, 1911
J. B. WAY, President; LEWIS ASHMORE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

1 lme loans

RESOURCES.

* 44,466.56

Overdrafts, unsecured

1,946 99

Banking house and furniture and

fixtures

5,730.48

Due from banks and bankers in

this state

45,856.30

Due from banks and bankers in

other states

1,021.52

Currency Gold

3,337.00 5 00

Silver, nickels, etc

..

545.67

Cash items

59^00

LIABILITIES.

Capital stock paid in

$ 15 000 00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

663.46

Individual deposits, subject to

check

56,761.29

Time certificates

25,224 95

Cashier's checks

318.82

Total

$102,968.52 Total

1102,968762

BANK OF HIRAM, HIRAM

W. W. HUNT, President; W. F. BYRD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

, $ 3 812 37

Time loans

48^284.IS

Overdrafts, unsecured

160.91

Bonds and stocks owned by the

ha,1* Banking house

600.00 1 980 00

Furniture and fixtures

2,493.50

Due from banks and bankers in

this state

49,048.02

Due from banks and bankers in

other states

17,899.50

Currency

4,150.00

Gold

227 50

Silver, nickels, etc

..

244 69

Advances on cotton

2,098^67

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid. . 11,943 29

Individual deposits, subject to

,, check

59,218.41

Savings deposits

16,282.50

Time certificates

24,993.29

Cashier's checks

3,'561.85

Total

.$130,999.34

TotaI

$130,999.34

HOGANSVILLE BANKING CO., HOGANSVILLE

Date of Charter, April 6th, 1904; Begun Business, April 21st, 1904 JAS. F. ASKEW, President; W. E. JOHNSON, Cashier

STATEMENT OF CONDITION AT THE CLOSE CF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans Overdrafts, secured
Overdrafts, unsecured
Bonds and stocks owned

.'....,

$103 62 2
4

747.00 894.07 895.10 783.65

by the

bank

13 000.00

Furniture and fixtures ....'!.'.'.'.'.'.' 2 957.85

Due from banks and bankers in

this state

20,742.90

Due from banks and bankers in

other states

134.64

Currency Gold

11 060.00 500.00

Silver, nickels, etc Cash items

1 068.10 305.01

Advances on cotton

74, 296.05

LIABILITIES. Capital stock paid in

$ 25 000 00

Surplus fund

32,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8,246 97

Individual deposits, subject to

check

194,893.93

Demand certificates

14303 93

Cashier's checks

921 54

Bills payable, including time certi-

ficates representing borrowed

money

22,500.00

Ttal

$298,366.37 Total

$298,366.37

TREASURER'S REPORT

99

PLANTERS BANK, HOGANSVILLE

R. H. JENKINS, President; D. B. PINKSTON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans
Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold .: Silver, nickels, etc
Cash items Advances on cotton Depositors' Guarantee Fund Mutual Fire Insurance Co

? 22,925.80 42'59Ho 132.60 4,746.96 3,049.50 4,053.95
in 6,122.46
in 17,083.60
4,006.00 312-50 954.34
}*22?-?i 14,231.49 2,856.40
120.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

76.31

Undivided profits, less current ex-

penses, interest and taxes paid..

239.52

Due unpaid dividends

50.00

Individual deposits, subject to

check

70,784.15

Savings deposits

-.

Time certificates

,,?H! 6i,'il'-^

Cashier's checks

158.86

Total

$124,588.52

Total

$124,588.52

BANKS COUNTY BANK, HOMER

Date of Charter, Nov. 25, 1910; Begun Business, Dec. 28, 1910 T. M. COFFEE, President; O. WALTON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans Overdrafts, unsecured

$ 3,200.00 70,650.31 1,810.12

Bonds and stocks owned by the bank
Banking house Furniture and fixtures

18.00 2,347.40 2,129.24

Due from banks and bankers in

this state

31,534.27

Due from banks and bankers in
other states Currency
Gold Silver, nickels, etc Cash items Fire insurance fund

23,429.49 7,940.00
10.00 239.63 1,879.82 120.00

Total

$145>: 8.28

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,613.90

Individual deposits, subject to

cheCk Time certificates

91,538.94 3?41n'lo

Cashier's checks Revenue stamps

3,040.bi 1.40

Totai

$145,308.28

BANK OF HOMERVILLE, HOMERVILLE

Date of Charter, May 6, 1903 R. G. DICKERSON, President; G. A. GIBBS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans Overdrafts, secured

and

' unsecured

7,709 151,286
10,346

12 97 63

Banking house

1,717 (12

Furniture and fixtures

1,833 74

Due from banks and bankers m this state

i.96

Due from banks and other states
Currency Gold Silver, nickels, etc Cash items

bankers

in

20,300. 00 3,504. 00 100. 00 923. 25 1,609. 12

LIABILITIES.

Capital stock paid in

$ 15.000.00

Surplus fund

18,648.97

Undivided profits, less current ex-

penses, interest and taxes paid . 4,491.01

Individual deposits, subject to

check

105.806.39

Time certificates Cashier's checks

^'^AQ'OK
808.25

Total

$237,000.41

Total

$237,000.41

mammm

100

TREASURER'S REPORT

BANK OF HOSCHTON, HOSCHTON

Date of Charter, May 3, 1904; Begun Business, May 4 1904 W. M. SMITH, President; B. F. WILSON, Cashier

STATEMENT OP CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans

$ 48,576.09

Overdrafts, unsecured Bonds and stocks owned by the

oil 29

bank Banking house

2,000.00 1 700 00

Furniture and fixtures

2'500.00

Due from banks and bankers in

LIABILITIES.
Capital stock paid in Surplus fund Individual deposits, subject'
check
Time certificates .....'...'.'.''.'.'.' Cashier's checks

30,000.00 15,000.00
46,681.63 3,724.35
755.49

this state

34,956.36

Due from banks and bankers in

other states

,

2 161 67

Currency

2,'5S6:00

Gold

572.50

Silver, nickels, etc

,[ 383 39

Cash items

460

Profit and loss

'

209^57

Total

1,161.47

Total

$ 96,161.47

BANK OF ILA, ILA

Date of Charter, Oct. 11, 1910; Begun Business, Oct. 15 1910 DR. G. W. WESTBROOK, President; J. L. THOMPSON, Cashier

STATEMENT OP CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917

RESOURCES.

Time_ loans Banking house

$ 42,544.86 2 487 Ji>

Furniture and fixtures

.' 1'615 80

Due from banks and bankers in

this state

81,997 31

Due from banks and bankers in

other states

11,<>00 67

Currency

5355 90

Silver, nickels, etc Cash items ..'.

' 6CK89

, ]

19 20

LIABILITIES.

Capital stock paid in

$ 15,000.00

S^us fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2 166 92

Due unpaid dividends

1 276 45

Individual deposits, subject to

check

..

114,422.59

Time certificates

2 056 90

Cashier's checks

788^29

Total

$145,711.15

Total

.$115,711.15

CITIZENS BANK, IRON CITY

Date of Charter, 1905; Begun Business, 1905 P. S. CUMMINGS, President; R. R. DAVIS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans Overdrafts, secured Overdrafts, unsecured Bonds and stocks owned
bank Banking house

$ 27.638.87 .'!!.!] 5,664.90
4,326.93 by the
o.SOO.OO 2.9ii1 60

Furniture and fixtures Other real estate Due from banks and bankers in

2.976.30 5,501.16

this state

8.646.11

Due from banks and bankers in

LIABILITIES.

Capital stock paid Surplus fund Undivided profits,

in . less current

j "ex-

18,000.00 1,539.09

penses, interest and taxes paid.. Individual deposits, subject to
check Timo certificates Cashier's checks

1,255.40
42,939.91 6,971.30 566.39

other states Currency Gold

2 732 3R .' BAM.nn
112 50

Silver, nickels, etc Cash items

437 8S 12'10'ifi

Total

$ 7L272.09

Total

$ 71,272.09

OBBBSBBBBBBS

TREASURER'S REPORT

IRWINTON BANK, IRWINTON

Date of Charter, February 19, 1911; Begun Business, February 20, 1911 GEO. H. CARS WELL, President; J. J. RAGAN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 28,000.no

Time loans

46,7 IS.67

Bonds and stocks owned by the

bank

15,000.00

Banking- house

2,000.00

Due from banks and bankers in

this state

14,585.50

Due from banks and bankers in

other states

7,525.44

Currency

5.S77.00

Gold

50.00

Silver, nickels, etc

421.42

Cash items

259.25

Depositors' guarantee fund

3,014.35

Mutual Are insurance fund

120.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,748.31

Individual deposits, subject to

check

58,008.93

Time certificates

.,

44,212.38

Cashier's checks

102.31

Total

$123,071.93

Total

J123.071.93

BANK OF IRWINVILLE, IRWINVILLE

Date of Charter, Oct. 1st, 1906; Begun Business, Oct. 1st, 1906 J. B. CLEMENTS, President; M. T. LAWRENCE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states ' Currency Gold Silver, nickels, etc
Cash items Advances on cotton

$25,961.OS 18,935.48 1,943.46 1,379.02
in 63,514.80
in 1,002.25
981.00
757.00
635.52
16.00
155.83

Total

$115,281.44

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

1,309.51

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,790.27

Due unpaid dividends

64.00

Individual deposits, subject to

check

82,356.61

Time certificates

3,239.62

Cashier's checks

521.43

Total

$115,281.44

JACKSON BANKING CO., JACKSON

Date of Charter, 1888; Begun Business, December, 1888 F. S. ETHERIDGE, President; J. W. BROWN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 41,102.77

Time loans Overdrafts, secured Overdrafts, unsecured

106-17Ho
62,1A2'C?
9,207.6o

Bonds and stocks owned by the

bank

HIS'??

Banking house

H2H2

Furniture and fixtures

2,876.17

Other real estate

8.043.87

Due from banks and bankers in

this state

45,503.04

Due from banks and bankers in
other states Currency Gold Silver, nickels, etc
Cash items

12'700-^ 5'092'2" Hilb 'l1", 1,8rnnn

Revenue stamps

,,,,,,,,,,

Liberty Bonds

6,000.00

LIABILITIES.

Capital stock paid in

$ 50,000.00-

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 20,085.53

Due to banks and bankers in this

state

623.89

Due unpaid dividends

6.00

Individual deposits, subject to

check

166,534.53

Savings deposits

48,930.74

Time certificates

21,894.98

Cashier's checks

87.03

Totai

$313,162.70

Total

$313,162.70

OB

102

TREASURER'S REPORT

BANK OF JAKIN, JAKIN

Bate of Charter, Sept. 27, 1912; Begun Business, Oct 4 1912 O. H. MOSELY, President; T. F. MINTER, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Time loans Overdrafts, unsecured'!.'

% 721,'95815.9655

Bonds and stocks owned by trie

hank

ono 00

FSuSrnfiftui*re hSanSd28,,fix_vtu.: res
Due from banks and

.

''

bankers .

3,ooo.'oo
2,089.39

this state

2 717 Q2

LIABILITIES.

Capital stock paid in

$

Undivided profits, less current exT P?n.ses' interest and taxes paid.. Individual deposits, subject to
check

Time certificates

Cashier's checks

'.'.'.'.'.'.'.'.

24 600 00 ' '
1,930 82
59 109 31
2V1211 2|834!94

Due from banks and other states
Currency Silver, nickels, etc. Cash items

bankers 'in

479 7q K oio'An
24.14 1,780.00

Total

$ 90,827.18

Total

$ 90,827.18

PICKENS COUNTY BANK, JASPER

Date of Charter, June 9, 1909; Begun Business, June 23 1909 SAM TATE, President: TV. C. WARLICK, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

Time loans

,

Overdrafts, unsecured

*Si7-cB9;',86841484.098s 210. ,4

Bonds and stocks owned bv the

bank
Banking house Furniture and fixtures ..' Other real estate Due from banks and bankers""

750.00 3,000.00 3,372.36 3,451.03

this state

20,760.28

gTMy ::::::::: ?;S Due from banks and banker's ,

other states

l !> R41 QC

LIABILITIES.

sSrPp^sStfuCn!aPa!a.in

*jjj-JK

Undivided profits, less current'ex- *aTM-oa

penses, interest and faxes paid.. Individual deposits, subject to
check Time Cashier's checks Bills payable, including time certi-

1,003.18
92,906.09 729.29 51.27

ficates representing borrowed

money

15,000.00

Silver, ' nickels,' ' etc' ",'.'.'.'.'. .'.V. Cash items

275'91 5,684.'72

Total

$153,036.36

Total

.$153,036.36

BANK OF JACKSON COUNTY, JEFFERSON

Date of Charter, March 11th, 1910; Begun Business, May 1910 H. I. MOBLEY, President; J. B. STOREY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

T'me, ioans Overdrafts, unsecured

$ 34,969.69 1 813 93

Bonds and stocks owned by the

T,03-"^

;

Furniture and fixtures

1,245.00 1 37s 09

Due from banks and bankers iii

this state ..

25,770.06

Due from banks and bankers in

other states

19,326.28

LIABILITIES.

Capital stock paid in Surplus fund Undivided profits, less

current

s * ex-

25,000.00 4,000.00

penses, interest and taxes paid Individual deposits, subject to

1,518.56

check

me certificates'''.'.'.'.'.'.'.'.'.{[ Cashier's checks

6fi'?qq-9804 317.42

g^enCy

5;i45.00

Silver, ' nickels,'' etc' ". '.'.'. !!.". \ \ \ \ ] \\ ISSSg

Cash items

6174

Advances on cotton ..........'!.'.''. 14,17112

Total

$104,852.72

Total

$104,852.72

1--

TREASURER'S REPORT

103

JEFFERSON BANKING CO., JEFFERSON

Date of Charter, Aug., 1891; Begun Business, Jan. 10th, 1892 JNO. N. HOLDER, President; J. C. TURNER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 6 000.00

Time loans

107 781.10

Overdrafts, unsecured

15 451.81

Bonds and stocks owned by the

bank

1 000.00

Banking house

2 000.00

Furniture and fixtures

1, 3BP.00

Due from banks and bankers in

this state

52,040.61

Due from banks and bankers in

other states Currency

19, 787.53 4 209.50

Gold Silver, nickels, etc

700.00 504.51

Cash items

674.59

Advances on cotton

114, 678.87

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10,946.26

Due unpaid dividends

175.00

Individual deposits, subject to

check

._

96,818.87

Time certificates

13,616.24

Remittances, etc

4,668.15

Total

$226,224.52

Total

$226,224.52

FARMERS & MERCHANTS BANK, J EFERSON VI LLE.

Date of Charter, July 24, 1911; Begun Business, Aug. 1, 1911. JOED A. SMITH, President; J. H. WHITEHURST, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Bonds and stocks owned by the
bank Banking house .., Furniture and fixtures Due from banks and bankers in
this state Due from banks and bankers in
other states Currency Silver, nickels, etc Cash items Advances on cotton

1,856.66 8,213.01
5,000.00 3,200.00 1,700.00
33,744.39

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,898.33

Due unpaid dividends

1,200.00

Individual deposits, subject to

check

60,588.39

Time certificates

10,879.56

Cashier's checks

1,316.32

Total

91,882.60

Total

$ 91,882.60

TWIGGS COUNTY BANK, JEFFERSON VI LLE.

Date of Charter, Dec. 14, 1903; Begun Business, Dec. 14, 1903 J. C. SHANNON, President; J. G. ROCKMOEE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 10,325.00

Time loans

75,239.15

Overdrafts, secured by cotton ... 35,307.31

Overdrafts, unsecured

291.13

Bonds and stocks owned by the

bank

17,154.00

Banking house

2,000.00

Furniture and fixtures

2,400.00

Other real estate

3,000.00

Due from banks and bankers in

this state

64,416.64

Due from banks and bankers in

other states

43,303.20

Currency

7,847.00

Silver, nickels, etc

813.82

Cash items

' 858.95

Advances on cotton

129,297.32

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 22,488.21

Individual deposits, subject to

check

245,844.56

Time certificates

85,676.79

Cashier's checks

3,243.96

Total

$392,253.52

Total

$392,253.52

B

104

TREASURER'S REPORT

FARMERS BANK, JENKINSBURG.

Date of Charter, 1910; Begun Business, Jan. 1910. B. P. AKIN, President; H. C. CHILDS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 60,198.46

Overdrafts, secured

469.49

Overdrafts, unsecured

83i9S

Bonds and stocks owned by the

,, ban.k Banking- house

1,206.00 1,500 00

Furniture and fixtures

1,514 19

Due from banks and bankers in

this state

18,586.50

Due from banks and bankers in other states
Currency Silver, nickels, etc

201 65 508.0o 209 45

Cash items

]

76^85

Advances on cotton

81534

LIABILITIES.

Capital stock paid in

$ 15 000 00

Surplus fund

1,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,317.85

Individual deposits, subject to

cheek

52,158.70

Time certificates Cashier's checks Bills payable, including time certi-
ficates representing borrowed

2,018.54 368 82

money

13,500.00

Total

* 85,363.91

Total

$ 85,363.91

JESUP BANKING CO., JESUP.

L. CARTER, President; Wi H. TYSON, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$111,871.32

Overdrafts, unsecured

1,145.55

Bonds and stocks owned by the

bank

25,592.61

Furniture and fixtures

1,748.48

Due from banks and bankers in

this state

28,928.63

Due from banks and bankers in

other states

Currency

Gold

j

Silver, nickels, etc.

8,004.16
928.00 95.00
1,980.24

Cash items

857.55

Advances on cotton

17,729^06

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 12,316.32

Due to banks and bankers in this

state

53,020.67

Due to banks and bankers in other

states

1,000.00

Individual deposits, subject to

check

52,729.63

Savings deposits

4,082.38

Time certificates

24,945.05

Certified checks

16.56

Cashier's checks

269.99

Total

$198,380.60

Total

$198,380.60

MERCHANTS & FARMERS BANK, JESUP.

Date of Charter, Sept. 9, 1917; Begun Business, Oct. 1, 1910. G. B. WHALBT, President; H. L. HERITAGE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans
Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers

$134 ,270.10 7 .689.16 4 000.00 2, 167.50 9' 909.84
in

this state
Due from banks and other states
Currency
Gold Silver, nickels, etc Cash items Advances on cotton Items in suspense

bankers in ........'..;

61 161.83
2, 207.73 c' 870.00 l' 760.00 1' 149.56
717.79 34, 783.74
i, 506.01

LIABILITIES.

Capital stock paid in

$ 25.000.00

Surplus fund

3,850.00

Undivided profits, less current ex-

penses, interest and taxes paid. . 1,346.03

Due to banks and bankers in this

state

62.37

Individual deposits subject to

check

181,376.60

Time certificates

56,359.90

Cashier's checks

2,198.36

Total

$270,193.26 Total

$270,193.26

TREASURER'S REPORT

105

Date A.

BANK OF JONESBORO, JONESBORO.
Charter, Oct. 6, 1903; Begun Business, Nov. 7, 1903. BLALOCK, President; J. B. PULLIAM, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, secured by cotton Overdrafts, unsecured Bonds owned by the bank Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items

$ 14,137.54 100,306.89 34,664.37 1,106.28 31,500.00 1,500.00 1,000.00
in 113,897.29
in 6,095.97 3,430.00 73.00 527.45 188.08

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 16,655.73

Individual deposits subject to

check

241,352.16

Cashier's checks

418.98

Total

$308,426.87

Total

$308,426.87

BANK OF CLAYTON COUNTY, JONESBORO.

Date of Charter, Oct. 10, 1908; Begun Business, Oct. 27, 1908. L. Z. GILBERT, President; L. M. KING, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 43,875.73

Overdrafts, secured

27,484.10

Overdrafts, unsecured

6,739.52

Bonds and stocks owned by the

bank

3,500.00

Banking house

3,000.00

Furniture and fixtures

3,121.92

Due from banks and bankers in

this state

62,807.63

Due from banks and bankers in

other states

13,867.57

Currency

;

605.00

Gold

365.00

Silver, nickels, etc

562.21

Cash items

214.79

Advances on cotton

7,192.00

LIABILITIES.

Capital stock paid in

$25,000.00

Surplus fund

7,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,471.48

Individual deposits subject to

check

102,246.80

Savings deposits

20,518.39

Time certificates

11,229.66

Cashier's checks

122.14

Total

$171,i 8.47

Total

$171,588.47

FARMERS AND MERCHANTS BANK, JUNCTION CITY.

Date of Charter, March 23, 1912; Begun Business, April 3, 1917. CHAS. W. MOORE, President; W. E. GREENE, JR., Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$19,735.07

Overdrafts, unsecured

21.69

Bonds and stocks owned by the

bank

1,000.00

Banking house

1,607.40

Furniture and fixtures

1,951.14

Due from banks and bankers in

this state

23,999.89

Due from banks and bankers in

other states

3,116.54

Currency

1,224.00

Gold

82.50

Silver, nickels, etc

400.73

Cash items

23.10

Advances on cotton

6,200.07

LIABILITIES.

Capital stock paid in

$15,000.00

Surplus fund

4,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,101.65

Due unpaid dividends

48.00

Individual deposits subject to

check

30,460.44

Time certificates

8,551.81

Cashier's checks

200.23

Total

$59,362.13

Total

$59,362.13

106

TREASURER'S REPORT

KENNESAW STATE BANK, KENNESAW,

Date of Charter, April 20, 1910; Begun Business, April 20, 1910. J. G. LEWIS, President; A. S. KYTLE, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans

$ 5,559.06 61,963.74

Overdrafts, secured

365.97

Bonds and stocks owned by the

bank

1,000.00

Furniture and fixtures . ...-

1,687.46

Other real estate

1,426.88

Due from banks and bafnkers in

this state

15,307.22

Due from banks and backers in

other states

1,830.84

Currency

-2,750.00

Gold

2.50

Silver, nickels, etc Fire Ins. fund

309.61 125.93

Cobb county warrants Revenue stamps

186.27 100.00

LIABILITIES.

Capital stock paid in

$20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,542.98

Individual deposits subject to

check

33,593.24

Time certificates

31,202.30

Certified checks

37.65

Cashier's checks

239.31

Bills payable, including time cer-

tificates representing borrowed

money

4,000.00

Total

$92,615.48

Total

$92,615.4S

STATE BANK OF KINGSTON, KINGSTON.

Date of Charter, Nov. 1912; Begun .Business, Dec. 10, 1912. W. B. GOD LEY, President; C. A. Perry, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items

$43,501.09 846.81
4,468.86
2,577.30 in
611.06 in
12 163 67 1,000.00
572.26 504.07

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,409.09

Individual deposits subject to

check

26.276.85

Savings deposits

;

18,545.91

Time certificates

1,175.77

Cashier's checks

837.50

Total

$66,245.12

Total

$"66,245.12

BANK OF KINGSTON, KINGSTON.

Date of Charter, 1904: Begun Business, 1904. S. J. SHEATS, President; B. W. BLACKMON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH 1917.

RESOURCES.

Time loans

$122,026.53

Bonds and stocks owned bv the

bank

3,050.00

Banking house Furniture and fixtures Due from banks and bankers in
other states Currency

8,412.57 3,966.16 24,794.15 2,363.00

Silver, nickels, etc

1,245.23

Advances on cotton and seed .... 74^055^45

Other resources

173.56

LIABILITIES.

Capital stock paid in

$ 25.000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,987.96

Due to banks and bankers in oth-

er states

50,000.00

Individual deposits subject to

check

104,419.50

Time certificates Cashier's checks

56,127.81 551 38

Total

$240,086.65

Total

1,086.65

HO--

TREASURER'S REPORT

107

CITIZENS BANK, KITE.

Date of Charter, Sept. 11, 1906; Begun Business, Aug. 3, 1906 S. A. WOODS, President; J. S. STEPHENSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 2,876.95

Time loans

58,281.33

Overdrafts, secured

64,877.52

Overdrafts, unsecured

121.98

Bonds and stocks owned by the

bank

2,100.00

Banking house

1,575.49

Furniture and fixtures

2,678.92

Due from banks and bankers in

this state

52,361.48

Due from banks and bankers in

other states

23,979.76

Currency

5,575.00

Gold

80.00

Silver, nickels, etc

201.97

Cash items

29.96

Depositors' insurance fund

3,385.70

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,258.36

Individual deposits subject to

check

144,897.38

Demand certificates

5.00

Time certificates

49,308.31

Cashier's checks

1,657.01

Total

$218,126.06

Total

.$218,126.1

BANK OF LaFAYETTE, LaFAYETTE.

Date of Charter, 1889; Begun Business, 1899. J. P. SHATTUCK, President; J. E. PATTON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 10,336.94

Time loans

'.

257,284.07

Overdrafts, unsecured

196.21

Bonds and stocks owned |by the

bank

6,450.00

Banking' house

26,165.48

Furniture and fixtures

4,754.42

Other real estate

15,597.42

Due from banks and bankers in

this state

41,255.70

Due from banks and bankers in

other states

72,992.44

Currency

12,233.00

Gold

600.00

Silver, nickels, etc

3,063.19

Cash items

498.57

LIABILITIES.

Capital stock paid in

! 60,000.00

Surplus fund

40,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 23,159.86

Due to banks and bankers in oth-

er states

26.75

Individual deposits, subject to

check

230,923.40

Savings deposits

11,850.12

Demand certificates

3,875.57

Time certificates

79,771.87

Cashier's checks

1,819.90

Total

$451,427.47

Total

$451,427.47

WALKER COUNTY BANK, LaFAYETTE.

Date of Charter, Oct. 22, 1913; Begun Business, Nov. 1, 1913. JAMES E. ROSSER, President; C. C. GILBERT Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 840.00

Time loans

90,475.78

Overdrafts, unsecured

338.41

Banking house, furniture and fix-

tures

13,991.66

Due from banks and bankers in

other states

6,908.54

Currency

9,305.00

Gold

37.50

Silver, nickels, etc

619.73

Cash items

1,197.90

Advances on cotton

41,282.15

LIABILITIES.

Capital stock paid in

$ 21,900.00

. Undivided profits, less current ex-

penses, interest and taxes paid.. 4,327.26

Individual deposits subject to

check

99,572.78

Savings deposits

4,637.15

Time certificates

14,472.93

Cashier's checks

86.55

Bills payable, including time cer-

tificates representing borrowed

money

20,000.00

Total

$164,996.67

Total

$164,996.67

108

TREASURER'S REPORT

BANK OF LaGRANGE, LaGRANGE.

Date of Charter, Dec. 29, 1890; Begun Business as 1st Natl. Bank, June, 1883; as State Bank, Jan. 1891.
LEWIS J. RENDER, President; R. L. RENDER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 17,540.14

Time loans

30,836.76

Overdrafts, unsecured

152.56

Bonds and stocks owned by the

bank

6,208.50

Banking house

9,500.00

Furniture and fixtures

1,155.40

Other real estate

24,676.25

Due from banks and bankers in

this state

10,726.24

Due from banks and bankers in

other states

2,870.05

Currency

18,000.00

Gold

1,015.00

Silver, nickels, etc

922.85

Cash items

11,004.19

Profit and loss

1,860.28

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

5,000.00

Due unpaid dividends

165.00

Individual deposits subject to

check

47,770.16

Savings deposits

13,527.06

Cashier's checks

6.00

Bills payable, including time cer-

tificates representing borrowed

money

20,000.00

Total

$136,468.22

Total

$136,468.22

LaGRANGE BANKING & TRUST CO., LaGRANGE.

Date of Charter, Dec. 11, 1871; Begun Business, 1871. T. J. THORNTON, President W. J. S. WRIGHT, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 232,971.36

Time loans

1,018,930.18

Bonds and stocks owned by the

bank

136,650.00

Banking house

45,000.00

Other real estate

25,422.26

Due from banks and bankers in

this state

82,627.78

Due from banks and bankers in

other states

266,186.82

Currency

20,985.00

Gold

12,137.50

Silver, nickels, etc

7,186.42

Cash items

24,264.32

Advances on cotton

50,000.00

LIABILITIES.

Capital stock paid in

$ 200,000.00

Surplus fund

50,000.00

Undivided profits, less current

expenses, interest and taxes

paid

462,400.04

Due to banks and bankers in

this state

100.38

Individual deposits subject to

check

1,209,861.22

Total

$1,922,361.64

Total

$1,922,361.64

LaGRANGE SAVINGS BANK, LaGRANGE.

Date of Charter, Dec. 7, 1906; Begun Business, Dec. 1, 1906. FULLER E. CALLAWAY, President; L. H. ADAMS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$59,164.86

Time loans

131,929.87

Bonds and stocks owned by the

bank

91,964.25

Other real estate

34,007.25

Due from banks and bankers in

this state

20,994.94

Currency

1,000.00

Silver, nickels, etc

261 30

Cash items

750.00

Liberty Loan Bonds

1,100.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

17,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10.019.39

Savings deposits

275,995.03

Time certificates

2,558.00

Unearned interest

10,100.05

Total

$341,172.47

Total

$341,172.47

TREASURER'S EEPORT

109

LAKE PARK BANK, LAKE PARK. Date of Charter, Jan. 22, 1906; Begun Business, March, 1906.
J. K. WHITE, President; E. W. MASON, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

Time loans

Overdrafts, unsecured

Banking house

Furniture and fixtures

Due from banks and bankers

this state

Due from banks and bankers

other states

Currency

Gold

Silver, nickels, etc Cash items



$ 50.00 40,063.50 2,173,92 2,000.00 150.00
in 4,195.91
in 944.74 618.00 27.50 314.77 106.62

LIABILITIES.

Capital stock paid in

$15,000.00

Surplus fund

4,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,125.94

Individual deposits subject to

check

26,327.56

Time certificates

4,902.30

Cashier's checks

139.16

Total

$51,994.96

Total

$51,994.96

BRAND BANKING CO., LAWRENCE VI LLE.

Date of Charter, June 2, 1905; Begun Business, July 17, 1905. L. M. BRAND, President; G. C. MONTGOMERY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 19,759.46

Time loans

171,769.96

Overdrafts, unsecured

1,856.85

Bonds and stocks owned by the

bank

11.000.00

Furniture and fixtures

2,275.46

Due from banks and bankers in

this state

249,788.60

Due from banks and ..ankers in

other states

32,622.00

Currency

13,640.00

Gold

332.50

Silver, nickels, etc

337.50

Cash items

13,541.29

Treasury certificates, U. S., of in-

debtedness

30,000.00

.

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 28,685.59

Individual deposits subject to

check

380,563.00

Savings deposits

60,184.65

Time certificates

2,300.00

Cashier's checks

190.43

Total

$546,923.67

Total

$546,923.67

BANK OF LAWRENCEVILLE, LAWRENCEVI LLE.

Date of Charter, Sept. 1897; Begun Business. 1897 SAMUEL CRAIG, President: E. T. MONTGOMERY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Bonds and stocks owned by the
bank
Banking house Furniture and fixtures Due from banks and bankers in
this state Due from banks and bankers in
other states Currency Gold Pi'ver. nickels, etc Cash items Advances on cotton Interest paid

150.00 94.047.57
4,289.37
5 9~n nn 1.646.72 2.570.23
84,299.46
38,417.46 7,905.00
95.00 1,157.90 12,382.75 47,929.22 1,172.35

LABILITIES.

Capital stock raid in

* 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,955.91

Individual deposits subject to

check

213.873.31

Time certificates

59,959.44

Cashier's checks

224.17

Total

$302,013.03

Total

$302,013.03

110

TREASURER'S REPORT

BANK OF LAVONIA, LAVONIA.

Date of Charter, July 19, 1898; Begun Business, 1898. S. B. YOW, President; A. B. VICKBRY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 7,080.61

Time loans

91,677.07

Overdrafts, unsecured

967.46

Bonds and stocks owned by the

bank

6,541.00

Banking house

2,000.00

Furniture and fixtures

1,520.00

Other real estate

864.29

Due from banks and bankers in

this state

67,965.27

Due from banks and bankers in

other states

5,321.39

Currency

800,70

Gold

5.00

Silver, nickels, etc

734.42

Cash items

282,37

Clearing house

1,110.16

Advances on cotton

3,312.15

LIABILITIES.

Capital stock paid in

$ 40,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 24,049.09

Due unpaid dividends

20.00

Individual deposits subject to

check

,

123,581.56

Time certificates

4,951.6o

Cashier's checks

4,438.14

Due to clearing house

347.75

Total

$197,388.19

Total

$197,388.19

BANK OF LEARY, LEARY.

Date of Charter, June 22, 1919. HARPER DANIELL, President; J. M. LAZENBY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$37,563.73

Overdrafts, unsecured

975.70

Bonds and stocks owned by the

bank

2,430.00

Banking house

3,726.22

Furniture and fixtures

2,404.98

Due from banks and bankers in

this state

33,666.91

Due from banks and bankers in

other states

7,000.72

Currency

3,025.00

Gold

*

90.00

Silver, nickels, etc

253.44

Cash items

8.24

Advances on cotton

4,320.99

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,103.26

Individual deposits subject to

check

54,719.01

Time certificates

20,198.56

Certified checks

3,064.87

Cashier's checks

380.23

Total

$95,465.93

Total

$95,465.!

BANK OF LEESBURG, LEESBURG.

Date of Charter. May 30, 1907; Begun Business, Julv 9, 1907. J. A. LIPSEY, President; T. C. THARP, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 18,423.09

Time loans

33,848.93

Overdrafts, unsecured

218.32

Bonds and stocks owned by the

bank

3.000.00

Banking house

2,490.47

Furniture and fixtures

3,653.50

Other real estate

1,150.00

Due from banks and bankers in

this state

57,231.08

Due from banks and bankers in

other states

52,390.75

Currency

5,812.00

Gold

50.00

Silver, nickels, etc

2,870.74

Cash items

61.40

Advances on cotton

17,935.29

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10,555.92

Due unpaid dividends

32.00

Individual deposits subject to

check

128,471.51

nemaml certificates

2,616.61

Time certificates

33,385.94

Cashier's checks

8,973.59

Total

$199,035.57

Total

$199,035.57

TREASURER'S REPORT

111

BANK OF LENOX, LENOX.

Date of Charter, June 20, 1907; Begun Business June 25, 1907. S. HARRBLL, President; J. D. ROBINSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency GoldSilver, nickels, etc Cash items
Advances on cotton

$ 29,043.05 64,689.26 124.57 1,800.00 1,500.00 1,000.00
in 15,783.20
in 8,822.26 2,013.00 315.00 744.85 121.25
2,080.75

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

5,000.00

Undivided profit's, less current ex-

penses, interest and taxes paid.. 4,895.00

Due unpaid dividends

50.00

Individual deposits subject to

check

70,765.12

Time certificates

30,671.43

Certified checks

56.91

Cashier's checks

1,598.73

Total

$128,037.19

Total

$128,037.18

THE BANK OF LESLIE, LESLIE.

Date of Charter, 1905; Begun Business, 1905. E. D. WILSON, President; W. T. ANDERSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 7,672 94

Time loans

101,054.62

Overdrafts, unsecured

38.36

Bonds and stocks owned by the

bank

9,500.00

Banking house

4,171.36

Furniture and fixtures

2,813.20

Due from banks and bankers in

this state

53,395.92

Due from banks and bankers in

other states

34,373.73

Currency

8,877.00

Gold

145.00

Silver, nickels, etc

1,046.87

Cash items

60.85

Mutual fire fund

120.00

Revenue stamps

10.50

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 11,224.63

Individual deposits subject to

check

170,893.59

Demand certificates

360.90

Time certificates

10,744.53

Cashier's checks

56.70

Total

$223,280.35

Total

$223,280.35

BANK OF LEXINGTON, LEXINGTON.

NAT D. ARNOLD, President; C. M. HUNTER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 27,408.94

Time loans

98.634.58

Overdrafts, secured

1,625.31

Bonds and stocks owned by the

bank

3,700.00

Banking house, furniture and fix-

tures

2,022.67

Due from banks and bankers In

this state

28,584.47

Due from banks and bankers in

other states

8,066.83

Currency

3,158.00

Gold

315.00

Silver, nickels, etc

224.23

Cash items

72.50

Clearing house

382.20

Liberty Bonds

350.00

Revenue stamps

9.56

LIABILITIES.

Capital stock paid in

, $ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 9.586.27

Due unpaid dividends

110.00

Individual deposits subject to

check

110,610.67

Time certificates

29,247.35

Total

$194,554.29

Total

$194,554.29

112

TREASURER'S REPORT

OGLETHORPE COUNTY BANK, LEXINGTON.

Date of Charter, May. 1905; Begun Business, Sept. 21, 1905. JOEL, CLOUD, President; G. A. BARRON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 36,668.00

Time loans

107,841.31

Overdrafts, secured and unse-

cured

3,068.67

Bonds and stocks owned by the

bank

2,500.00

Banking house

4,000 00

Furniture and fixtures

1,000.00

Due from banks and bankers

this state Due from banks and bankers

90,595.65

other states

27 860 48

Currency

2,850.00

Gold

55.00

Silver, nickels, etc

525.19

Cash items

519.00

Advances on cotton

2,600.00

LIABILITIES.

Capital stock paid in

: I 25,000.00

Surplus fund

7,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 11,417.71

Due unpaid dividends

95.80

Individual deposits subject to

check

211,078.27

Time certificates

24,991.52

Total

$280,083.30

Total

1,083.30

BANK OF LILBURN, LILBURN.

Date of Charter, Aug. 9, 1911; Begun Business, Sept 2, 1911. J. S. YOUNG, President; G. W. NASH, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 1 000 00

Time loans

25,715.05

Overdrafts, unsecured

85.51

Bonds and stocks owned by the

hank

1,750.00

Banking house

1,543.40

Furniture and fixtures

1,634.10

Due from banks and bankers in

this state

34,409.07

Due from banks and bankers in

other states

9,496.36

Currency

3,083.00

Gold

335.00

Silver, nickels etc

209.67

Cash items

925.58

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,703.37

Individual deposits subject to

check

48,723.29

Time certificates

19,628.12

Cashier's checks

131.96

Total

$85,186.74

Total

$85,186.74

BANK OF LINCOLNTON, LINCOLNTON.

Date of Charter, April, 1905; Begun Business, April 3, 1905. C. L. GROVES, President; B. R. COLLET, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans
Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items
Advances on cotton

$ 48.000.00 71,732.00
3,738.00 1.373.07 1,244.07 2,548.41
650.00 in
20,165.81 in
3,203.02 1,130.00
70.00 985 39 672.98
23.367.20

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 9,072.14

Due to banks and bankers in this

state

2.347.54

Individual deposits subject to

check

99.012.93

Time certificates

19,758.12

Cashier's checks

2,569.22

Notes and bills rediscounted

21,120.00

TotaI

$178,879.95

Total

$178,879.95

TREASURER'S EEPORT

113

FARMERS STATE BANK, LINCOLNTON, GA.

Date of Charter, Sept. 26, 1911; Begun Business, Dec. 2, 1911. JAS. H. BOYKIN, President; H. B. PITT, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Advances on cotton

$ 64,302.69
642.37 2,481.24 1,700.00 in 76,259.81 in 13,262.03 4,789.00
540.00 495.55 1,638.27 67,502.96

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8,480.35

Due unpaid dividends

16.00

Individual deposits subject to

check

161,318.96

Time certificates

37,949.91

Certified checks

44.00

Cashier's checks

804.70

Total

$233,613.92

Total

$233,613.92

L1THON1A BANKING CO, L1THONIA, GA.

Date of Charter, Dec. 21, 1903; Begun Business, Nov. 2, 1903. J. C. JOHNSON, President; A. B. COFFET, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 7,287.73

Time loans

77,176.76

Overdrafts, unsecured

467.47

Bonds and stocks owned by the

bank (Liberty Bonds)

l\750.O0

Banking house

3,400.40

Furniture and fixtures

2,437.28

Due from banks and bankers in

this state

30,897.24

Due from banks and bankers in

other states

472.62

Currency

6,041.00

Gold

492.50

Silver, nickels, etc

252.01

Cash items

378.75

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, Interest and taxes paid.. 5,672.63

Individual deposits subject to

check Time certificates Cashier's checks

70,886.38 29,233.85
260.90

Total

$131,053.76

Total

.$131,053.76

PEOPLES BANK, L1THONIA.

Date of Charter, Aug. 26, 1910; Begun Business, Sept. 1, 1910. J. O. MORRIS, President; I. M. STARR, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Overdrafts, secured (cotton) Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Currency Gold Silver, nickels, etc

$ 50,362.12 27,105.68 2,500.00 2,100.00 5,000.00
in 17,868.95 9,830.00 210.00 683.70

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,159.01

Individual deposits subject to

check

76,467.37

Time certificates

10,987.48

Cashier's checks

1,438.78

Total

$121,052.64

Total

$121,052.64

114

TREASURER'S 4EPORT

BANK OF LOCUST GROVE, LOCUST GROVE.

Date of Charter, 1902; Begun Business, 1902. F. S. ETHRIDGE, President; C. B. PLEXICO, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house
Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc. Cash items

$ 24,149.45 55,362.58 64,482.79 4,000.36 4,819.23 1,864.46 1,126.19
35,144.32 in

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 14,905.91

Individual deposits subject to

check

145,711.98

Time certificates

11,228.77

Cashier's checks

361.80

Total

$197,208.46

Total

$197,208.46

CITIZENS BANK, LOCUST GROVE.

Date of Charter, Sept. 5, 1910; Begun Business, Sept. 10, 1910. J. L. GARDNER, President; J. C. McKNIGHT, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$23,222.60

Time loans

54,090.21

Overdrafts, secured

24,658.33

Overdrafts, unsecured

1,132.38

Banking house

2,700.00

Furniture and fixtures

1,525.00

Due from banks and bankers in

this state

44,849.88

Due from banks and bankers in

other states

3,786.61

Currency

5,584.00

Gold

62.50

Silver, nickels, etc

426.56

Cash items

2,819.01

LIABILITIES Capital stock paid in1

$ 17,880.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10,336.76

Due unpaid dividends

96.00

Individual deposits subject to

check

132,572.75

Time certificates

3,971.57

Total

$164,857.08

Total

$164,857.08

FARMERS & MERCHANTS BANK, LOGANSVILLE.

Date of Charter, April 4, 1906; Begun Business, April 11, 1906. L. O. BENTON, President; B. G. MALONE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 5,000.00

Time loans

65,187.39

Overdrafts, secured

2,284 68

Overdrafts, unsecured

1,562.71

Bonds and stocks owned by the

bank

210.00

Banking house

4,000.00

Furniture and fixtures

3,000.00

Other real estate

5,793.93

Due from banks and bankers in

this state

19,305.41

Due from banks and bankers in

other states

16,180.55

Currency

5,935.00

Gold

297.50

Silver, nickels, etc

81 60

Cash items

1,417.83

Advances on cotton

37,071.06

Advances on cotton seed

4,197.66

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

2,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,805.98

Individual deposits subject to

check

121,074.75

Time certificates

19,784.47

Cashier's checks

1,360.12

Total

$171,o25.32 Total

$171,525.32

TREASURER'S BEPORT

115

LOGANSVILLE BANKING CO, LOGANSVILLE.

Date of Charter, Feb. 2, 1902; Begun Business, Feb. 24, 1902. A. M. BROOKS, President; W. T. BROOKS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 69,038.80

Bonds and stocks owned by the

bank (Liberty Bonds)

15,000.00

Banking house

1,400.00

Furniture and fixtures

1,800.00

Due from banks and bankers in

this state

106,217.54

Due from banks and bankers in

other states

22,925.30

Currency

4,093.00

Gold

337.50

Silver, nickels, etc

545.25

Cash items

1,021.42

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,013.48

Individual deposits subject to

check

124,394.02

Time certificates

47,971.31

Total

$222,378.81

Total

$222,378.81

BANK OF LOUISVILLE, LOUISVILLE.

Date of Charter, 1891; Begun Business, 1893. S. M. CLARK, President; L. R. FARMER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 59,378.06

Time loans

81,635.68

Overdrafts, unsecured

1,451.22

Bonds and stocks owned by the

bank

27,185.00

Other real estate

20,505.00

Due from banks and bankers in

this state

41,854.72

Due from banks and bankers in

other states

30,413.86

Currency

11,320.00

Gold

150.00

Silver, nickels, etc

675.64

Cash items

715.99

Advances on cotton

62,582.81

Revenue stamps

28.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

6,000.00

Stockholders' guarantee fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,919.56

Due unpaid dividends

102.00

Individual deposits subject to

check

191,915.30

Savings deposits

20,460.16

Time certificates

63,017.24

Cashier's checks

481.72

Total

$337,895.

Total

$337,895.98

LOVEJOY BANKING CO, LOVEJOY.

Date of Charter, Feb. 20, 1909; Begun Business, Jan. 3, 1909. S. D. CRAWFORD, President; G. P. BABB, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$52,055.72

Overdrafts, secured

7,920.22

Bonds and stocks owned by the

bank

2,000.00

Banking house

1,519.08

Furniture and fixtures

1,815.57

Due from banks and bankers in

this state

18,712.35

Due from banks and bankers in

other states

3,624.42

Currency

4,635.00

Gold

5.00

Silver, nickels, etc

294.61

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 12,012.83

Individual deposits subject to

check

60,554.69

Tmie certificates

5,014.45

Total

$92,581.97 Total

$92,581.97

116

TREASURER'S EEPORT

BANK OF LOVETT, LOVETT.

Date of Charter, Nov. 29, 1911. B. T. KIGHT, President; C. T. SWINSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, secured by cotton Overdrafts, unsecured Banking house
Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency
Silver, nickels, etc Clearing house

$19,294.32 11,001.76 24,563.08 687.40 1,478.88
L843.66 in
17,654.82 in
3,080.42 2,513.50
22.56 144.90

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 1,434.92

Due to banks and bankers in this

state

1,085.51

Individual deposits subject to

check

54,670.50

Time certificates

9,453.44

Cashier's checks

640.43

Total

.$82,284.80

Total

.$82,284.80

CITIZENS BANK, LUDOWICI.

S. H. HOWARD, President; J. R. RIMES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold
Silver, nickels, etc Cash items
Advances on cotton Insurance paid

$ 4,500.00 94,700.76 1,922.71 5,000.00 770.29
in 9,632.36
in 1,307.57 5,676.00 183.50
1,462.92 2,809.44
13,824.65 180.35

LIABILITIES.

Capital stock paid in

$ 25,166.75

Surplus fund

2,917.70

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,607.45

Individual deposits, subject to

check

59,882.95

Time certificates

53,662.38

Cashier's checks

233.32

Total

$143,470.55

Total

$143,470.55

LIBERTY BANKING CO, LUDOWICI.

Date of Charter, 1903; Begun Business, 1903. N. McQUEEN, President; J. BROWN DANIEL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate
Due from banks and bankers this state
Due from banks and bankers other states
Currency
Gold Silver, nickels, etc Cash items
Other resources (itemized)

$ 404.00 84,823.76 2,188 49 3,000.00 1,890.86 1,600.00
in 8,385.01
in 8,494.00 1,127.00
40.00 33.71 597.54
142.21

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,029.01

Individual deposits, subject to

check

39,325.46

Savings deposits

3,921.88

Time certificates

23,288.97

Cashier's checks

1,661.26

Bills payable, including time certi-

ficates representing borrowed

money

12,500.00

Total

$112,726.58

Total

$112,726.58

TREASURER'S REPORT

117

BANK OF LULA, LULA.

S. S. CARTER, President; E. W. WHITWORTH, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 450.00

Time loans

53,820.55

Overdrafts, secured

".

1,054.24

Bonds and stocks owned by the

banlc

4,500.00

Banking house

2,968.65

Furniture and fixtures

2,362.48

Due from banks and bankers in

this state

49,023.93

Due from banks and bankers in

other states

10,140.73

Currency

5,080.00

Silver, nickels, etc

458.56

Cash items

68.80

Revenue stamps

15.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 13,279.63

Inlividual deposits, subject to

check

56,501.29

Time certificates

44,491.37

Cashier's checks

670.65

Total

$129,942.94 Total

$129,942.94

FARMERS & MERCHANTS BANK, LUMBER CITY.

Date of Charter, Aug. 6, 1914; Begun Business, Aug. 10, 1914. D. W. PHILLIPS, President; R. H. HALL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Bonds owned by the bank Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items Advances on cotton

$ 65,864.58 24,100.00 345.75
in 66,707.12
in 7,426.44 4,692.00 718.96 1,404.11
29,343.39

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,083.51

Individual deposits, subject to

check

143,959.92

Time certificates

37,369.40

Cashier's checks

189.52

Total

$200,602.35

Total

$200,602.35

BANK OF LUMPKIN, LUMPKIN.

Date of Charter, Nov. 18, 1908; Begun Business, Nov. 18, 1908. E. L. BRAWNER, President; E. E. HUMBER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 8,089.68

Time loans

122,067.06

Overdrafts, secured

2,948.18

Overdrafts, unsecured

2,313.12

Bonds and stocks owned by the

bank

4,687.33

Furniture and fixtures

3,292.50

Other real estate

67.05

Due from banks and bankers in

this state

32,274.74

Due from banks and bankers in

other states

2,686.23

Currency

8,503.00

Gold

995.00

Silver, nickels, etc

1,196.60

Cash items

533.31

Advances on cotton

54,988.27

LIABILITIES.

Capital stock paid in

25,000.00

Surplus fund

4,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,201.22

Due to banks and bankers in this

state

10,000.00

Individual deposits, subject to

check Time certificates

119,730.48 80,869.13

Cashier's checks

1,841.24

Total

$244,642.07 Total

$244,642.07

118

TREASURER'S EEPORT

FARMERS STATE BANK, LUMPK1N.

Date of Charter, 1911; Begun Business, 1911. B. L. CARTER, President; A. T. FORT, JR., Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand and time loans

$ 44,871.93

Overdrafts, secured

300.13

Overdrafts, unsecured

265.83

Bonds and stocks owned by the

bank

...,, 350.00

Furniture and fixtures

2,727.14

Due from banks and bankers in

this state

7,222.58

Due from banks and bankers in

other states

824.49

Currency

4,202.00

Gold

190.00

Silver, nickels, etc

'.

1,580.68

Clearing house

170.03

Advances on cotton

24,477.58

Depositors' guarantee fund

2,977.45

County warrants

4,004.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,284.91

Individual deposits, subject to

check

34,185.36

Savings deposits

2,554.65

Demand certificates

7,000.00

Time certificates

33,611.45

Cashier's checks

477.47

Total

$ 94,113.84

Total

$ 94,113.84

LUTHERSVILLE BANKING CO., L.UTHERSV1LLE.

Date of Charter, Oct. 11, 1905; Begun Business, Aug. 3, 1906. J. O. NORRIS, President; H. R. FITTS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 2,500.00

Time loans

36.S42.92

Overdrafts, secured

51,617.92

Bonds and stocks owned by the

bank

230.00

Banking house

3,100.00

Furniture and fixtures

1,508.00

Other real estate

4,233.70

Due from banks and bankers in

this state

15,628.64

Due from banks and bankers in

other states

8,911.14

Currency

4,080.00

Gold

27.50

Silver, nickels, etc

548.24

Cash items

1,954.73

Advances on cotton

6,610.47

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 19,165.87

Individual deposits, subject to

check

81,981.78

Time certificates

2,632.46

Cashier's checks

152.68

Total

$128,932.79

Total

$128,932.79

BANK OF LYERLY, LYERLY GA.

J. L. POLLOCK, President; H. S. CARSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 8,000.00

Time loans

100,637.86

Overdrafts, unsecured

3,116.23

Bonds and stocks owned by the

bank

1,016.60

Banking house

2,358.04

Furniture and fixtures

2,521.23

Other real estate

1,856.82

Due from banks and bankers in

this state

17,803.61

Due from banks and bankers in

other states

21,182.71

Currency

2,930.00

Gold

135.00

Silver, nickels, etc

1,157.99

Cash items

15.65

Depositors' guarantee fund

3,408.95

Witham's mutual fire insurance

fund

120.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,997.36

Individual deposits, subject to

check

108,010.67

Time certificates

38,606.58

Cashier's checks

646.08

Total

$166,260.i

Total

$166,260.69

TREASURER'S EEPORT

119

TOOMBS COUNTY BANK, LYONS.

Date of Charter, Dec. 22, 1905; Begun Business, Jan. 5, 1906. ENOCH J. GILES, President; W. T. CHINA, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 27,980.87

Time loans

111,421.78

Overdrafts, unsecured

1,630.79

Liberty Bonds owned by the bank 11,567.00

Banking house

9,000.00

Furniture and fixtures

2,800.00

Due from banks and bankers in

this state

190,895.63

Due from banks and Dankers in

other states

52,670.'!0

Currency

3,289.00

Gold

675.00

Silver, nickels, etc

735.91

Cash items

1,436.03

Balance due on defunct Farmers

& Merchants Bank, Lyons, Ga...

378.58

LIABILITIES.

Capital stock paid in

$ 30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,956.49

Individual deposits, subject to

check

323,965.82

Savings deposits

2,053.44

Time certificates

46,220.79

Cashier's checks

7,284.35

Total

$414,480.89

Total

$414,480.89

MERCHANTS & MINERS STATE BANK, McCAYSVILLE.

Date of Charter, Aug. 28, 1916; Begun Business, Nov. 1, 1916. E. W. CHAPMAN, President; H. L. GREENWAY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state .'. Currency Gold Silver, nickels, etc Cash items

$ 27,203.15 353.73
2,852.62 1,988.57 in 10,602.90 . 4,037.00
340.00 360.98 11.72

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

733.26

Individual deposits, subject to

check

10,573.69

Time certificates

10,248.19

Cashier's checks

195.53

Bills payable, including time certi-

ficates representing borrowed

money

11,000.00

Total

$ 47,750.67

Total

$ 47,750.67

BANK OF HENRY COUNTY, McDONOUGH.

Date of Charter, June 23, 1896; Begun Business, July 1, 1896. P. W. PULLIN, President; J. B. DICKSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 8,345.08

Time loans

138,447.36

Overdrafts, secured

9,729.39

Overdrafts, unsecured

1,740.17

Bonds and stocks owned by the

bank

1,020.00

Banking house

3,914.04

Furniture and fixtures

3,564.71

Due from banks and bankers In

this state

60,743.45

Due from banks and bankers In

other states

54,490.68

Currency .. .

4,238.00

Silver, nickels, etc

294.06

Cash items

5,598.94

Advances on cotton

66,363.98

Insurance and revenue stamps ...

27.54

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8,575.80

Due to banks and bankers in this

state

85.37

Individual deposits, subject to

check

218,938.44

Time certificates

40,884.69

Cashier's checks

33.40

Bills payable, including time certi-

ficates representing borrowed

money

10,000.00

Total

$358,517.70 Total

$358,517.70

120

TREASURER'S EEPORT

FARMERS AND MERCHANTS BANK, McDONOUGH.

Date of Charter, March 8, 1911; Begun Business, March 8, 1911. H. J. TURNER, President; J. B. TURNER, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 6,479.66

Time loans

78,382.35

Overdrafts, unsecured

3,405.52

Bonds and stocks owned by the

bank

1,000.00

Banking house

3,800.00

Furniture and fixtures

2,299.00

Due from banks and bankers in

this state

69,869.30

Due from banks and bankers in

other states

42,698.44

Currency

2,938.00

Silver

542.00

Cash items

1,415.83

Advances on cotton and seed

52,694.83

LIABILITIES.

Capital stock paid in

$ 30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 13,496.54

Individual deposits, subject to

check

178,094.02

Time certificates

43,398.87

Cashier's checks

535.50

Total

$265,524.93

Total

$265,524.93

CITIZENS BANK, McRAE.

Date of Charter, March 21, 1906; Begun Business, Jan. 4, 1906. J. F. COOK. President; J. F. COOK, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 18,839.81

Time loans

134,744.66

Overdrafts, secured

7,211.46

Bonds and stocks owned by the

bank

15,400.00

Banking house

2,500.00

Furniture and fixtures

2,657.67

Due from banks and bankers in

this state

125,660.21

Due from banks and bankers in

other states

19,251.72

Currency

4,189.00

Gold

275.00

Silver, nickels, etc

844.00

Cash items

507.72

Advances on cotton

8,836.72

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 9,867.99

Individual deposits, subject to

check

184,316.29

Time certificates

71,383.52

Cashier's checks

350.17

Total

5340,917.a?

Total

$340,917:97

MERCHANTS BANK, McRAE.
Date of Charter, April 16, 1900; Begun Business, April 20, 1900. O. B. PARKER, President; O. F. McRAE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$171,444.86

Overdrafts, secured

8,002.39

Overdrafts, unsecured

505.22

Bonds and stocks owned by the

bank

1,423.50

Banking house and furniture and

fixtures

10,315.00

Other real estate

7,587.65

Due from banks and bankers in

this state

85,815.41

Due from banks and bankers In

other states

22,503.34

Currency

2,406.00

Gold

87.50

Silver, nickels, etc

721.40

Cash items

858.69

Advances on cotton

35,248.82

Liberty Bonds

6,450.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

31,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,533.69

Individual deposits, subject to

check

223,516.55

Time certificates

65,686.48

Cashier's checks

2,133.08

Total

$353,369.78 Total

$353,369.78

TREASURER'S REPORT

121

CONTINENTAL BANK & TRUST CO, MACON.

R. J. TAYLOR, President; R. J. TAYLOR, JR.. Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 282,404.83

Time loans

951,390.07

Overdrafts, secured

517.53

Overdrafts, unsecured

241.90

Bonds and stocks owned by the

hank

149,099.64

Furniture and fixtures

2,390.60

Other real estate

26,073.29

Due from banks and bankers in

this state

217,298.43

Due from banks and bankers in

other states

224,176.68

Currency

48,607.00

Gold

1,215.00

Silver, nickels, etc

5,375.84

Cash items

1,925.90

Clearing house

30,193.61

Revenue stamps

80.00

Customers' liability under letter

of credit

22,000.00

LIABILITIES.

Capital stock paid in

$

Undivided profits, less current

expenses, interest and taxes

paid

Due to banks and bankers in

this state

Due to banks and bankers in

other states

Individual deposits, subject to

check

Savings deposits

Demand certificates

Time certificates

Certified checks

Cashier's checks

Letters of credit

250,000.00
24,440.44
329,956.79
3,704.90
734,171.74 410,225.88
59,363.76 125,560.04
1,085.89 2,480.88 22,000.00

Total

$1,962,990.32

Total

$1,962,990.32

MACON SAVINGS BANK, MACON.

Date of Charter. March 2, 1874; Begun Business, Jan. 18, 1875. JESSE B. HART, President; JOSEPH W. CANNON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 941.35

Time loans

110.111.32

Overdrafts, secured

414.74

Bonds and stocks owned by the

bank

500.00

Due from banks and bankers in

this state

4,577.86

Due from hanks and bankers in

other states

1,365.63

Currency

930.00

Gold

320.00

Silver, nickels, etc

60.19

Cash items

81.70

Clearing house checks

83.10

Revenue stamps

5.00

Total

$119,390.!

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 18,296.34

Savings deposits

68,063.95

Time certificates

8,030.60

Total

$119,390.89

MERCHANTS & MECHANICS SAVINGS BANK, MACON.

Date of Charter, Jan. 17, 1910; Begun Business, Jan. 3, 1910. W. T. MORGAN, President; T. W. HAWKES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 1, 340.00

Time loans

115 495.23

Bonds and stocks owned by the

hank

765.00

Due from banks and bankers in

this state

23,082.43

Due from banks and bankers in

other states

913.86

Currency

3 885.00

Gold

1 267.50

Silver, nickels, etc

675.67

Cash items

7 009.49

Advances on cotton

12 837.66

Profit and loss

35.87

Liberty Bond account

1 900.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,689.59

Individual deposits, subject to

check

54,397.59

Savings deposits

61,699.06

Time certificates

3,400.00

Cashier's checks

183.81

Total

$156,370.05

Total

$156,370.05

122

TREASURER'S REPORT

BANK OF MADISON, MADISON.

Date of Charter, 1889; Begun Business, 1890. LEE TRAMMELL, President; H. T. SHAW, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$146,962.16

Overdrafts, unsecured

3,460.52

Bonds and stocks owned by the

bank

94,839.59

Banking house and furniture and

fixtures

3,000.00

Due from banks and bankers in

this state

88,930.90

Due from banks and bankers in

other states

46,245.65

Currency

3,034.00

Gold

20.00

Silver, nickels, etc

743.92

Clearing house

3,250.05

Advances on cotton

20,726.84

Liberty Bonds

23,998.67

LIABILITIES.

Capital stock paid in

$ 75,000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 20,064.03

Due unpaid dividends

25.00

Individual deposits, subject to

check

310,935.21

Time certificates

4,179.08

Total

$435,203.32

Total

$435,203.32

MORGAN COUNTY BANK, MADISON.

Date of Charter, 1899. C. L. C. THOMAS, President; W. G. THOMPSON, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES

Demand loans

$ 15,232.00

Time loans

241,584.85

Bonds and stocks owned by the

bank

10,482.10

Due from banks and bankers in

this state

48,555.62

Due from banks and bankers in

other states

3,575.73

Currency

2,484.00

Gold

95.00

Silver, nickels, etc

185.60

Cash items

1,750.38

Clearing house

2,473.45

Advances on cotton

43,874.85

LIABILITIES.

Capital stock paid in

$ 40,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,343.94

Individual deposits, subject to

check

316,949.64

Total

$370,293.58

Total

$370,293.58

BANK OF MANCHESTER, MANCHESTER.

Date of Charter, Jan. 28, 1910; Begun Business, Feb. 2, 1910. C. V. TRUITT, President; H. H. LANE, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 9,024.70

Time loans

193,660.20

Overdrafts, secured

2,253.35

Overdrafts, unsecured

1,569.11

Bonds and stocks owned by the

bank

4,580.00

Banking house

9,226.60

Furniture and fixtures

1,500.00

Due from banks and bankers in

this state

47,745.41

Due from banks and bankers in

other states

46,475.99

Currency

13,143.00

Gold

20.00

Silver, nickels, etc

2,326.15

Cash items

1,694.70

Clearing house

898.76

Advances on cotton

18,082.61

Advances and improvements

650.00

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 28,290.97

Individual deposits, subject to

check

166,038.66

Savings deposits

35,831.37

Time certificates

42,173.44

Certified checks

35.32

Cashier's checks

1,024.51

1917 Tax reserved

1,373.70

Total

$334,767-97 Total

$334,767.97

TREASURER'S BEPORT.

123

STATE BANK, MANCHESTER.

W. E. SMITH, President; J. W. PEAVY, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 2,418.18

Time loans

73,097.54

Overdrafts, unsecured

631.71

Bonds and stocks owned by the

bank

350.00

Banking house

2,946.09

Furniture and fixtures

2,726.22

Due from banks and bankers in

this state

8,087.09

Due from banks and bankers in

other states

2,906.08

Currency

3,477.00

Silver, nickels, etc

997.01

Cash items

1,962.89

Revenue stamps

9-00

Pig club

167.00

Depositors' insurance

2,702.70

Mutual Are insurance

120.00

LIABILITIES.

Capital stock paid in

$ 16,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,951.14

Individual deposits, subject to

check

58,765.27

Savings deposits

"

17,206.62

Time certificates

8,400.41

Certified checks

104.85

Cashier's checks

170.22

Total

$102,598.51

Total

$102,598.51

BANK OF MANSFIELD, MANSFIELD.

Date of Charter, Sept. 25, 1905; Begun Business, Oct. 10, 1905. J. M. HURST, President; JOE S. McGARITY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$34,792.41

Time loans

65,633.92

Overdrafts, unsecured

4,221.85

Banking house and furniture and

fixtures

4,500.00

Other real estate

4,380.00

Due from banks and bankers in

this state

11,198.06

Due from banks and bankers in

other states

11,515'nn

Currency

2,353.00

Silver, nickels, etc Cash items

426.85 , s52.79

Advances on cotton

34,357.1o

Profit and loss

134.08

LIABILITIES. Capital stock paid in Surplus fund Individual deposits, subject
check Time certificates

$ 25,000.00 12,000.00
to
113,848.92 23,516.84

Total

$174,365.76 Total

$174,365.76

PEOPLES BANK, MANSFIELD.

Date of Charter,-March 17, 1910; Begun Business, March 17, 1910. N. Z. ANDERSON, President; J. E. HARWELL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

? 9,573,57

Time loans Overdrafts, unsecured

55,947.46 2,336.18

Banking house and furniture and

fixtures Other real estate

3,722.39 594.92

Due from banks and bankers in

this state

28,622.56

Due from banks and bankers in

other states

2,403.67

Currency Gold Silver, nickels, etc Cash items Advances on cotton

4,213.00 15.00
419.11 4,535.60 71,114.27

Total

$183,497.73

LIABILITIES. "

Capital stock paid in

$ 25,000.00

Surplus fund

4,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,669.26

Individual deposits, subject to

check

137,721.84

Time certificates

13,827.04

Cashier's checks

279.59

Total

$183,497.73

TM

124

TREASURER'S EEPORT

FARMERS & MERCHANTS BANK, MARIETTA.

Date of Charter, June 16, 1911; Begun Business, July 17, 1911. R. A. HILL, President; E. C. GURLEY, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$14,174.08

Time loans

120,625.16

Overdrafts, unsecured

286.78

Bonds and stocks owned by the

bank

6,650.00

Furniture and fixtures

3,853.08

Other real estate

9,567.10

Due from banks and bankers in

this state

15,127.^5

Due from banks and bankers in

other states

2,81-1.33

Currency

8,221.00

Gold

410.00

Silver, nickels, etc

368.25

LIABILITIES.

Capital stock paid In

$ 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,078.99

Individual deposits, subject to

check

125,342.18

Time certificates

2,610.00

Cashier's checks

65.96

Total

$182,097.13

Total

$182,097.13

THE MARIETTA TRUST & BANKING CO., MARIETTA.

Date of Charter, Sept. 8, 1891 ; Begun Business, May 2, 1892. J. D. MALONE, President; GEO. H. SESSIONS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 28,787.04

Time loans

320,104.67

Overdrafts, unsecured

3,870.97

Bonds and stocks owned by the

bank

23,300.00

Furniture and fixtures

8,575.79

Other real estate

8,840.00

Due from banks and bankers in

this state

32,335.SO

Due from banks and bankers in

other states

55,293.37

Currency

4,234.00

Gold

270.00

Silver, nickels, etc

862.43

Cash items

1,401.37

LIABILITIES.

Capital stock paid in

$ 75,000.00

Surplus fund

35,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,944.89

Due to banks and bankers in this

state

5,507.29

Individual deposits, subject to

check

364,986.71

Time certificates

1,151.25

Cashier's checks

1,085.00

Total

$487,675.14

Total

:

$487,675.14

CITIZENS BANK, MARSHALLVILLE.

Date of Charter, 1906; Begun Business, Jan. 1, 1907. J. W. FREDERAICK, President; C. C. HASLAM, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 5,871.50

Time loans

41,329.32

Overdrafts, unsecured

471.24

Bonds and stocks owned by the

bank

35.100.00

Banking house

4,800.00

Furniture and fixtures

2,700.00

Due from banks and bankers in

this state

60,980.01

Due from banks and bankers in

other states

5>>9.63

Currency

8,777.00

Gold

107.50

Silver, nickels, etc

1,326.28

Cash items

2,621.64

U. S. Treasury certificate of in-

debtedness

50,000.00

Time deposits

115,000.00

LIABILITIES.

Capital stock paid in

$ 18,000.00

Surplus fund

14,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,939.?3

Individual deposits, subject to

check

270,878.30

Savings deposits

18,703.98

Cashier's checks

151.91

Total

$329,674.12 Total

$329,674.12

TREASURER'S EEPORX

125

GEORGIA BANKING CO., MARSH ALLVILLE.

Date of Charter, Sept. 19, 1910; Begun Business, Sept. 27, 1910. J. C. WALKER, President; H. C. TAYLOR, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 701.00

Time loans

39,169.18

Bonds and stocks owned by the

bank

5,900.00

Banking house

2,805.96

Furniture and fixtures

2,736.15

Due from banks and bankers In

this state

46,844.32

Due from banks and bankers in

other states

20,865.75

Currency

5,800.00

Gold

330.00

Silver, nickels, etc

4,285.03

Cash items

965.67

LIABILITIES.

Capital stock paid in

$30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,371.58

Individual deposits, subject to

check

71,442.33

Savings deposits

23,586.15

Total

$130,-103.06

Total

$130,403.06

BANK OF MARTIN, MARTIN.

Date of Charter, Oct. 2, 1907; Begun Business, Oct. 11, 1907. W. A. MITCHELL, President; P. D. LANDRUM, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans Overdrafts, unsecured Furniture and fixtures Due from banks and
this state Due from banks and
other states Currency Gold Silver, nickels, etc Cash items

bankers bankers

$ 36,546.88 1,569.97 1,310.04
in 77,063.31
in 13,109.59 4,749.00 82.50 164.S2 39.45

LIABILITIES.

Capital stock paid in

$ 15,300.00

Surplus fund

1,000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

485.C3

Individual deposits, subject to

check

116,380.95

Time certificates

1,373.14

Cashier's checks .,

95.84

Total

$134,635.06

Total

$134,635.56

BANK OF MAUK, MAUK.

Date of Charter, Dec. 12, 1910; Begun Business, Feb. 3, 1911. H. J. GARRETT, President; R. WALLER, Ass't Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 16TH, 1917.

RESOURCES.
Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items Advances on cotton

$ 29,622.97 18,660.33 298.24 1,870.00 1,970.47 150.00
in 26,749.75
in 4,644.84 1,409.00 104.16
1,246.67 9,300.27

LIABILITIES. :

Capital stock paid in

'.......$ 15,000.00

Surplus fund

2,000.00

Undivided profits, less current ex-

penses, interest and taxes paid,. 2,510.58

Due unpaid dividends

16.00

Individual deposits, subject to

check

61,683.81

Time certificates

13,879.88

Cashier's checks

936.43

. . .


Total

$96,026.70 Total

$96,026.70

126

TREASURER'S REPORT

BANK OF MAXEYS, MAXEYS. %-teTMf Charter. Feb. 22, 1907; Begun Business, April 10, 1907 W. T. BRIGHTWELL, President? J. R. FINDLEY. Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Furniture and fixtures Other real estate Due from banks and bankers in
this state Due from banks and bankers in
other states Currency Gold Silver, nickels, etc Cash items

4,470.38 33,060.85
3.40 1,825.00
425.00
36,876.16
21,219.58 "3,180.00
7.50 275.01 118.27

LIABILITIES.

Capital stock paid In

$ 15,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,712.27

Due unpaid dividends

36.00

Individual deposits, subject to

check

72,485.97

Time certificates

4,397.92

Certified checks

1,100.00

Cashier's checks

728.99

Total

$101,461.15 Total

$101,461.15

CITIZENS BANK, MAXEYS.

Date of Charter, June 4, 1910; Begun Business, Nov. 3, 1910. DR. S. D. DURHAM, President; W. H. THOMAS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

Banking house

Furniture and fixtures

Due from banks and bankers

this state



Due from banks and bankers

other states

Currency

Gold

Silver, nickels, etc

Cash items

$ 16,171.88
1,601.60 1,850.00 in
12,425.47 in
11,244.28 4,375.00 265.00 325.00 236.59

LIABILITIES.

Capital stock paid in

* 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,280.26

Individual deposits, subject to

check

26,791.47

Time certificates

3,210.83

Cashier's checks

212.26

Total

$ 48,494.92

Total

$ 48,494.92

BANK OF MAYSVILLE, MAYSV1LLE.

Date of Charter, Nov. 1905; Begun Business, Nov. 1905. H. P. CAMP, President; G. V. POOL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$14,725.97

Time loans

54,232.23

Overdrafts, unsecured

1,568.97

Bonds and stocks owned by the

bank

1,176.42

Banking house

2,452.99

Furniture and fixtures

2.219.05

Other real estate

184.66

Due from banks and bankers in

this state

6,602.98

Due from banks and oankers in

other states

7,014.69

Currency

2,575.00

Gold

107.50

Silver, nickels, etc

452.48

Cash items

146.38

Advances on cotton

3,281.36

Revenue stamps

20.32

Mutual fire insurance

120.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,189.03

Individual deposits, subject to

check

38,707.04

Time certificates

27,219.28

Cashier's checks

33.59

Due to clearing house

1.450.70

Total

$93,599.o4 Total

$93,599.64

TREASURER'S EEPORT

127

BANK OF MEANSVI LLE, MEANSVILLE.

Date of Charter, March 1, 1911 Begun Business, April 1, 1911. C. H. HUMPHREY, President ; H. G. LANGFORD, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$14,550.83

Time loans

14,721.55

Overdrafts, secured Dy cotton

27,798.47

Overdrafts, unsecured

471.26

Bo*"*" and stocks owned by the

bank

1,500.00

Banking house

1,882.00

Furniture and fixtures

1,843.02

Due from banks and bankers in

this state

'.. 43,616.35

Due from banks and bankers in

other states

9,310.92

Currency

5,208.00

Silver, nickels, etc

431.32

Cash items

251.12

Advances on cotton

5,890.44

LIABILITIES.

Capital stock paid in

$ 15,020.00

Undivided profits, less current ex-

penses, interest and taxes paid . 4,889.66

Individual deposits, subject to

check

86,442.19

Time certificates

15,055.98

Cashier's checks

177.01

Total

$121,584.84

Total

$121,584.84

BANK OF MEIGS, MEIGS.

Date of Charter, 1903; Begun Business, 1903. E. M. SMITH, President; DUNCAN BICKDET, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 56,540.09

Time loans

117,674.48

Overdrafts, unsecured

46.56

Bonds and stocks owned by the

bank

1,250.00

Banking house

1,910.00

Furniture and fixtures

1,546.00

Due from banks and bankers in

this state

41,948.61

Due from banks and bankers in

other states

8,848.13

Currency

8,605.00

Gold

106.00

Silver, nickels, etc

1,225.54

Cash items

1,063.36

Clearing house

4,358.61

LIABILITIES.

Capital stock paid in

$ 75,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 12,585.25

Due unpaid dividends

132.00

Individual deposits, subject to

check

116,401.61

Time certificates

38,843.24

Certified checks

182.36

Cashier's checks

1,977.92

Total

$245,122.38 Total

$245,122.38

BANK OF MENLO, MENLO.

Date of Charter, 1904; Begun Business, 1904. R. A. McWHORTER, President; J. C. CHAMBLEE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 91,582.30

Overdrafts, unsecured

266.56

Bonds and stocks owned by the

bank

3.200.00

Banking house

2,716.91

Furniture and fixtures

1,991.10

Due from banks and bankers in

this state

10.000.00

Due from banks and bankers in

other states

24,588.32

Currency

3,538.00

Gold

47.50

Silver, nickels, etc

1,377.02

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3.876.74

Individual deposits, subject to

check

86,742.70

Time certificates

32,372.9]

Cashier's checks

1,315.36

Total

$139,307.71

Total

$139,307.71

128

TREASURER'S EEPORT

COMMERCIAL BANK, METCALFE.

Date of Charter, July 3, 1916; Begun Business, July 22, 1916. J. W. HORNB, President; J. T. HOLLAND, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Time loans
Overdrafts, unsecured Banking house
Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items

$ 24,002 82
8.82 1,195.43
341.62 in
11,661.95 in
1,563.77 2,219.00
368.55 51.00

LIABILITIES.

Capital stock paid in

. ..$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,271.42

Individual deposits, subject to

check

21,3^9.96

Savings deposits

2,420.39

Time certificates

1,358.77

Cashier's checks ...".

12.42

Total

$41,412.96 Total

5 41,412.96

BANK OF METTER, METTER.

Date of Charter, March 4, 1904; Begun Business, March 23, 1904. W. D. KENNEDY, President; L. H. SEWELL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$38,375.00

Time loans

130,094.90

Overdrafts, secured

1,231.23

Overdrafts, unsecured

963.21

Bonds and stocks owned by the

bank

2,980.47

Banking house

1,835.60

Furniture and fixtures

2,472.66

Other real estate

7,804.12

Due from banks and bankers in

this state

10,631.38

Due from banks and bankers in

other states

40,492.20

Currency

10,191.00

Gold

200.00

Silver, nickels, etc

404.59

Cash items

1,084.51

Advances on cotton

207,783.82

U. S. Liberty Loan Bonds

17,025.07

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 30,856.85

Individual deposits, subject to

check

352,675.53

Time certificates

60,905.81

Cashier's checks

4,131.57

Total

$473,569.76

Total

$473,569.76

CITIZENS BANK, METTER, GA.

Date of Charter, Dec. 20, 1910; Begun Business, Dec. 20, 1910. A. J. BIRD, President; GEO. L. WILLIAMS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 85,033.72

Overdrafts, secured

733.27

Overdrafts, unsecured

836.58

Bonds and stocks owned by the

bank

11,000.00

Banking house

4,795.99

Furniture and fixtures

3,694.14

Other real estate

200.00

Due from banks and bankers in

this state

54,500.73

Due from banks and bankers In

other states

43,868.57

Currency

6,039.00

Gold

270.00

Silver, nickels, etc

904.25

Cash items

3,033.89

Advances on cotton

31,169.20

LIABILITIES.

Capital stock paid in

$30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 18,858.07

Due unpaid dividends

2.40

Individual deposits, subject to

check

157,713.10

Time certificates

38,492.34

Cashier's checks

1,013.43

Total

$246,079.34 Total

$246,079.3'

TEEASUEEB'S REPORT

129

BANK OF MIDVILLE, MIDVILLE.

Date of Charter, May 25, 1904; Begun Business, June 6, 1904. R. M. MURPHRBE, Vice-President; W. D. DREW, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans Time loans Overdrafts, unsecured Banking house Due from banks and
this state Due from banks and
other states Currency Silver, nickels, etc Cash items Advances on cotton

bankers bankers
*.

$ 46,565.97 37,566.40 1,461.72 1,500.00
in 16,080.70
In 104.30
6,099.00 207.77
3,750.03 179,230.11

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 17,283.73

Individual deposits, subject to

check

158,886.01

Time certificates

23,080.73

Cashier's checks

2,315.53

Bills payable, including time certi-

ficates representing borrowed

money

66,000.00

Total

$292,566.00

Total

$292,566.00

FARMERS & MERCHANTS BANK, MIDVILLE.

Date of Charter, March 17, 1913; Begun Business, Feb. 1913. W. A. LAW, President; J. B. THURMAN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items Depositors' guarantee fund Mutual fire fund

? 40,398.06 38,801.28 534.49 1,432.71 5,553.82 3,026.57
in 45,922.09
in 1,410.06 3,652.00 351.20 189.34 2,903.25 120.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,690.78

Individual deposits, subject to

check

106,518.25

Time certificates ..,

12,689.57

Cashier's checks

2,396.27

Total

$144,294.87

Total

$144,294.87

BANK OF MILAN, MILAN.

Date of Charter, 1906; Begun Business, 1906. L. O. BENTON, President; R. C. CHAMBERS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 6,000.00

Time loans

67,535.71

Overdrafts, unsecured

588.26

Bonds and stocks owned by the

bank

87,000.00

Banking house

1,700.00

Furniture and fixtures

2,500.00

Due from banks and bankers in

this state

64,095.62

Due from banks and bankers in

other states

3,395.36

Currency

5,500.00

Silver, nickels, etc

498.11

Advances on cotton and seed

13,343.01

LIABILITIES.

Capital stock paid in

$ 30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,835.33

Due unpaid dividends

16.00

Individual deposits, subject to

check

111,900.22

Time certificates

27,104.52

Total

$173,856.07

Total

$173,856.07

130

TREASURER'S REPORT

FARMERS & MERCHANTS BANK, MILAN.
Date of Charter, 1911; Begun Business, 1911. C. C. DUKES, President; C. C. DUKES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$136,095.91

Time loans

63,287.06

Overdrafts, secured

17,106.02

Overdrafts, unsecured

'583.06

Bonds and stocks owned by the

bank

5,000.00

Banking house

2,500.00

Furniture and fixtures

2,271.00

Other real estate

4,555.06

Due from banks and bankers in

this state

64,733.12

Due from banks and bankers in

other states

8 887.42

Currency

3^715.00

Gold

20.00

Silver, nickels, etc

616.25

Cash items

3,871.32

Advances on cotton

8,202.57

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8,854.61

Individual deposits, subject to

check

255,749.48

Time certificates

22,714.65

Cashier's checks

902.48

Total

$313,221.22

Total

$313,221.22

EXCHANGE BANK, M 1 LLEDGE VI LLE.

Date of Charter, 1903-1908; Begun Business, 1903. JOHN CONN, President; OTTO M. CONN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 15,036.92

Time loans

201,977.20

Overdrafts, secured

3,250.04

Overdrafts, unsecured

2,688.04

Bonds and stocks owned by the

bank

9,169.42

Furniture and fixtures

3,411.27

Other real estate

988.52

Due from banks and bankers in

this state

104,624.72

Due from banks and bankers in

other states

40,306.57

Currency

15,580.00

Gold

1,807.50

Silver, nickels, etc

2,403.41

Clearing house

2,312.12

Advances on cotton

7,878.81

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 27,134.18

Individual deposits, subject to

check

192,759.35

Savings deposits

114,076.24

Certified checks

351.60

Cashier's checks

1,575.76

Reserve for taxes

534.47

Total

$411,421.60

Total

$411,421.60

MERCHANTS & FARMERS BANK MILLEDGEVILLE.
Date of Charter, 1898; Begun Business, 1898. JNO. T. ALLEN, President; L. C. HALL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 23,976.71

Time loans

227,789.95

Overdrafts, unsecured

303.51

Bonds and stocks owned by the

bank

13,900.00

Furniture and fixtures

2,899.83

Other real estate

34,771.60

Due from banks and bankers In

this state

79,144.42

Due from banks and bankers In

other states

17,141.29

Currency

6,841.00

Gold

335.00

Silver, nickels, etc

1,441.84

Clearing house

2,517.42

LIABILITIES.

Capital stock paid in

$ 40,000.00

Surplus fund

40,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 53,956.61

Individual deposits, subject to

check

273,729.82

Savings deposits

768.34

Cashier's checks

2,607.80

Total

$411,062.57 Total

$411,062.57

,MiB

TREASURER'S REPORT

131

MILLEDGEVILLE BANKING COMPANY, MILLEDGEVILLE.

Date of Charter, 1874; Begun Business, 1884.

MILLER S. BELL, President; J. C. INGRAM, Asst. Cashier.

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 7,152.14

Time loans

195,474.29

Overdrafts, secured

4,223.30

Overdrafts, unsecured

3,562.88

Bonds and stocks owned by the

bank, including amounts due by

purchase of customers

44,250.00

Banking house and furniture and

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

100,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 28,390.43

Due to banks and bankers in this

state

5oo.60

Due unpaid dividends

3,066.00

Individual deposits, subject to

fixtures

11,707.94 check

'oS'on

Other real estate

2,458.96 Cashier's checks

Due from banks and bankers in

Reserved for taxes

Sxi'xli 1,500.00

this state

172,527.53

Due from banks and bankers in

other states

36,645.86

Currency

13,540.00

Gold . I

'

500.00

Silver, nickels, etc

?'!!}Ht

Clearing house

1,641.24

U. S. Treasury 4 per cent certifi-

cates

100,000.00

Total

$597,598.68

Total

$597,598.1

BANK OF MILLEN, M1LLEN.

JOE P APPLEWHITE, President; IRA O. PARKER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH 1917.

RESOURCES.

Demand loans Time loans Overdrafts, unsecured

Mq'oWM ij'noc'-o 2,986.(8

Bonds and stocks owned by the

bank

2?'22x-2r

Banking house

fS??-lc

Furniture and fixtures

4,743.4b

Due from banks and bankers in

LIABILITIES.

Capital stock paid in

$ 50,000.00

Undivided profits, less current expenses, interest and taxes paid.. 32,291.94

Individual deposits, subject to

check Savings deposits . Time certificates Cashier's checks

611,596.90 136,350.76
17,662.89 2,144.64

this state

445,785.47

Due from banks and bankers in

other states

llUlon

Currency

600 00

Silver, ' nickels, etc Cash items Clearing house Advances on cotton
Total

,,2;I1'',TM^20oX0'.c0'S0i 136,474.80

$850,047.

Total

THE FARMERS BANK, MILNER.

$850,047.15

Date of Charter, June 23, 1911; Begun Business, Aug. 15, 1911. SJ CHIDDERS Vice-President; G. P. WHEELESS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Bonds and stocks owned by
bank
Furniture'and fixtures Other real estate

$ ,}'$, 22 SHlHn '^SXnn 420.00

the 2,500.0U



}'?'S2 1,165.00

LIABILITIES.

Capital stock paid in

$ 15,000.00-

Undivided profits, less current ex-

penses, Interest and taxes paid.. 6,253.52

Individual deposits, subject to

check

73,509.01

Time certificates

12,62?'?|

Cashier's checks

4.88

Due from banks and bankers In

this state Due from banks

and bankers in

40,,4'4.6,.11.

other states

Currency

Gold Silver, nickels, etc

Cash items

Clearing house



Advances on cotton and cotton

3H,4117H.0"0 377.50 236.39 56.05
655.87

seed

16,861.23

Total

$107,390.77 Total

$107,390.77

132

TREASURER'S BEPORT

MILNER BANKING CO., M1LNER.

Date of Charter, 1905; Begun Business, 1905. J. O. NORMS, President; ROLAND ANDERSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 1BTH, 1917.

RESOURCES. Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc

$ 28,826.37 3,119.67 73 60 1 600 00 1,781.00
in 19,497.25
in 18,068 44 5,800.00 149.98

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 9,813.27

Individual deposits, subject to

check

46,400.54

Time certificates

7,702.50

Total

$78,916.31

Total

$78,916.31

BANK OF MILL-TOWN, MILLTOWN.

Date of Charter, March 14, 1905; Begun Business, March 21, 1905. J. F. LEWIS, President; M. W. BARGERON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$120,267.72

Overdrafts, unsecured

1,207.02

Bonds and stocks owned by the

bank

1,300.50

Banking house

4,571.47

Furniture and fixtures

1,907!40

Due from banks and bankers in

this state

5,748.90

Due from banks and bankers in

other states

1,230 21

Currency

4,168.00

Gold

30.00

Silver, nickels, etc

456.18

Clearing house

737.17

Advances on cotton

71,31o!oO

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,159.33

Individual deposits, subject to

check

56,954.95

Time certificates

123,348 97

Cashier's checks

470 82

Total

$212,934.07

Total

$212,934.07

FARMERS & MERCHANTS BANK, MILLTOWN.

Date of Charter, April 18, 1907; Begun Business, May, 1907 R. E. HOWELL, President; W. C. BANKS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 7,150

Time loans

62,'955i

Overdrafts, unsecured

78,

Bonds and stocks owned by the

bank

3?000,

Banking house

2,167,

Furniture and fixtures

2,334!

Other real estate

2,251

Due from banks and bankers in

this state

11,367.88

Due from banks and bankers in

other states

7,044.64

Currency

2,222 00

Gold

15.00

Silver, nickels, etc

451.16

Cash items

328.17

Advances on cotton

36,588.61

Profit and loss

1,102.90

Revenue stamps

3.25

LIABILITIES.

Capital stock paid in

$ 15,000.00

Individual deposits, subject to

check

Savings deposits

..!!!!!!!"

Demand certificates

Time certificates

Cashier's checks

....'.

Special fund to make good impair-

76,869.87 3,898.52 3,000.00
34,847.85 203.95

ment of stock and worthless

paper

5,240.00

Total

$139,060.19

Total

.$139,060.19

TREASURER'S REPORT

133

BANK OF MOLENA, MOLENA.

Date of Charter, 1901; Begun Business, 1901. Z. LAWHENCE, President; J. C. WILKES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

t 10,135.12

Time loans

44,831.67

Overdrafts, unsecured

668.42

Bonds and stocks owned by the

bank

4,600.00

Banking house

1,693.90

Furniture and fixtures

1,754.75

Due from banks and bankers in

this state

9,140.44

Due from banks and bankers in

other states

11,964.07

Currency

3,703.00

Gold

15.00

Silver, nickels, etc

234.75

Cash items

4,235.07

Clearing house

750.41

Advances on cotton

13,2r7.77

Depositors' insurance fund

3,302.35

LIABILITIES.

Capital stock paid in

$ 15'00?-X?

Surplus fund

1,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,084.72

Individual deposits, subject to _

check Time certificates Cashier's checks

ll'llal '?S^i? 594.18

Total

$110,206.72

Total

$110,206.72

BANK OF MONROE, MONROE.

Date of Charter, Dec. 30, 1890; Begun Business, April 2, 1891. B. S. WALKER, President; J. R. RADFORD, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

4*123 353.50

Time loans Overdrafts, secured

288: 339.82 8 052.60

Overdrafts, unsecured

5 950.56

Bonds and stocks owned by the

bank

24 700.00

Furniture and fixtures

500.00

Due from banks and bankers in

this state

70,309.88

Due from banks and bankers in

other states

6 a 836.55

Currency

5 093.00

Gold Silver, nickels, etc

901.50 235.89

Cash items

1 988.99

Clearing house

131 484.52

Advances on cotton

122 265.14

War savings certificates

894.88

Revenue stamps

38.00

LIABILITIES.

Capital stock paid in

$100,000.00

Surplus fund

100,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 22,698.09

Due to banks and bankers in this

state

134.25

Due unpaid dividends

108.00

Individual deposits, subject to

check Demand certificates

41443oH? 72,682.66

Time certificates

2,617.70

Certified checks

18'?J

Cashier's checks

5,624.76

Reserve for taxes

437.50

Total

1.31

Total

$718,460.31

FARMERS BANK, MONROE.

A. J. ARNOLD, President; E. D. NEWTON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

i 8,213.38

Time loans

, 159,925.49

Overdrafts, secured

10,031.09

Bonds and stocks owned by the

bank Furniture and fixtures

3,520.00 4,143.59

Due from banks and bankers in

this state

98,357.71

LIABILITIES.

Capital stock paid in

$ 60,000.00

Surplus fund

11,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,788.30

Individual deposits, subject to

check

332,301.33

Demand certificates

416.55

Time certificates

12,958.42

Due from banks and other states
Currency Gold Silver, nickels, etc Cash items Advances on cotton

bankers

in 116,959.54 10,320.00 1,082.50 1,489.31 7,356.63 1,065.36

Total

$422,464.60 Total

$422,464.60

134

TREASURER'S EEPORT

UNION BANKING CO., MONROE.

Date

of L.

Charter, Aug. O. BENTON,

17, 1912; Begun Business, Sept. 12 President; H. D. SPIVEY, Cashier.

1912

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

^

RESOURCES.

Demand loans

:

Time loans

'.'.

Overdrafts, secured ..

i 8,556. 64,145 2,251.

Overdrafts, unsecured

.'.'.'.'.'.' 194.

Bonds and stocks owned bv the

bank
Banking house Furniture and fixtures

1,000

...'.

6,400 3,300.

Due from banks and bankers in

this state

54,738,54

Due from banks and banker's"in

other states Currency Silver, nickels, etc Cash items

] .".!!"!'!"

24,761.77 3,828.00 499.81

2,683.24

LIABILITIES.

Capital stock paid in

$ 40 000 00

STurP'"S fund

l'600.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 716 12

Individual deposits, subject to

check

117 454.17

Time certificates

...'. 12*308 63

Cashier's checks

'27949

Ttal



1172,358.41

Total

$172,358.41

LEWIS BANKING CO., MONTEZUMA.

Date of Charter, Jan. 30, 1902E. B. LEWIS, President;

Begun G. M.

Business, March 12, 1902 CHASTAIN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 27,245 61

Time loans

317,019.79

Overdrafts, secured and unsecured 7,156.33

Customer's acceptances

80,000.00

Bonds and stocks owned by the

TB,b anak,ni.kng vhouse

: 5794,04803.4000

Furniture and fixtures

4^586 20

Other real estate

182 00

Due from banks and bankers in

this state

77,030.61

Due from banks and bankers in

other states :

22,193 58

Currency

9,767.00

Gla Silver, nickels, etc

40.00 843 08

Cash items

658.95

Advances on cotton

163,707.49

,, ,

LIABILITIES.

Capital stock paid in Surplus fund

$100 60

000.00 ,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 50 ,064.72 Due to banks and bankers in this

state

29 724.55

Individual deposits, subject to

check Savings deposits

410 736.09 40 926.75

Demand certificates Time certificates Certified checks Cashier's checks

\

6 77'

295.00 364.59

139.00 ,.' 1 703.34

TotaI

$776,954.04

Total

$776,954.04

JASPER COUNTY BANK, MONTICELLO.

_ _

Date of Charter, Feb. 5, 1898.

D. B. BENTON, President; G. W. CORNWELL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 16TH, 1917.

RESOURCES. Demand loans Time loans Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency
Silver, nickels, etc. Cash -items
Clearing house .... Advances on cotton
Postofflces

$ 27. 491.16 239 210.02 2 800.00 3, 300.00 71.50
in 82,208.47
in 321,335.43 1,026.00 766.69 1,765.17 ,808.49
1:,,858070..9050

LIABILITIES.

Capital stock paid in Surplus fund

$ 25,000.00 ]. $ 25,000.00

Undivided profits, less current ex

penses, interest and taxes paid.. 8,773.18

Due unpaid dividends Individual deposits, subject to

6.00

check Time certificates

. '

236,522.60 97,868.10

Total

$393,169.88

Total

$393 169:

.i

TEEASUEEB'S EEPOET

135

MONTROSE BANKING CO., MONTROSE.

C. R. WILLIAMS, President; W. S. WILLIAMS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Time loans Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items Advances on cotton

$ 9,823.57 1,730.00 1,714.63
in 24,156.52
in 10,004.06 790.00 693.85 36.00 7,689.55

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 254.71

Individual deposits, subject to

check

38,582.12

Time certificates

2,315.00

Cashier's checks

457.05

Total

$56,638.:

Total

56,638.88

MORELAND BANKING CO., MORELAND.

Date of Charter, Nov. 25, 1905; Begun Business, Dec. 1905. JAS. P. CAMP, President; D. C. OWEN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 350.00

Time loans

73,783.30

Overdrafts, secured

3,713.86

Overdrafts, unsecured

232.13

Bonds and stocks owned by the

bank

500.00

Furniture and fixtures

476.25

Due from banks and bankers in

this state

135,560.92

Due from banks and bankers in

other states

296.35

Currency

1,764.00

Gold

93.50

Silver, nickels, etc

67.65

Cash items

373.38

Profit and loss

18.50

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 12,510.91

Individual deposits, subject to

check

168,537.04

Time certificates

6,182.29

Bills payable, including time certi-

ficates representing borrowed

money

5,000.00

Total

J217.230.24 Total

.. $217,230.24

BANK OF MORGAN, MORGAN.

Date of Charter, Oct. 9, 1911; Begun Business, Nov. 15, 1911. Z. T. RABUN, President; J. W. BUSSEY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 15,000.00

Time loans

41,085.56

Overdrafts, secured, cotton, corn

and velvet bean plants

18,809.77

Overdrafts, unsecured

607.25

Bonds and stocks owned by the

bank

335.00

Banking house

3,428.00

Furniture and fixtures

1,369.40

Due from banks and bankers in

this state

25,026.49

Due from banks and bankers in

other states

23,893.38

Currency

2,937.00

Gold

25.00

Silver, nickels, etc

665.67

Cash items

3,288.14

Other resources, collections

649.89

LIABILITIES.

Capital stock paid in

$ 19,500.00

Undivided profits, less current ex-

penses, interest and taxes paid. . 1,457.16

Individual deposits subject to

check

113,009.92

Time certificates

2,952.87

Cashier's checks

200.60

Total

$137,120.55

Total

$137,120.55

136

TREASURER'S REPORT

CITIZENS BANK, MOULTRIE.

Date of Charter, Nov. 1900; Begun Business, Nov. 1900. W. H. BARBER, President; W. S. STOKES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$

Time loans

Overdrafts, secured

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Clearing house

108,210.88 645,463.00 156,829.49
2,690.45
28,525.00 12,950.00
5,000.00
131,542.13
62,153.95 42,425.00 2,105.00
4,806.09 15,608.14

LIABILITIES.

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, interest and taxes

paid

Due to banks and bankers in

this state

Individual deposits subject to

check

Time certificates

Certified checks

Cashier's checks

100,000.00 75,000.00
58,767.97 39,585.84 657,038.18 285,118.15
1,616.67 1,151.62

Total

$1,218,308.43

Total

$1,218,308.43

MOULTRIE BANKING CO., MOULTRIE.

Date of Charter, 1896; Begun Business, May, 1896. W. C. VEREEN, President; M. D. LEE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$

Time loans

Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house, furniture and

fixtures

Other real estate

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash items, clearing house

Advances on cotton

40,480.80 944,083.87
1,266.90
25,999.00
15,792.09 532.00
46,102.34
53,622.23 13,425.00
2,055.00 1.383.45 16,378.54 239,625.95

LIABILITIES.

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, interest and taxes

paid

Individual deposits subject to

check

Demand certificates

Time certificates

Certified checks

Reserve for interest, taxes, etc..

100,000.00 125,000.00
47,177.37 665,021.35
4.5F0.83 455,611.42
203.25 3,152.95

Total

$1,400,747.17 Total

$1,400,747.17

BANK OF MT. AIRY, MT. AIRY.

C. GRESHAM, President: R. F. PAYNE, Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Time loans Banking house Furniture and fixtures Due from banks and bankers
this state Currency Gold Silver, nickels, etc
Cash items

$28,541.42 2,017.77 2,070.00
in 11,905.72 1.565.00 102.50 257.50
394.35

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 735.29

Individual deposits, subject to

check

14.645.23

Time certificates

16,510.51

Cashier's checks

53.23

Total

$46,944.26 Total

,.

$46,944.26

TREASURER'S EEPORT

137

MOUNT VERNON BANK, MOUNT VERNON.

Date of Charter, Dec. 21, 1900; Begun Business, Jan. 24, 1901 WILLIE T. McARTHUR, President; W. T. PETERSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 6,476.05

Time loans

82,856.23

Overdrafts, unsecured

26a.00

Bonds and stocks owned by the

bank (Liberty Bonds)

5,000.00

Banking house

4,000.00

Furniture and fixtures

2,912.81

Due from banks and bankers in

this state

123,297.94

Due from banks and bankers in

other states

4,943.02

Currency

10,270.00

LIABILITIES.

Capital stock paid in

15,000.00

Surplus fund

35,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,006.62

Individual deposits, subject to

check

151,850.01

Savings deposits

12,609.97

Time certificates

52,384.53

Cashier's checks

656.77

Other liabilities (itemized), cash

over

6.22

Gold

65.00

Silver, nickels, etc

918.14

Advances on cotton

12,947^42

Safety deposit boxes

'l34 71

Advanced on liberty bonds

3,429.80

Set aside as capita] for Commer-

cial Bank, Uvalda, Ga

15,000.00

TotaI

$272,514.12 Total

$272,514.12

BERRIEN COUNTY BANK, NASHVILLE.

Date of Cha rter, 1911; Begun Business, 1911. A. H. GIDDENS, President; H. H. WILBURN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Bonds and stocks owned by
bank Banking house Furniture and fixtures Other real estate

S the
'.

9,645.48 51,667.13
129.52
2,100.00 5,914.95 4,490.36 1,875.83

LIABILITIES.

Capital stock paid in

$ 24,960.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,480.96

Individual deposits, subject to

check

49,553.68

Time certificates

39,696.67

Cashier's checks

1,930.40

Due from banks and bankers in

this state

10,131.72

Due from banks and bankers in

other states Currency Gold Silver, nickels, etc

.....'!.'.!!

6,646.88 1,685.00
130.00 912.95

Cash items

1,675.15

Advances on cotton and cotton

seed Suspense

19,942.72 1,674.02

Total

$118,621.71

Total

$118,621.71

FIRST BANK OF NAS HVILLE, NASHVILLE.

J. F. LEWIS, President; J. W. E. POWELL, Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$124,962.14

Time loans

114,419.62

Overdrafts, unsecured

618.64

Banking house

2,723.84

Furniture and fixtures

2,351.81

Other real estate

5,550.00

Due from banks and bankers in

this state

24,819.59

Due from banks and bankers in

other states

23,816.27

Currency

3,663.00

Gold

2,682.50

Silver, nickels, etc

779.24

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 13,854.25

Due unpaid dividends

72.00

Individual deposits, subject to

check

186,532.35

Time certificates

184,778.68

Certified checks

739.70

Cashier's checks

5,319.92

Notes and bills rediscounted

2,977.67

Cash over

65.87

Cash items

49.30

Advances on cotton

124,912.10

Advances on cotton seed Advances on oats Advances on livestock

551.10 554.79 1,469.41

Bonds, securities and judgments.. 417.09

Total

.$434,340.44

Total

$434,340.44

138

TREASURER'S REPORT

FARMERS BANK, NAYLOR.

Date of Charter, Dec. 2, 1907; Begun Business, Jan. 15, 1908. J. P. CARTER, President; H. D. ROBINSON, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 5,380.84

Time loans

22,736.85

Bonds and stocks owned by the

bank

400.00

Banking house

1,906.88

Furniture and fixtures

2,040.95

Due from banks and bankers in

this state

34,999.01

Due from banks and bankers in

other states

372.11

Currency

4,228.00

Gold

55.00

Silver, nickels, etc

733.63

Advances on cotton

5,016.63

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

600.00

Undivided profits, less current, ex-

penses, interest and taxes paid.. 11,410.04

Individual deposits, subject to

check

18,742.45

Time certificates

25,105.05

Cashier's checks

1,995.73

Total

$ 72,853.27

Total

$ 72,853.27

BANK OF NEWBORN, NEWBORN.

W. P. WALLACE, President; H. G. SMITH, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 3,442.92

Time loans

73,683.37

Overdrafts, secured and unsecured 7,463.36

Bonds and stocks owned by the

bank

500.00

Banking house

1,600.00

Furniture and fixtures

1,700.00

Due from banks and bankers in

this state

59,212.33

Due from banks and bankers In

other states

5,031.43

Currency

1,463.00

Gold

72.50

Silver, nickels, etc

640.44

Cash items

1,354.47

Advances on cotton

84,864.64

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,920.46

Individual deposits, subject to

check

182,039.73

Time certificates

18,549.20

Cashier's checks

1,519.07

Total

$241,028.46

Total

$241,028.46

NEWNAN BANKING CO., NEWNAN, GA.

Date of Charter, Nov. 11, 1889; Begun Business, Aug. 18, 1891. B. T. THOMPSON. President; T. M. GOODRUM, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Bonds owned by the bank Real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items

$110. 407.67 255, 626.40 42. 738.82 9 016.14 69 233.50 5 927.20
in 86,500.40
in 29,909.96 16,803.00 192.50 2,693.35 2,476.55

LIABILITIES.

Capital stock paid in

$125 000.00

Surplus fund

100 000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 14,595.52

Due to banks and bankers in this

state

8 641.OS

Due unpaid dividends

20.00

Individual deposits, subject to

check

283.742.33

Savings deposits

23.7M7.23

Demand certificates

65,729.33

Total

. .$621,525.49

Total

$621,525.49

,-

Uit

TREASURER'S EEPORT

139

BAKER COUNTY BANK, NEWTON.

J. A. BOWERS, President; J. H. HALL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 33,026.77

Time loans

49,378.01

Bonds and stocks owned by the

bank

1,000.00

Banking house

3,116.51

Furniture and fixtures

2,878.88

Due from banks and bankers in

this state

14,188.26

Due from banks and bankers in

other states

7,731.76

Currency

869.00

Gold

15.00

Silver, nickels, etc

627.47

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

6,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 13,621.26

Individual deposits, subject to

check

64,810.85

Time certificates

2,008.40

Cashier's checks

383.15

Total

$111,828.66

Total

$111,828.66

BANK OF NICHOLLS NICHOLLS.

Date of Charter, May 10, 191 Begun Business, May 12, 1915. E. BURKETT, President; J. M. JENRETTB, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 13,151.36

Time loans

41,825.21

Overdrafts, unsecured

668.26

Bonds and stocks owned by the

bank

176.00

Furniture and fixtures

4,057.53

Other real estate

1,333.60

Due from banks and bankers in

this state

6,012 43

Due from banks and bankers in

other states

6,318.52

Currency

5,307.00

Gold

97.50

Silver, nickels, etc

262.81

Cash items

930.46

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

575.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,000.82

Individual deposits, subject to

check

40,781.23

Time certificates

21,363.52

Cashier's checks

423.11

Total

180,143.68

Total

$80,143.68

MERCHANTS & FARMERS BANK, NICHOLLS.

Date of Charter, Dec. 12, 1906; Begun Business, Dec. 20, 1906. R. G. KIRKLAND, President; JNO. KIRKLAND, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 3,000.00

Time loans

84,142.44

Overdrafts, unsecured

1,784.63

Bonds and stocks owned by the

bank

2,500.00

Banking house

7,500.00

Furniture and fixtures

2,612.76

Other real estate

9,611.56

Due from banks and bankers in

this state

63,706.08

Due from banks and bankers in

other states

8.33S.24

Currency

2,053.00

Gold

787.50

Silver, nickels, etc

589.05

Cash items

2,159.72

Advances on cotton

30,000.00

LIABILITIES.

Capital stock paid in

$25,000.00

Surplus fund

12,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,193.03

Individual deposits. subject to

check

133,125.57

Time certificates

44,358.33

Cashier's checks

608.05

Total

$218,784.98 Total

$218,784.98

140

TREASURER'S KEPORT

BANK OF GWINNETT, NORCROSS.

Date of Charter, July 31, 1911; Begun Business, Aug. 3, 1911. S. T. McBLROY, President; WALTER L. RAY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 40,487.87

Overdrafts, unsecured

1,370.21

Bonds and stocks owned by the

bank

1,000.00

Banking house

3,333.70

Furniture and fixtures

2,283.43

Due from banks and bankers in

this state

44,754.33

Due from banks and bankers in

other states

764.09

Currency

4,239.00

Gold

60.00

Silver, nickels, etc

87.14

Cash items

445.94

Advances on cotton

24,220.80

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,440.15

Individual deposits, subject to

check

93,146.30

Time certificates

13,140.07

Cashier's checks

319.99

Total

$123,046.51

Total

$123,046.51

BANK OF NORCROSS, NORCROSS.

Date of Charter, Dec. 12, 1903; Begun Business, Feb. 1, 1904. A. A. JOHNSON, President; P. W. SUMMEROUR, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 43,740.05

Overdrafts, unsecured

41.72

Bonds and stocks owned by the

bank

5,892.50

Banking house

1,500.00

Furniture and fixtures

1,600.00

Due from banks and bankers in

this state

96,528.90

Due from banks and bankers in

other states

4,562.83

Currency

3,570.00

Gold

15.00

Silver, nickels, etc

298.36

Cash items

323.81

LIABILITIES.

Capital stock paid in

$ 30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,246.87

Individual deposits, subject to

check

104.622.04

Time certificates

20,937.49

Certified checks

53.25

Cashier's checks

213.52

Total

158,073.17

Total

$158,073.17

BANK OF NORMAN PARK, NORMAN PARK.

Date of Charter, March 24th, 1906; Begun Business, April 23, 1906. M. D. NORMAN, President; O. F. CREECH, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$83,037.59

Overdrafts, secured

55,537.08

Overdrafts, unsecured

163.89

Banking house

3,000.00

Furniture and fixtures

1.518.65

Due from banks and bankers in

this state

10,526.85

Due from banks and bankers in

other states

1,055.49

Currency

3,121.00

Silver, nickels, etc

294.70

Cash items

191.29

LIABILITIES.

Capital stock paid in

$ 15.000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,762.11

Individual deposits, subject to

check

87,688.11

Time certificates

18.726.27

Cashier's checks

6,670.05

Total

$158,846.54

Total

$158,846.54

-=UUi

TREASURER'S KEPORT

141

BANK OF NORRISTOWN, NORRISTOWN.

C. R. WILLIAMS, President; L. A. McCRARY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 3,000.00

Time loans

14,964.79

Overdrafts, secured

257.76

Bonds and stocks owned by the

bank

180.00

Banking house

1,835.80

Furniture and fixtures

2,592.72

Furniture and fixtures, State Bank

of Wesley

3,046.90

Due from banks and bankers in

this state

48,056.64

Due from banks and bankers in

other states

13,290.89

Currency

1,400.00

Silver, nickels, etc

357.02

Cash items

101.50

Advances on cotton

5,799.89

LIABILITIES.

Capital stock paid in

$ 15.000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

873.37

Individual deposits subject to

check

74,123.75

Time certificates

3,333.34

Cashier's checks

450.19

Stock in State Bank of Wesley in

course of liquidation

1,119.73

Total

$ 94,883.91

Total

$ 94,883.91

FARMERS & MERCHANTS BANK, NUNEZ.

STEELY MOORE, President; G. C. CORBIN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 16,412.09

Overdrafts, secured

11,000.00

Overdrafts, unsecured

782.45

Bonds and stocks owned by the

bank

1,000.00

Banking house

2.577.70

Furniture and fixtures

2,019.28

Due from banks and bankers in

this state

7,129.10

Due from banks and bankers in

other states

78.83

Currency

1,057.00

Gold

2.50

Silver, nickels, etc

189.60

Cash items

717.00

Advances on cotton

1,966.10

Profit and loss

523.39

W. F. S. Co

2,000.00

LIABILITIES. Capital stock paid in Due unpaid dividends Individual deposits, subiect
check -. Savings deposits Cashier's checks

$ 15,000.00 480.00
to ' 22,131.30 5,525.19 2,352.45

Total

$ 45,488.94

Total

$ 45,488.94

EXCHANGE BANK, OAKFIELD.

Date of Charter, Nov. 22. 1911; Begun Rusiness, Oct. 3, 1911. J. E. CAMPBELL, President; J. A. FOUNTAIN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time, loans Overdrafts, secured Overdrafts, unsecured Liberty Bonds Banking house Furniture and fixtures
Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc
Cash items Advances on cotton

$ 850. 31,232. 763. 919. 1,000. 2,500. 1.800.
3,100. in
34,764.86 in
25,469.22 2,901.00 10.00 203.88
105.32 4,850.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,747.64

Individual deposits, subject to

check

72,042.54

Savings deposits

1,040.53

Time certificates

9,147.38

Cashier's checks

10,491.33

Total

$110,469.42

Total

$110,469.42

142

TREASURER'S EEPORT

BANK OF OCHLOCHNEE, OCHLOCHNEE.

Date of Charter, Nov. 1906; Begun Business, 1906. R. SINGLETARY, President; A. E. SPBER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 1BTH, 1917.

RESOURCES.

Demand loans

$ 192.00

Time loans

60,980.36

Bonds and stocks owned by the

bank

3,000.00

Banking house

2,144.70

Furniture and fixtures

1,449.62

Due from banks and bankers in

this state

7,647.82

Due from banks and bankers in

other states

10,183.87

Currency

2,196.00

Silver, nickels, etc

443.38

Cash items

137.86

Depositors' guarantee fund

3,259.20

Mutual Are insurance fund

120.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,494.76

Individual deposits, subject to

check

47,138.42

Savings deposits

695.82

Time certificates

21,720.94

Cashier's checks

1,704.87

Total

$ 91,754.81

Total

$ 91,754.81

CITIZENS BANK, OCILLA.

Date of Charter, 1906; Begun Business, 1906. D. J. HENDERSON, JR., President.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Clearinghouse Advances on cotton

$146,325.62 604.50
9,794.05 8,941.15 18,735.20 in 69,683.16 in 11,934.95 12,500.00
155.00 368.46 600.00 3,918.71 22,131.62

LIABILITIES.

Capital stock paid in

$ 52,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,879.26

Individual deposits, subject to

check

179,664.28

Time certificates

49,413.68

Total

$286,957.22

Total

$286,957.22

ODUM BANKING CO., ODUM.

Date of Charter, March 1, 1916; Begun Business, 1910. J. C. RITCH, President; N. H. BACON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 8,000.00

Time loans

22,765.31

Overdrafts, unsecured

283.25

Banking house and furniture and

fixtures

4,541.00

Due from banks and bankers in

this state

65,619.95

Currency

2,262.00

Gold

20.00

Silver, nickels, etc

822.85

Cash items

214.07

LIABILITIES.

Capital stock paid in

$ 15,300.00

Surplus fund

380.30

Undivided profits, less current ex-

penses, interest and taxes paid..

885.57

Individual deposits, subject to

check

73,949.02

Time certificates

11,467.46

Cashier's checks

2,546.08

Total

$104,528.43

Total

I

$104,528.43

TREASURER'S EEPORT

143

BANK OF OGLETHORPE, OGLETHORPE.

W. H. STEWART, SR., President; W. A. WILBURN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 13.900.7S

Time loans

71,415.87

Overdrafts, secured

1,616.02

Overdrafts, unsecured

728.70

Bonds and stocks owned by the

bank

26.909.17

Banking house

2,000.00

Furniture and fixtures

1,000.00

Due from banks and bankers in

this state

8,098.97

Due from banks and bankers in

other states

2,400.66

Cash and cash items

6,088.90

Advances on cotton

26,503.81

.LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 15,337.74

Individual deposits, subject to

check

98,276.76

Time certificates

31,680.88

Cashier's checks

367.50

Total

i,662.88

Total

$160,662.88

MACON COUNTY BANK, OGLETHORPE.

D. A. McBRIDE, President; B. F. NEAL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 34,860.52

Bonds and stocks owned by the

bank

1,230.00

Banking house

2,742.85

Furniture and fixtures

1,474.55

Other real estate

488.61

Due from banks and bankers in

this state

28,859.39

Due from banks and bankers in

other states

3,738.75

Cash items and cash

11,044.76

Advances on cotton

9,046.71

Profit and loss

339.61

Depositors' insurance

3,193.05

Fire insurance

162.51

LIABILITIES. Capital stock paid in Individual deposits, subject
check Savings deposits Time certificates Cashier's checks

15,000.00
69,053.50 1,640.96 8,892.53 2,630.32

Total

$ 97,181.31 Total

$ 97,181.31

PEOPLES BANK, OLIVER.

Date of Charter, July 13, 1906; Begun Business, Sept. 4, 1906. L. O. BENTON, President; OSCAR H. MARSH, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 10,705.82

Time loans

78,741.85

Overdrafts, unsecured

602.73

Bonds and stocks owned by the

bank

6,400.00

Banking house

1,800.00

Furniture and fixtures ..v

1,200.00

Due from banks and bankers in

this state

59,002.19

Due from banks and bankers in

other states

9,429.14

Currency

3,187.00

Silver, nickels, etc

410.92

Cash items

2,424.61

LIABILITIES.

Capital stock paid in

$ 22,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,474.10

Individual deposits, subject to

check

102,970.00

Time certificates

42,517.18

Cashier's checks

2,442.98

Total

$173,904.26

Total

$173,904.26

144

TREASURER'S EEPORT

BANK OF OMEGA, OMEGA.

IRW1N WILLIS, President; W. H. SORROW, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1317

RESOURCES

Demand loans

\

$ 1,599.74

Time loans

25,322.01

Overdrafts, secured

3,299.90

Overdrafts, unsecured

] 2373 94

Banking house

2'407 97

Furniture and fixtures

1*993 04

Other real estate

1315 00

Due from banks and bankers in

this state

19,728.86

Due from banks and bankers in other states

Currency

Gold

..'.'.'.'.'.]'.'.'

Silver, nickels, etc

...'.

Cash items

Advances on cotton

5,131.25 500.00
105.00 71.82 61.21 11036 76

Profit and loss

'76956

Mutual fire insurance funds

!

120 00

LIABILITIES. Capital stock paid in Individual deposits, subject
check Time certificates
Cashier's checks

$ 15,000.00 to
49,961.51 io 454 00
'41l!l8

Ttal

$75,836.69

Total

? T^ieJo

PEOPLES BANK, OSIERFIELD.

DR. AUBREY HARPER, President: G. E. PITTMAN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans
Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currencj' ... Silver, nickels, etc Cash items Profit and loss Books and stationery

$ 3,136.42 15 337 33
l'o35'38 732 98
1 900 00 l'l8412 in 28,127 41 in 2,058.13 2,235.00
147 67 28!oO
798^02 346^70

LIABILITIES. Capital stock paid in Individual deposits, subject
check Time certificates Cashier's checks

$ 15,000.00 to
38,854.25 2,798 00
464 96

TotaI

* 57,117.21

Total

$ 57,117.21

BANK OF PALMETTO, PALMETTO.
^ff Charter, Sept. 26, 1904; Begun Business, Oct. 1, 1904 LEVI BALLARD, President; R. C. BACHELLOR, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 2,10130

Time loans

167,971.84

Overdrafts, unsecured

30 20

Bonds and stocks owned by the

_ ba,n.k

9,500.00

Banking house

4,008.57

Furniture and fixtures

2,939.60

Due from banks and bankers in

this state

106,649.20

Due from banks and bankers in

other states

24,734.69

Currency Gold Silver, nickels, etc.

1.00 172.50 1.315.7S

Cash items

826.84

Depositors' guarantee fund

3,302.35

Fire insurance fund Revenue stamps

120.00 43.80

LIABILITIES.

Capital stock paid in

: 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 25,477.42

Due unpaid dividends

40.00

Individual deposits, subject to

check

235,513.99

Time certificates

44,816.16

Cashier's checks

1' 675 10

Total

$332,522.67

Total

$332,522.1

TREASURER'S REPORT

145

BANK OF PARROTT, PARROTT.

Date of Charter, 1906; Begun Business, March 3, 1906. S. J. CAIN, President; ROY PINKSTON, Asst. Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc
Cash items Advances on cotton Other resources (itemized)

$ 27,274.12 80,564.34 910.30 2,174.55 1,454.84
in 38,193.31
in 17,713.34 2,824.00 498.64
105.00 2,479.84
120.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,040.64

Individual deposits, subject to

check

119,779.00

Time certificates

35,445.48

' Cashier's checks

1,047.16

Total

$174,312.28 Total

$174,312.28

THE PLANTERS BANK OF PARROTT, PARROTT.

Date of Charter, Aug. 2, 1912; Begun Business, Sept. 25, 1917. J. W. TILLEY, President; MARVIN D. PIERCE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. .

Demand loans

$ 11,371.90

Time loans

56,610.78

Bonds and stocks owned by the

bank

9,098.00

Banking house

4,449.59

Furniture and fixtures

3,526.59

Other real estate

1,774.80

Due from banks and bankers in

this state

21,774.52

Due from banks and bankers in

other states

11,547.14

Currency

2,155.00

Silver, nickels, etc

1,258.28

Cash items

10,893.97

Advances on cottonseed meal .... 5,000.00

Advances on cotton

60,881.44

Advances on cottonseed

21,950.66

Advances on peanuts

24,166.54

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

5,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,796.37

Individual deposits, subject to

check

198,089.43

Time certificates

9,968.65

Cashier's checks

2,104.76

Total

$246,459.21

Total

$246,459.21

PATTERSON BANK, PATTERSON.

Date of Charter, June 30, 1907; Begun Business, Sept. 27, 1907. J. M. THOMAS, President; R. D. HOWARD, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Time loans Overdrafts, unsecured
Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items

$ 61,083.13

1,344.79

2,700.00

1,554.50

in

157,676.39

in

7,025.25

6,312.00

i

5.00

34.37

6.50

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

3,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,076.59

Individual deposits, subject to

check

189,679.37

Time certificates

25,453.04

Certified checks

18.68

Cashier's checks

1,514.25

Total

$237,741.93

Total

$237,741.93

146

TREASURER'S REPORT

BANK OF PAVO, PAVO.

Date of Charter, Sept. 1903; Begun Business, Sept. 1903. J. FRANK HARRIS, President; HUGH C. FORD, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 2,791 42

Time loans

111,397.65

Overdrafts, unsecured

791.42

Bonds and stocks owned by the

bank

1,050.00

Banking house

2,100.67

Furniture and fixtures

2,333.37

Due from banks and bankers in

this state

12,029.34

Due from banks and bankers in

other states

1,589.08

Currency

2,597.00

Gold

5.00

Silver, nickels, etc

397.65

Cash items

219.75

Clearinghouse

265!68

Advances on cotton

82,739.47

LIABILITIES.

Capital stock paid in

$ 33,100.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 28,438.00

Due unpaid dividends

60.00

Individual deposits, subject to

check

86,598.96

Time certificates

40,330.56

Cashier's checks

1,779.98

Bills payable, including time certi-

ficates representing borrowed

money

30,000.00

Total

$220,307.50

Total

$220,307.50

PLANTERS BANK, PAVO.

Date of Charter, March 12, 1912; Begun Business, March 25, 1912. J. T. SHERROD, President; C. G. CHRISTIAN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, secured by cotton Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items
Clearing house Depositors' guarantee fund Mutual Are fund

$ 1,115 00 28,02o!66 51,502.74 6.36 5,071.45 2,469.36 1,411.86
in 2,912.71
in 2,230.40 2,465.00 50.00 302.41 85.00
10o!38 2,949.45
120.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,011.78

Individual deposits, subject to

check and call

62,034.77

Time certificates

22,694.71

Cashier's checks

71.52

Total

$100,812.78

Total

$100,812.78

PEARSON BANKING COMPANY, PEARSON.

Date of Charter, Sept. 19, 1906; Begun Business, Oct. 1, 1906. H. P. SMITH, President; W. M. SUMNER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans

$ 1,225.00

Time loans

113,256.76

Overdrafts, secured

27,238.76

Overdrafts, unsecured

L291 31

Banking house

1,985 75

Furniture and fixtures

3,409.62

Due from banks and bankers in

this state

70,045.39

Due from banks and bankers in

other states

24 132 78

Currency

6,570.00

Silver, nickels, etc

l 114 35

Cash items

L548!96

LIABILITIES.

Capital stack paid in

$ 30,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,635.62

Individual deposits, subject to

check

160,635.04

Time certificates

47,656.29

Cashier's checks

890.94

Total

$251,818.69

Total

$251,818.69

TREASURER'S REPORT

147

FARMERS BANK OF PELHAM, PELHAM.

B. U. CURRY, Vice-President; J. M. HUNT, JR., Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 62,715.16

Time loans

469,081.21

Overdrafts, unsecured

267.16

Bonds and stocks owned by .the

bank

?'222'22

Furniture and fixtures

1,008.55

Other real estate

3,360.00

Due from banks and bankers in

this state

41,729.56

Due from banks and bankers in

other states

18'12Mi!

Currency Gold

U'2l5An 30.00

Silver, nickels, etc

?'liH?

Cash items

l.slJ.M

LIABILITIES.

Capital stock paid in

$100,000.00

Surplus fund

30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 17,509.83

Due unpaid dividends

35.00

Individual deposits, subject to

check

307,590.85

Savings deposits Demand certificates

130,22n"e5 12',,?'Xn

Certified checks Cashier's checks

2,6c?7J7".V1be

United States deposits (Liberty

Loan funds)

17,440.00

Total

$618,624.02

Total

$618,624.02

PENDERGRASS BANKING CO., PENDERGRASS.

Date of Charter, Sept. 29, 1905; Begun Business, Oct. 5, 1905. P. J. ROBERTS, President; GUT ROBERTS, Cashier:

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans Time loans Overdrafts, unsecured

$ 38,194.07 28,316.92 658.23

Bonds and stocks owned by the bank
Banking house Furniture and fixtures

100.00 1,500.00 1,800.00

Due from banks and bankers in

this state

7,478.99

Due from banks and bankers in other states
Currency Gold Silver, nickels, etc
Cash items

2.405.30 4,830.00
242.50 401.59 670.62

LIABILITIES.
Capital stock paid in Surplus fund Undivided profits, less current ex-
penses, interest and taxes paid Individual deposits, subject to
check Time certificates Cashier's checks

25,000.00 3,000.00
695.44
55,361.17 2,500.00
41.61

Total

$86,598.22

Total

$86,598.22

HOUSTON BANKING CO., PERRY.

Date of Charter, April 14, 1905; Begun Business, June 5, 1905. J. H. DAVIS, President; B. C. HOLTZCLAW, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 22,887.86

Overdrafts, secured

23,462.97

Bonds and stocks owned by the

bank

HVAl

Banking house Furniture and fixtures

S'SirS, 2,214.94

Due from banks and bankers in

this state

41,876.80

Due from banks and bankers in

other states

'I?*'5*

Currency

2800.50

Gold Silver, nickels, etc

120.00 ??2-??

Advances on cotton

31,lib.5b

Cash items

3,084.53

LIABILITIES.
Capital stock paid in Surplus fund Undivided profits, less current ex
penses, interest and taxes paid Individual deposits, subject to
check Time certificates

25,000.00 16,000.00
6,279.82
79,013.76 20,487.25

Total

$146,780.83

Total

$146,780.83

148

TREASURER'S BEPORT

PERRY LOAN & SAVINGS BANK, PERRY.

Date of Charter, 1889; Begun Business, 1889. R. L. CATER, President; L. P. CATER, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$16,560.79

Tune loans

28,344.74

Overdrafts, secured

490 61

Overdrafts, unsecured

5 497 23

Bonds and stocks owned by the

bank

8,900.00

Banking house

5,000.00

Furniture and fixtures

2 503 50

Due from banks' and bankers in

this state

79,041.60

Due from banks and bankers in

other states

25.964.10

Currency

2,125.00

GId Silver, nickels, etc

1,327.50 515 27

Cash items

1,033.85

Advances on cotton

51,606.42

LIABILITIES.

Capital stock paid in

$ 23,050 00

Surplus fund

24,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,946 52

Individual deposits, subject to

check

152,719.37

Time certificates

19,749.85

Cashier's checks

1,244.87

Total

?228/710j;i

Total

$228,710.61

BANK OF PINEHURST, PINEHURST.

Date of Charter, Jan. 1, 1908. J. L. LEE, President; A. M. WILSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 16,793.59

Demand loans, cotton

41892 25

Time loans

32,'864:i8

Overdrafts, unsecured

3,042 64

Bonds and stocks owned by the

.,,ba,n.k Banking house

1,400.00 1,254.90

Furniture and fixtures

1 919 97

Other real estate

3^525 00

Due from banks and bankers in

this state

133,949.30

Due from banks and bankers in

other states

835 91

Currency

3,716.00

LIABILITIES.

Capital stock paid in Surplus fund

$ 25,000.00 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,910.83 Individual deposits, subject to

check

208,454.98

Time certificates

19,222.12

Cashier's checks

916.04

Unearned interest

489 '50

Reserved for interest and expense 1,000!00

GoW Silver, nickels, etc
Cash items, clearing house Advances on cotton U. S. 4 per cent, certificates, due
June, 1918

200.00 52 90
1,359!86 17,186 97
25,000.00

Total

$284,993.47

Total

$284,993.47

SALZBURGER BANK, PINEORA. Date f Charter Feb. 15, 1915; Begun Business, Feb. 15, 1915.
W. M. EXLEY, President; R. L. ELKINS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans

$ 375.00

Time loans

30.112.69

Overdrafts, unsecured

390 09

Banking house

2 700 00

Furniture and fixtures

1,206.53

Due from banks and bankers in

this state

7,915.90

Due from banks and bankers in

other states

62 84

Currency

2,110;00

Gold

12 50

Silver, nickels, etc

57 00

Cash items

2,240^29

LIABILITIES.

Capital stock paid in

$ 25 000.00<

Surplus fund

253.98

Undivided profits, less current ex-

penses, interest and taxes paid.. 1.020.54

Due unpaid dividends

74 84

Individual deposits, subject to

check

10,422.64

Savings deposits

8,110.84

Time certificates

2,300.00

Ttal

$47,182.84

Total

$47,182.84

TREASURER'S REPORT

14!)

BANK OF P1NEVIEW, PINEVIEW.

DR. J. T. GAMMAGE, President; R. M. PENLAND, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc
Cash items Advances on cotton Insurance funds Liberty Bonds

$ 29,034.50 72,800.46 271.38 1,000.00 1,000.00 4,243.42
in 13,340.93
in 5,326.68 2,635.00 893.41 143.69 3,356.54 3,422.36 13,800.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex penses, interest and taxes paid 25,294.17

Individual deposits, subject to

check Time certificates Cashier's checks

95,265.85 13,374.29
2,334.06

Total

$151,268.37

Total

$151,268.37

PITTS BANKING CO., PITTS.

Date of Charter, June 2, 1906; Begun Business, June, 1906. L. O. BENTON, President; A. C. SHELL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$$ 39,338.49

Overdrafts, unsecured

11.25

Bonds and stocks owned by the

bank

3,400.00

Banking house

1,000.00

Furniture and fixtures

2,000.00

Other real estate

725.00

Due from banks and bankers in

this state

29,009.94

Due from banks and bankers in

other states

8,344.40

Currency

6,255.00

Gold Silver, nickels, etc

60.00 707.36

Advances on cotton

38,949.11

LIABILITIES.

Capital stock paid in ..:

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 16,929.02

Individual deposits, subject to

check Time certificates

85,079.96 2,59I'S

Cashier's checks

193.72

Total

$129,800.55

Total

$129,800.55

PLAINS BANK, PLAINS.

Date of Charter, Feb. 15, 1902; Begun Business, Jan. 22, 1902. R. S. OLIVER, President; W. L. THOMAS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash Items Loans on cotton Cotton paid for Grain and peanuts paid for Revenue stamps U. S. Liberty Bond account

S

9,458.66 174,101.98

8,294.38

1,738.36 2.463.91

2,920.45

3,100.00

in 23,150.90

in 5.384.29 5,858.00 665.00

3,120.55

506.85 99,736.33 18,549.86

4,330.30

39.30

19.000.00

LIABILITIES.

Capital stock paid in

$ 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 34,119.16

Individual deposits, subject to

check

182,457.18

Time certificates

85,842.78

Bills payable, including time certi-

ficates representing borrowed

money

30,000.00

Total

$382,419.12

Total

$382,419.12

150

TREASURER'S EEPORT

BANK OF PLAINFIELD, PLAINFIELD.

Date of Charter, June 26, 1911; Begun Business, Aug. 16, 1911. J. S. NICHOLSON, President; B. J. GIDDENS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

Time loans

RESOURCES.

Overdrafts, secured

Overdrafts, unsecured

Banking house

Furniture and fixtures

Due from banks and bankers in

this state

Currency

Silver, nickels, etc

Advances on cotton Profit and loss

7 666 94 5J932!34
19470 5,50o!oO 2,000 00
9,276.31 993.00 110 94
18,513!o5 103 83

LIABILITIES. Capital stock paid in Individual deposits, subject
check Cashier's checks

$ 15,000.00 to
34,802.09 489 02

Total

$50,291.11 Total

$50,291.11

BANK OF PLAINVI LLE, PLAINVILLE.

H. M. VEACH, President; C. R. CLONTS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states
2Cuwrrency
Silver, nickels, etc Cash items
Depositors' guarantee fund Mutual Are fund Revenue stamps

$ 220.45 28,077.68 28 09 2,103 53 1 705 56
In 14,756.59
In 2,238 19 2,230.00
45.00
65.09 s.hO
2,934 SO 120.UO 15.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

76.19

Individual deposits, subject to

check

25,216.10

Time certificates

14,033.01

Cashier's checks

220.18

Total

$ 54,545.48

Total

$ 54,545.48

BANK OF PORTAL, PORTAL.

Date of Charter, May 21, 1910; Begun Business, July 31, 1910. A. A. TURNER, President; W. J. DAVIS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$10 507 00

Time loans

25io36.03

Bonds and stocks owned by the

kan.k Banking house

3,500.00 3,500.00

Furniture and fixtures

2,455 16

Due from banks and bankers In

this state

48,309.95

Due from banks and bankers in

other states

5,992 02

Currency gold

3,886.00 175.00

Silver, nickels, etc

476.83

Cash items

9.90

Other resources (itemized)

151.41

U. S. Treasury certificates

5,000.00

LIABILITIES.

Capital stock paid In

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,990.01

Individual deposits, subject to

check

77,693.05

Time certificates Cashier's checks

.'...' 8.726.20 1,590.04

Total

$108,999.30 Total

$108,999.30

TREASURER'S REPORT

151

BANK OF POULON, POULON.

Date of Charter, July 3, 1903; Begun Business, July 3, 1903. H. L. CARY, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

* 622.63

Time loans

25 906.38

Overdrafts, unsecured

698.85

Bonds and stocks owned by the

bank

655.00

Banking house

2,500.00

Furniture and fixtures

2,969.52

Due from banks and bankers in

this state

11,438.19

Due from banks and bankers in

other states

8,359.69

Currency

4,030.00

Gold

2.50

Silver, nickels, etc

381.07

Advances on cotton

10,596.92

LIABILITIES.

Capital stock paid in

? 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

898.08

Individual deposits, subject to

check

36,207.25

Time certificates

15,861.41

Cashier's checks

194.01

Total

$ 68,160.75 Total

$ 68,160.75

BANK OF POWDER SPRINGS, POWDER SPRINGS.

Date of Charter, Jan. 3, 1905; Begun Business, Jan. 23, 1905. T. N. CAMP, President; J. B. OGLESBY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 11,194.41

Time loans

121,598.74

Overdrafts, unsecured

1,787.34

Bonds and stocks owned by the

bank

9,548.00

Banking house

1,400.00

Furniture and fixtures

2,787.50

Due from banks and bankers in

this state

24,917.11

Due from banks and bankers in

other states

30,239.64

Currency

6,745.00

Gold

7.50

Silver, nickels, etc

634.60

Cash items

1,161.65

Advances on cotton

5,807.16

Total

$217,828.65

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,341.45

Individual deposits, subject to

check

.... 99,483.34

Savings deposits

1,901.55

Time certificates

86,752.86

Cashier's checks

349.45

Total

$217,828.65

BANK OF PRESTON, PRESTON.

Date of Charter, 1906; Begun Business, 1907. J. C. TULLIS. President; W. E. JENKINS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 5.928.74

Time loans

31,539.93

Overdrafts, secured by cotton

12,352.01

Overdrafts, unsecured

1,833.93

Bonds and stocks owned by the

bank

3,400.00.

Banking house

2,440.50

Furniture and fixtures

1,648.20

Other real estate

5,931.51

Due from banks and bankers in

this state

8,453.71

Due from banks and bankers in

other states

5,678.55

Currency

$ 2,755.00

Silver, nickels, etc

381.78

Cash items

536.40

Witham Banks mutual insurance

funds

2,822.70

Total

85,702.96

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,045.06

Due to banks and bankers in this

state

5,000.00

Individual deposits, subject to

check

39,165.31

Demand certificates

4,000.00

Time certificates

20,466.95

Cashier's checks

1,025.64

Total

$ 85,702.96

152

TREASURER'S EEPORT

FARMERS BANK, PULASKI.

Begun Business, Oct. 8, 1912. L. O. BENTON, President; J. A. GARDNER, Cashier.

RESOURCES. Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Bonds and stocks owned by the
bank
Banking house Furniture and fixtures Due from banks and bankers in
this state Due from banks and bankers in
other states Currency Silver, nickels, etc

3,897.40 49,180.30
817.43 1,304.07
14,962.92 1,700.00
650.00
23,569.33
12,622.05 2,500.00
103.78

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,922.48

Individual deposits, subject to

check

78,917.57

Time certificates

11,035.94

Cashier's checks

421.29

Total

$111,297.28

Total

$111,297.28

BANK OF QUITMAN, QUITMAN.

Date of Charter, Dec. 31, 1888; Begun Business, Dec. 31, 1888. S. S. ROUNTREE, President; H. W. STUBBS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

....$161,381.81

Time loans

466,613.17

Overdrafts, unsecured

1,463.59

Bonds and stocks owned by the

bank

68,725.00

Banking house

16,518.54

Furniture and fixtures

6,141.00

Other real estate

2,300.00

Due from banks and bankers in

this state

18,859.68

Due from banks and bankers in

other states

45,229.98

Currency

11,355.00

Gold

10.00

Silver, nickels, etc

1,368.98

Cash items

7,264.26

Advances on cotton

46,758.60

LIABILITIES.

Capital stock paid in

$165,000.00

STurJ!lus, fund ...

50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 34,366.80

Individual deposits, subject to

,, cn.eck Savings deposits

314,075.22 228 013 40

Time certificates

62,534!l9

Total

$853,989.61

Total

$853,989 61

CITIZENS BANK, QUITMAN.

Date of Charter, 1905; Begun Business, 1906. J. R. DAVIS, President; A. L. TIDWELL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$57,860.80

Time loans

221,074.30

Overdrafts, secured

11,055.00

Bonds and stocks owned by the

bank

28,436.73

Banking house and furniture and

fixtures

15,984.32

Due from banks and bankers in

this state

45,067.63

Due from banks and bankers in

other states

-.. 11,829.13

Cash in vault

15,741.11

LIABILITIES.

Capital stock paid in

$ 90,000.00

Surplus fund

20 000 00

Undivided profits, less current ex-

penses, interest and taxes paid.. 12 648 51-

Individual deposits, subject to

check

211,089.34

Savings deposits

73 311 18

Total

$407,049.03

Total

.$407,049.03

TREASURER'S REPORT

153

CITIZENS BANK OF RAY CITY, RAY CITY.

Date of Charter, April 28, 1911; Begun Business, Aug. 14, 1911. G. W. VARN, President; L. M. MARSHALL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 8,995.00

Time loans

85,751.36

Overdrafts, unsecured

;

6,611.39

Banking house

2,849.50

Furniture and fixtures

2,801.93

Due from banks and bankers in

this state

47,605.66

Currency

881.00

Gold

35.00

Silver, nickels, etc

13.88

Cash items

75.75

Advances on cotton

55,419.22

Cotton loans due on demand and

January 1, 1918

37,430.00

LIABILITIES.

Capital stock paid in

$ 25, 000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8, 803.90

Due to banks and bankers in

other states

3, 040.66

Due unpaid dividends

35.00

Individual deposits, subject to

check

110, 747.27

Time certificates

73, 012.01

Certified checks

300.00

Cashier's checks

2, 530.85

Bills payable, including time certi-

ficates representing borrowed

money

25, 000.00

Total

$248,469.69

Total

$248,469.69

BANK OF REBECCA, REBECCA.

Date of Charter, Sept. 15, 1910; Begun Business, Sept. 15, 1910. J. H. GILMORE, President; J. G. JONES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 175.00

Time loans

57,538.11

Overdrafts, unsecured

735.33

Bonds and stocks owned by the

bank

300.00

Banking house

2,236.50

Furniture and fixtures

2,890.38

Due from banks and bankers in

this state



33,405.92

Due from banks and bankers in

other states

17,206.42

Currency

12,591.00

Silver, nickels, etc

:

1,970.75

Cash items

. 24.50

Advances on cotton

24,413.88

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current" ex-

penses, interest and taxes paid.. 7,372.18

Due unpaid dividends

186.00

Individual deposits, subject to

check

117,516.04

Time certificates

9,349.29

Cashier's checks

4.064.28

Total

$153,487.79

Total

$153,487.79

FARMERS STATE BANK, REGISTER.

S. L. NEVIL, President; V. P. BREWER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Bonds and stocks owned by the
bank Furniture and fixtures Due -from banks and bankers in
this state Due from banks and bankers in
other states
Currency
Gold Silver, nickels, etc Cash items

9.590.23 58,760.20
7,239.59 1,773.55
32,315.43
10,440.13 2,811.00
27.50 1,018.35
281.68

Total

$124,257.66

LIABILITIES.

Capital stock paid in

...$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,799.97

Individual deposits, subject to

check

76,305.53

Time certificates

24,055.18

Cashier's checks

7,096.98

Total

$124.25

154

TREASURER'S EEPORT

BANK OF REIDSVILLE, RE1DSVILLE.
Date of Charter, Nov. 6, 1912; Begun Business, Jan. 3, 1913. R. J. ROGERS, President; W. G. MAUK, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$57,666.96

Time loans

68,950.43

Overdrafts, secured and unsecured 142.72

Bonds and stocks owned by the

bank

450.00

Banking house

4,884.64

Furniture and fixtures

1,712.55

Due from banks and bankers in

this state

19,267.57

Due from banks and bankers in

other states

7,330.25

Currency

1,250.00

Gold

160.00

Silver, nickels, etc

550.98

Cash items

1,398.61

Advances on cotton

37,599.50

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

3,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,020.29

Individual deposits, subject to

check

77,906.82

Savings deposits

16,169.74

Demand certificates

3,500.00

Time certificates

45,838.50

Cashier's cheeks

4,928.84

Call money

32,000.00

Total

$201,364.19

Total

$201,364.19

THE TATTNALL BANK, REIDSVILLE.

Date of Charter, Sept. 14, 1900; Begun Business, Oct. 1900. J. V. KELLEY, President; M. LANGFORD, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans

$ 85: 6Sr>.58

Time loans

177 577.25

Overdrafts, unsecured

715.60

Bonds and stocks owned by the

bank

5 437.00

Banking house

5: 000.00

Furniture and fixtures

1. 500.00

Other real estate

1. 000.00

Due from banks and bankers in

this state

67,100.22

Due from banks and bankers in

other states

763.26

Currency

421.00

Gold

57.50

Silver, nickels, etc

21.25

Cash items

105.28

Total

$353,333.94

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 13,287.12

Individual deposits subject to

check

174,353.53

Savings deposits

63,561.93

Time certificates

41,898.74

Cashier's checks

232.62

Total

$353,333.94

RENTZ BANKING CO., RENTZ.

Date of Charter, May 2, 1914; Begun Business, May 5, 1914. J. M. PAGE, President; HOWARD MURCHISON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency
Gold Silver, nickels, etc Cash items
Clearing house Advances on cotton Books and stationery

$6,421.05 6,968.07 643.88 83.21 2,500.00 1,083.00
in 43,871.76
in 8,746.94 2,490.00
2.60 132.70 305.79
972.21 6,305.41
300.00

LIABILITIES.

Capital stock paid in

$15,000.00

Surplus fund

2,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 125.08

Due unpaid dividends

18.00

Individual deposits subject to

check

60,348.08

Time certificates

2,370.01

Cashier's checks

15.35

Total

$79,926.52 Total

$79,926.52

TREASURER'S .REPORT

155

BANK OF REX, REX.

Date of Charter, Jan. 30, 1912; Begun Business, Feb. 5, 1912. J. O. NORRIS, President; W. B. M. DODSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans Overdrafts, secured

Overdrafts, unsecured

Banking house Furniture and fixtures

Due from banks and bankers

this state

Due from banks and bankers

other states

Currency

*

Gold Silver, nickels, etc

Cash items Advances on cotton . .

!!J.*.83 3,430.09 74.39
vJJ-JJ 1,500.00 in 27,216.23 in 3'4574? 1-B4^-??
2- 34.63
J.as 6v,i)i>b.6t>

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,934.15

Individual deposits subject to

check

58,221.19

Time certificates

2,990.00

Cashier's checks

145.86

Total

$84,291.20

Total

REYNOLDS BANKING COMPANY, REYNOLDS.

$84,291.20

Date of Charter, Feb. 26, 1913; Begun Business, March 6, 1913. R. A. HINTON, President; L. F. MONTFORD, Cashier.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 10,024.85

Time loans Overdrafts, secured (cotton)

48,422.69 76,249.18

Overdrafts, unsecured

275.95

Bonds and stocks owned by the

bank



Banking house

Furniture and fixtures

^?3'H
1,700.00 4,03o.43

Other real estate

1,000.00

Due from banks and bankers in

this state

8,715.14

Due from banks and bankers in

other states Currency Gold Silver, nickels, etc

i'??n"nn 2', ,,XX
2TM10-'1020

Cash items Advances on cotton

hlaH 34,7b9. li

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

8,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,366.25

Interest accrued

1,500.00

Individual deposits subject to

check Time certificates

99,565.64 22,237.58

Cashier's checks

1,151.25

Notes and bills rediscounted

10,000.00

Bills payable, including time cer-

tificates representing borrowed

money

20,000.00

Total

...$190,320.72 Total

$190,320.72

BANK OF RICHLAND, RICHLAND.

Date of Charter, Dec. 29, 1890; Begun Business, Aug. 1 1890. N C COFFIN, President; W. C. DIXON, Asst. Cashier.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans Time loans Overdrafts, secured Overdrafts, unsecured

! 5,250.00 119,348.56 17,612.80 4,920.58

Bonds and stocks owned by the
bank Banking house Furniture and fixtures Other real estate

4,353.83
10,000.00 4,000.00
10,286.77

Due from banks and bankers in

this state



15,577.80

Due from banks and bankers in
other states
Currency Gold Silver, nickels, etc
Cash items Advances on cotton P. O. Fur. & Fix

5,792.73 14,973.00
353.50 3,036.65
618.82 23,314.16
1,000.00

LIABILITIES.

Capital stock paid in

$ 60,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 15,169.64

Due unpaid dividends

6.00

Individual deposits subject to

check

96,499.10

Time certificates Cashier's checks

6O'AQI'QO
3,09b.98

al

$240,439.20

Total

$240,439.20

156

TREASURER'S EEPORT

PEOPLES BANK, RICHLAND.

Date of Charter, May 22, 1905; Begun Business, Aug. 18, 1905. R. J. DIXON, President; J. GILES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$119,416.07

Overdrafts, secured

10,416.39

Overdrafts, unsecured

2,950.02

Bonds and stocks owned by the

bank

2,509.01

Banking house

5,500.00

Furniture and fixtures

3,000.00

Other real estate

1,646.53

Due from banks and bankers in

this state

45,754.27

Due from banks and bankers in

other states

28,582.08

Currency

9,751.00

Gold

1,472.50

Silver, nickels, etc

1,775.12

Cash items

15,825.64

Advances on cotton

7,673.90

LIABILITIES.

Capital stock paid in

$ 35,000.00

Surplus fund

20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,064.51

Individual deposits subject to

check

139,222.18

Time certificates

60,986.04

Total

$256,272.73

Total

$256,272.73

BANK OF RINGGOLD, RINGGOLD.

Date of Charter, Aug. 1904; Begun Business, 1904. M. W. MURPHY, President; C. O. MADDOX, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 8,000.00

Time loans

103,876.86

Bonds and stocks owned by the

bank

5,890.00

Banking house

2,310.00

Furniture and fixtures

2,418.00

Due from banks and bankers in

this state

13,510.83

Due from banks and bankers in

other states ,

19,779.90

Currency

7,850.00

Gold

:

272.00

Silver, nickels, etc

1,023.86

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

3,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,668.90

Individual deposits, subject to

check

77,030.39

Time certificates

53,986.04

Cashier's checks

1,246.12

Total

$164,931.45

Total

$164,931.45

BANK OF ROBERTA, ROBERTA.

Date of Charter, Jan. 6, 1911; Begun Business, Jan. 20, 1911. E. L. McGEE, President; JNO. H. LOWE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

Time loans

Overdrafts, secured

Overdrafts, unsecured

Furniture and fixtures

Due from banks and bankers

this state

Due from banks and bankers

other states

Currencv

Gold

;...

Silver, nickels, etc

Cash items

Advances on cotton

$ 1,419.26 18,441.40 813.33 924.45 1,300.00
in 49,864.69
in
10,645.85 4,070.00
40.00 599.30
263.27 11,048.22

LIABILITIES.

Capital stock paid in

$ 15,000 00

Surplus fund

2,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,250.00

Individual deposits, subject to

check

54,813.51

Time certificates

22,269.43

Cashier's checks

2,596 82

Total

$99,429.77

Total

$99,429.77

TREASURER'S EEPORX

157

CRAWFORD COUNTY BANK, ROBERTA.

Date of Charter, January 1901; Begun Business, January 1901. R. B. AVBRA, President; BEN F. WALKER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 1,200.00

Time loans

17,161.52

Overdrafts, secured by cotton

27,705.28

Overdrafts, unsecured

906.30

Banking house

2,200.00

Furniture and fixtures

1,000.00

Due from banks and bankers in

this state

19,747.79

Due from banks and bankers in

other states

4,812.41

Currency

3,100.00

Gold

25.00

Silver, nickels, etc

245.49

Cash items

813.01

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund



3,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 583.43

Due unpaid dividends

32.00

Individual deposits, subject to

check

48,854.33

Time certificates

10,575.02

Cashier's checks

872.02

Total

t 48,916.80

Total

$ 78,916.80

BANK OF ROCHE LLE, ROCHELLE.

Date of Charter, March 15, 1905; Begun Business, March 15, 1905. J. N. KING, President P. J. WADE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$137,063.39

Overdrafts, unsecured

3,811.46

Bonds and stocks owned by the

bank

S-5T2-29

Furniture and fixtures

3,613.51

Other real estate

23,104.56

Due from banks and bankers in

this state

47,957.42

Due from banks and bankers in

other states Currency

inv'nn S,lzl'SS

Gold Silver, nickels, etc

385.00 ?8?-H

Cash items

7,043.69

Advances on cotton

161,000.00

LIABILITIES.

Capital stock paid in

$15,800.00

Surplus fund

15,800.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 29,669.08

Individual deposits, subject to

check

302,198.43

Time certificates

44,333.15

Total

$407,800.b6 Total

$407,800.66

BANK OF ROCKLEDGE, ROCKLEDGE.

C R WILLIAMS, President; L. J. FLANDERS. Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

* 294.40

Time loans Overdrafts, unsecured

Toinw MJJ>

Banking house

i eenni

Furniture Other real

aensdtatfeixtures











' ?n nn ou-uu

Due from banks and bankers in .,,,,,.

this state

4,odd.iy

Due from banks and bankers in

other states

Currency



Silver, nickels, etc

Cash items Advances on cotton

Other resources (itemized)

113.66 1,331.00
96.68 178.44 90.18 539.98

Tota)

'

$31,409.96

LIABILITIES. Capital stock paid in Individual deposits, subject
check Time certificates Certified checks Cashier's checks
Total

$ 15,000.00 to
10,005.02 5,664.26 50.00 690.68
$31,409.96

158

TREASURER'S EEPORT

ROCKMART BANK, ROCKMART.

J-TA4SaD . aHieE^AATTMO<N3,iarP4erer,s.i1 de9n00t;: TB.egGun. SBEuLsMinAesNs,, 1C9a0s0h. ier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans

$ 3 295.04

Time loans

136,374.47

Overdrafts, secured

14,000.00

Overdrafts, unsecured

L27044

Bonds and stocks owned by the

bank Banking house

12,505.50 10,000.00

Furniture and fixtures

3,300.00

Other real estate

3,560 00

Due from banks and bankers in

this state

15,326.56

Due from banks and bankers in

other states

22,518 32

Currency

13,600.00

gold Silver, nickels, etc

525.00 630.03

Revenue stamps

lo!oo

LIABILITIES.

Capital stock paid in

$ 30,000.00

Surplus fund

7,500 00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,548.48

Individual deposits, subject to

,, check

117,009.21

Savings deposits

43,914.49

Time certificates

34857 63

Cashier's checks

' 85 55

TOtal

$236,915.36

Total

$236,915.36

BANK OF ROCKY FORD, ROCKY FORD.

Date of Charter, 1907; Begun Business, July, 1907 ARTHUR BURKE, President; THOS. PARKER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 96,763.90

Overdrafts, secured

8,447.69

Bonds and stocks owned by the

bank

1,750.00

Banking house

1 667 79

Furniture and fixtures

2 284 26

Due from banks and bankers in

this state

65,453.72

Due from banks and bankers in

other states

28 542 07

Currency

2,900.00

Gold Silver, nickels, etc

100.00 1,241.76

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 13,804.25

Individual deposits, subject to

check

127,065.59

Time certificates

51,599.36

Cashier's checks

1,681.99

Total

$209,151.19

Total

.$209,151.19

CITIZENS BANK, ROME.

Date of Charter Dec. 31, 1903; Begun Business, Jan. 1, 1904. J. H. OfvEILL, President; G. H. MAGRUDER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans

$ 8,833 21

Time loans

153,639.86

Overdrafts, unsecured

295.43

Bonds and stocks owned by the

bank Banking house

1,843.00 4,000.00

Furniture and fixtures

7,036.00

Other real estate

4,327.50

Due from banks and bankers in

this state

14,324.95

Due from banks and bankers in

other states

11,683.53

Currency

12,467.00

Gold

285.00

Silver, nickels, etc

2,298.51

Cash items

515.65

Clearing house

843^55

Liberty Loan Bonds

12,950.00

,, .

LIABILITIES.

Capital stock paid in Surplus fund

$ ,.

50 10'

000.00 000.00

Undivided profits, less current e'x-

penses, interest and taxes paid.. 9 806.54 Individual deposits, subject to

check
Savings deposits Demand certificates Time certificates Certified checks Cashier's checks

'.'.'.'.'.'.'

g2 425.89 78 465.66
12.9.09 503.61
5.65 56.75

Total

$235,393.19

Total

.$235,393.19

mm

TREASURER'S REPORT

159

FLOYD COUNTY BANK, ROME.

Date of Charter, Jan. 8, 1917; Begun Business, Jan. 8, 1917. H. B. KBLLBY, President; G. C. BYARS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 3,367.04

Time loans

99,905.66

Overdrafts, unsecured

572.73

Bonds and stocks owned by the

bank

20,195.50

Furniture and fixtures

512.00

Due from banks and bankers in

this state

6,888.07

Due from banks and bankers

other states

1,439.64

Currency

5,043.00

Gold

32.50

Silver, nickels, etc

388.01

Cash Items

366.83

LIABILITIES.

Capital stock paid in

$ 26,445.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 580.11

Individual deposits, subject to

check

:

92,159.31

Savings deposits

16,481.56

Cashier's checks

3,045.00

Total

$138,710.98

Total

$138,710.98

BANK OF ROOPVILLE, ROOPVILLE.

J. W. PENTECOST, President; J. I. VANSANT, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Time loans
Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Advances on cotton Mutual fire fund Interest paid

$20,716.13
699.48 2,599.48 1,639.07 in 25,074.35 in 11,190.87 1,040.00
35.00 149.08 4,154.57 20,122.89 120.00 631.92

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund and undivided profits,

less current expenses, interest

and taxes paid

4,137.17

Individual deposits, subject to

check

58,590.39

Time certificates

: 9,800.55

Cashier's checks

646.73

Total

$88,174.84

Total

$88,174.84

CITIZENS BANK OF ROSWELL, ROSWELL.

Date of Charter, Nov. 24, 1910; Begun Business, Dec. 1, 1910. H. P. CARPENTER, President; C. C. FOWLER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency
Gold Silver, nickels, etc
Cash items Advances on cotton

$ 3,394.00 59,940.61 620.29 1,762.32 4,189.36
in
10,051.74 in
1,726.05 3,602.00
7-a5 2|j?-??
11,1} 27,063.31

LIABILITIES.

Capital stock paid in

$ 21,000.00

Surplus fund

840.00

Undivided profits, less current ex-

pneses, interest and taxes paid.. 1,318.03

Due to banks and bankers in this

state Individual deposits, subject to

355.84

check

56,864.48

Demand certificates

594.02

Time certificates

29,410.32

Cashier's checks

785.36

Bills payable, including time certi-

ficates representing borrowed

money

2,500.00

Total

$113,668.05

Total

$113,6 :.05

160

TREASURER 'S REPORT

ROSWELL BANK, ROSWELL.

Date of Charter, 1901; Begun Business, 1901. S. Y. STRIBDING, President; C. C. FOSTER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 48,660.62

Time loans

16,383.71

Overdrafts, secured

142.78

Overdrafts, unsecured

41.82

Bonds and stocks owned by the

bank

15,637.50

Furniture and fixtures

629.77

Other real estate

199.87

Due from banks and bankers in

this state

70,399.71

Due from banks and bankers in

other states

4,135.23

Currency

4,673.00

Gold

77.50

Silver, nickels, etc

1,073.31

Cash items

2,821.29

LIABILITIES.

Capital stock paid in

% 25,000.00

Surplus fund

20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,389.06

Due unpaid dividends

6.00

Individual deposits, subject to

check

98,496.53

Time certificates

18,857.49

Cashier's checks

,

75.19

Reserve, taxes, etc

1,051.84

Total

$164,876.11

Total

$164,876.11

FARMERS BANK, ROYSTON.

Date of Charter, July 11, 1907; Begun Business, Oct. 1, 1907. WM. D. POWERS, President; E. F. RAY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, secured Overdrafts, unsecured

1,230.91 46,028.96
525.78 145.09

LIABILITIES.

Capital stock paid in

$ 30,300.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10,999.86

Due unpaid dividends

488.00

Bonds and stocks owned by the bank
Banking house Furniture and fixtures

5,000.00 4,216.41 2,204.61

Individuel deposits, check
Time certificates Cashier's checks

subject

to 157,77 0.47 24,026.79 236.02

Other real, estate

8,000.00

Due from'banks and bankers in

this state

55,150.14

Due from banks and bankers in

other states

56,650.62

Currency

8,483.00

Silver, nickels, etc

1,748.30

Cash items

226.67

Advances on cotton

34,216.65

Total

$223,827.14 Total

$223,827.14

ROYSTON BANK, ROYSTON.

Date of Charter, Nov. 1901; Begun Business, Oct. 1900. B. L. BOND, President; J. F. LEE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 21,157.71

Time loans

230,551.64

Overdrafts, unsecured

1,634.59

Bonds and stocks owned by the

bank

13,400.00

Banking house

3,400.00

Furniture and fixtures

3,100.00

Other real estate

1,000.00

Due from banks and bankers In

this state

72,191.18

LIABILITIES.

Capital stock paid in

$ 60,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 13,287.95

Due unpaid dividends

115.00

Individual deposits, subject to

check

314,733.06

Time certificates

45,905.00

Cashier's checks

2,098.70

Due from banks and bankers in

other states

39,164.39

Currency

12,279.00

Gold

610.00

Silver, nickels, etc

793.08

Cash items

216.61

Advances on cotton and seed

38,219.16

Depositors' guarantee fund

3,422.35

U. S. certificates of indebtedness.. 10,000.00

Total

$451,139.71

Total

$451,139.71

TREASURER'S EEPORX

161

BANK OF RUTLEDGE, RUTLEDGE.

Date of Charter, 1898; Begun Business, 1898. W. P. WALLACE, President; THOS. PEACOCK, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 26,863.00

Time loans

90,832.19

Overdrafts, unsecured

2,341.81

Bonds and stocks owned by the

bank

5,000.00

Banking house

1,200.00

Furniture and fixtures

800.00

Due from banks and bankers in

this state

94,502.00

Due from banks and bankers in

other states

17,516.04

Currency

7,305.00

Silver, nickels, etc

659.99

Cash items

840.86

Advances on cotton

2,892.69

Liberty Bonds

6,750.00

U. S. War Certificates

70,000.00

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,749.52

Individual deposits, subject to

check

213,443.40

Demand certificates

9,410.66

Federal Reserve Bank deposits ... 23,400.00

Total

$323,003.58

Total

$323,003.58

BANK OF CAMDEN COUNTY, ST. MARYS.

Date of Charter, Sept. 11, 1911; Begun Business, Dec. 5, 1911. J. R. BACHLOTT, President; J. F. HUGHES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks . and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items

$ 74,644.72 1,375.98 3,688.53 1,603.26
in 5,776.94
in 18,893.89 620.00 349.93 1,148.42

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 6,678.13

Individual deposits, subject to

check

45,1,665.55

Savings deposits



15;,1,652.63

Time certificates

99,,i644.67

Cashier's checks

1,,:192.07

Notes and bills rediscounted

i,768.62

Bills payable, including time certi-

ficates representing borrowed

money

7,500.00

Total

$108,101.67 Total

$108,101.67

CITIZENS BANK, SAN DERSVI LLE.

C. G. RAWLINGS, President; JAMES E. JOHNSON, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 3,100.00

Time loans

148,389.20

Overdrafts, secured

2,471.95

Overdrafts, unsecured

963.10

Bonds and stocks owned by the

bank

41,410.00

Furniture and fixtures

5,120.98

Other real estate

1/323.00

Due from banks and bankers in

this state

76,968.10

Due from banks and bankers in

other states

65,135.32

Currency

5,161.00

Silver, nickels, etc

986.74

Cash items

2,630.28

Advances on cotton

104,000.00

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

50,000,00

Undivided profits, less current ex-

penses, interest and taxes paid.. 13,330.29

Individual deposits, subject to

check

317,691.97

Time certificates

26,578.36

Cashier's checks

59.05

Total

$457,659.67

Total

$457,659.67

162

TREASURER'S REPORT

PEOPLES BANK, SARDIS.

Date of Charter, 1911; Begun Business, 1911. J. A. DAVIS, President; W. D. BELL, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 29,715.68

Overdrafts, secured

3,966.43

Bonds and stocks owned by the

bank

7,110.00

Banking house

8,690.00

Furniture and fixtures

461.90

Other real estate

17,104.71

Due from banks and bankers in

this state

23,418.69

Currency

250.00

Gold

20.00

Silver, nickels, etc

173.77

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,743.92

Individual deposits, subject to

check

51,489.92

Time certificates

4,258.41

Cashier's checks

1,418.93

Total

$ 90,911.18

Total

$ 90,911.18

BANK OF SASSER, SASSER.

Date of Charter, 1905; Begun Business, Jan. 1905. C. C. BRIM, President; B. H. HILL, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$67,162.12

Overdrafts, secured

1,657.32

Bonds and stocks owned by the

bank

2,910.08

Banking house

2,192.50

Furniture and fixtures

1,296.34

Due from banks and bankers in

this state

48,305.69

Due from banks and bankers in

other states

64,822.61

Currency

3,455.00

Gold

5.00

Silver, nickels, etc

882.13

Cash items

667.23

LIABILITIES.

Capital stock paid in

? 25,000.00

Surplus fund

12,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8,949.41

Individual deposits, subject to

check

142,664.53

Time certificates

3,464.21

Cashier's checks

777.87

Total

$193,356.02

Total

$193,356.02

AMERICAN BANK & TRUST CO., SAVANNAH.

Date of Charter, Jan. 11, 1915; Begun Business, Jan. 15, 1915. W. V. DAVIS, President; GEO. D. C. HUNTER, Treasurer.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$120,608.60

Time loans

492,628.12

Overdrafts, unsecured

422.91

Bonds and stocks owned by the

bank

63,850.00

Furniture and fixtures and vaults 13,822.08

Due from banks and bankers in

this state

4,969.47

Due from banks and bankers in

other states

42,538.31

Currency

25,681.00

Silver, nickels, etc

4,471.40

Cash items

575.37

Clearing house

19,144.44

Other resources (itemized)

2,833.47

LIABILITIES.

Capital stock paid in

$197, 395.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 19, 210.67

Due to banks and bankers in other

states

2, 301.73

Due unpaid dividends

797.50

Individual deposits, subject to

check

174, 018.71

Savings deposits

137. 016.16

Demand certificates

2 ,050.00

Time certificates

93 ,300.00

Certified checks

131.3&

Cashier's checks

92.35

Bills payable, including time certi-

ficates representing borrowed

money

162 700.00

Other liabilities (itemized)

2 ,531.70

Total

$791,545.17

Total

$791,545.17

TREASURER'S REPORT

163

CHATHAM BANK & TRUST COMPANY, SAVANNAH.

Date of Charter, Sept. 30, 1879; Begun Business, April, 1902. LEOPOLD ADLER, President; JOHN H. CALAIS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 350,305.78

Time loans

2,027,507.35

Overdrafts, secured

3,795.20

Overdrafts, unsecured

1,012.03

Bonds and stocks owned by the

bank

236,962.25

Banking house and furniture and

fixtures

153,163.03

Other real estate

52,195.87

Due from banks and bankers in

this state

114,324.70

Due from banks and bankers in

other states

142,898.76

Currency

86,225.00

Gold

760.00

Silver, nickels, etc

7,425.65

Cash items

3,953.58

LIABILITIES.

Capital stock paid in

3 500,000.00

Surplus fund

105,000.00

Undivided profits, less current

expenses, interest and taxes

paid

59,566.32

Due to banks and bankers in this

state

250,427.60

Due to banks and bankers in

other states

12,961.86

Due unpaid dividends

112.50

Individual deposits, subject to

check

1,438,059.07

Savings deposits

706,482.52

Demand certificates

15,177.39

Time certificates

57,723.90

Certified checks

2,219.50

Cashier's checks

291.95

Due to clearing house

32,506.59

Total

$3,180,529.20

Total

$3,180,529.20

CHATHAM REAL ESTATE & IMPROVEMENT CO, SAVANNAH.

Date of Charter, 1885; Begun Business, 1885. T. M. CUNNINGHAM, JR., President; GEO. W. HUNT, Secy, and Treas.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Installment loans

$653,400.40

Bonds and stocks owned by the

bank

15,000.00

Furniture and fixtures

6,743.16

Other real estate

47,516.04

Due from banks and bankers in

this state

36,118.39

Currency

2,908.00

Silver, nickels, etc

60.37

Clearing house

63.75

Profit and loss

595.71

LIABILITIES.

Capital stock paid in

$500,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 42,396.05

Due unpaid dividends

300.00

Savings deposits

35,159.34

Demand certificates

26,785.43

Time certificates

141,454.08

Due to property owners

1,310.92

TotaI

$762,405.82

Total

CITIZENS & SOUTHERN BANK, SAVANNAH.

$762,405.:

Date of Charter, Sept. 1887; Begun Business, Sept. 1887. MILLS. B. LANE, President; I. S. FERGUSON, Cashier.
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 6,275,807.68

Time loans

6,786,649.14

Overdrafts, secured

43,412.03

Overdrafts, unsecured

8,912.82

Bonds and stocks owned by the

bank

1,581,150.90

Banking house

150,000.00

Other real estate

564,071.05

Due from banks and bankers in

this state

3,610,205.19

Due from banks and bankers in

other states

1,343,168.92

Currency

8?2'K

Gold Silver, nickels, etc

1TM9',568iH 2.5o0

Cash items

39,o24.y?>

Other resources (itemized)

45,000.00

LIABILITIES.

Capital stock paid in

$ 1,000.000.00

Surplus fund

1,000,000.00

Undivided profits, less current

expenses, interest and taxes

paid

289,959.43

Due to banks and bankers in

this state

5,459,408.94

Due to banks and bankers in

other states

1,908,852.23

Due unpaid dividends

2.50

Individual deposits, subject to

check

4,925,134.84

Savings deposits

5,363,581.97

Demand certificates

88,181.05

Time certificates

466,466.86

Certified checks

22,656.40

Cashier's checks

88,707.94

Due to clearing house

191,105.83

Bills payable, including time

certificates representing bor-

rowed money

600,000.00

Other liabilities (itemized)

45,000.00

Total

$21,449,057.99 Total

$21,449,057.99

164

TREASURER'S EEPORT

CITIZENS TRUST COMPANY, SAVANNAH.

Date of Charter, May 22, 1906; Begun Business, June 1, 1906.

CHAS P ROWLAND, "Vice-President;" D. W. ANDREWS, Secretary

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 1BTH, 1917.

RESOURCES, Demand loans Time loans Overdrafts, unsecured Bonds and stocks owned by
bank

$134,892.84 427,440.66 288.90
the 24,850.00

LIABILITIES.

Capital stock paid in

$150,000.00

Surplus fund

35,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 37,042.44

Due to banks and bankers in this

Banking house (office building) Furniture and fixtures

59,940.00 7,089.00

state Due unpaid dividends

10-08 12.00

Due from banks and bankers in

Due to banks and bankers in other

this state

19,125.46

Due from banks and bankers in

other states

37,171.45

Currency

17,585.00

Gold

185.00

Silver, nickels, e

2,095.00

Cash items

774.22

Revenue stamps

20.20

states Individual deposits, subject
check Savings deposits
Demand certificates Time certificates Certified checks Secretary's checks Due to clearing house

13,083.04 to
209,263.22 189,837.62
4,457.62 9'700-9
.80 7,535.00
515.91

Bills payable, including time certi-

ficates representing borrowed

money

75,000.00

Total

$731,457.73

Total

$731,457.73

COMMERCIAL BANK, SAVANNAH.

Date of Charter, Sept. 2, 1902.

J. H. H. ENTELMAN, President; W. F. REILDEY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

LIABILITIES.

Demand loans

$236,400.88 Capital stock paid in

$100,000.00

Time loans

..'

470,193.76 Surplus fund

15,000.00

Overdrafts, secured Overdrafts, unsecured Bonds and stocks owned
bank Banking house

by the

2,566.23 1,236.65
18,750.00 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 31,864.66

Individual deposits, subject to

check

358,105.27

Savings deposits

220,364.65

Furniture and fixtures

1,588.00 Demand certificates

20,074.95

Other real estate Due from banks and bankers in
this state Due from banks and bankers in
other states

6,999.16 9,915.20 93,607.15

Time certificates

10,3^8.50

Certified checks

113.34

Bills payable, including time certi-

ficates representing borrowed

money

150,000.00

Currency

25,361.00 Other liabilities (itemized)

30,362.42

Gold

45.00

Silver, nickels, etc

2,671.55

Cash items

926.92

Clearing house

15,928.51

Profit and loss

33.78

Total

$936,223.79

Total

$936,223.79

EXCHANGE BANK OF SAVANNAH, SAVANNAH.

Date of Charter, Jan. 3906; Begun Business, March 12, 1906.

W. W. OSBORNE, President JNO. J. POWERS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans

LIABILITIES. $ 127,032.18 Capital stock paid in

$ 125,000.00

Time loans

831,020.08 Undivided profits, less current

Overdrafts, unsecured

1,250.61

expenses, interest and taxes

Bonds and stocks owned by the

paid

103,355.74

bank

22,564.00 Individual deposits, subject to

Banking house, furniture and fixtures
Other real estate Due from banks and bankers in
this state Due from banks and bankers in

91,250.00 11,810.69
29,312.52

check Savings deposits Demand certificates Time certificates Certified checks Cashier's checks

282,896.27 583,572.82
24,500.00 19,199.18
1,961.76 897.75

other states Currency

36,727.42 Due to clearing house 44,690.00 Bonds borrowed

43,075.89 55,000.00

Gold Silver, nickels, etc

1,010.00 Federal Reserve Bank fiscal

1,738.01

agents warranty loan deposits.. 14,640.00

Cash items

500.15

Insurance apportioned

168.75

Internal revenue stamps

25.00

Other bonds

55,000.00

Total

$1,254,099.41

Total

$1,254,099.41

TREASURER'S EEPORT

165

GEORGIA STATE SAVINGS ASSOCIATION, SAVANNAH.

Date of Charter, July 29, 1909; Begun Business, Aug. 4, 1909. GEO. W. TIEDEMAN, President; EDW. W. BELL. Managing V-Pres.

STATEMENT OP CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 19,084.12

Time loans and improved real

estate

4,292,534.08

Bonds and stocks owned by the

bank

55,700.00

Banking house

75,000.00

Furniture, fixtures, and vaults.. 19,477.34

Other real estate

106,181.11

Due from banks and bankers in

Savannah, Ga

90,336.64

Due from banks and bankers in

other states

277,291.90

Currency

30,900.00

Gold

400.00

Silver, nickels, etc. ..

300.21

Cash items

3,403.78

LIABILITIES.

Capital stock paid in

$ 325,000.00

Surplus fund

75,000.00

Undivided profits, less current ex-

penses, interest and taxes paid 253,485.26

Reserved for interest, not yet due 27,115.42

Savings deposits

1,414,742.27

Time certificates

2,870,900.00

Treasurer's checks

3,143.90

Items in suspense

1,222.33

Total

,970,609.18 Total

$4,970,609.18

GERMANIA BANK, SAVANNAH.

Date ofj^harter, Dec. 18, 1889; Begun Business, Feb. 10, 1890. HENRY BDUN, President; WALTER F. HOGAN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

LIABILITIES.

Demand loans

$ 819,525.21 Capital stock paid In

$ 300,000.00

Time loans

1,576.192.33 Surplus fund

300,000.00

Overdrafts, unsecured

2,198.86 Undivided profits, less current ex-

Bonds and stocks owned by the

penses, interest and taxes paid 138,845.50

bank

16,024.76 Due to banks and hankers in this

Banking house

250,000.00

state

283,010.94

Other real estate

7,616.16 Due to banks and bankers in oth-

Due from banks and bankers in

er states

58,279.40

this state

28,231.79 Due unpaid dividends

162.50

Due from banks and bankers in

Individual deposits, subject to

other states Currency

287,962.25

check

66,919.00 Savings deposits

887,937.97 781,549.22

Gold

1,070.00 Demand certificates

37,491.87

Silver, nickels, etc. .

8,246.81 Time certificates

104,179.02

Cash items

960.16 Certified checks

4,213.83

War revenue stamps

75.00 Due to clearing house

69,352.08

Bills payable, including time cer-

tificates representing borrowed

money

100,000.00

Total

$3,065,022.33

Total

$3,065,022.33

THE HIBERN1A BANK OF SAVANNAH, SAVANNAH. Date of Charter, April 12, 1906; Begun Business, May 1, 1906. M. A. O'BYRNE, President; JAMES P. DOOLAN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

LIABILITIES.

Demand loans

$ 855,341.60 Capital stock paid in

$ 200,000.00

Time loans

1,565,773.77 Surplus fund

200.000.00

Overdrafts, secured Overdrafts, unsecured

979.34 Undivided profits, less current ex-

667.79

penses, interest and taxes paid 103,169.21

Bonds and stocks owned by the

Due to banks and bankers in

bank

14,562.50

this state

70,570.16

Banking house Other real estate Due from banks and bankers in
this state

159,065. 32,981.92 39,356.55

Due to banks and bankers in other states
Due unpaid dividends Individual deposits, subject to

20,609.34 8.00

Due from banks and bankers in
other states Currency
Gold Silver, nickels, etc Cash items Clearing house

274,361.73 50,170.00 1,467.50 4,191.88 4,964.06 12,163.37

check Savings deposits Demand certificates Time certificates Certified checks Cashier's checks Notes and bills rediscounted Bills payable, including time cer-

944,156.41 396,549.80
61,858.78 32,664.81
5,211.55 45,362.21 902,887.63

tificates representing borrowed

money

30,000.00

Reserved for interest

3,000.00

Total

$3,016,047.90

Total

$3,016,047.90

166

TREASURER'S REPORT

THE OGLETHORPE SAVINGS & TRUST CO., SAVANNAH.

Date of Charter, December 18, 1886. JACOB S. COLLINS, President; J. B. JANDON, Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 635,801.48

Time loans

1,167,817.73

Bonds and stocks owned by the

bank

279,530.00

Furniture and fixtures

8,000.00

Other real estate

65,297.07

Due from banks and bankers in

this state

208,119.88

Due from banks and bankers in

other states

96,309.28

Currency

679.00

Gold

70.00

Silver, nickels, etc

256.02

Cash items

24.57

Other resources (itemized)

62,782.91

LIABILITIES.

Capital stock paid in

$

Surplus fund

Undivided profits, less current ex-

penses, interest and taxes paid

Savings deposits

Demand certificates

Time certificates

Notes and bills rediscounted

Bills payable, including time cer-

tificates representing borrowed

money Other liabilities (itemized)

Trust loan funds

250,000.00 150,000.00
80,489.56 830,050.30 125,596.99 690,403.99
79,000.00
245,000.00 35,147.10 39,000.00

Total

$2,524,687.94

Total

PEOPLES BANK OF SAVANNAH, SAVANNAH.

$2,524,687.94

Date of Charter, Jan. 29, 1910; Begun Business, Feb. 1, 1910. E. M. O'BRIEN, President; E. M. O'BRIEN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$

Time loans

Bonds and stocks owned by the

bank

War savings stamps

Furniture and fixtures

Due from banks and bankers

this state

Due from banks and bankers

other states

Currency

Gold

Silver, nickels, etc

Cash items

92,123.43 705,144.07
126,400.00 899.00
20,000.00
58,923.55
64,349.02 37,118.00
5,210.00 15,4,0.53
2,065.54

LIABILITIES.

Capital stock paid in

$

Undivided profits, less current ex-

penses, Interest and profits paid

Individual deposits, subject to

check

Savings deposits

Time certificates

63,100.00
52,158.35
327,088.31 601,703.43
83,659.05

Total

$1,127,709.14

Total

SAVANNAH BANK & TRUST CO., SAVANNAH.

$1,127,709.14

Date of Charter, March 4, 1869; Begun Business, 1869. W. F. McCAULET, President; M. D. PAPY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 4,042,182.92

Time loans

3,158,025.00

Overdrafts, secured

5,042.92

Overdrafts, unsecured

191.04

Bonds and stocks owned by the

bank

197,380.00

Banking house

535,000.00

Other real estate

9,175.00

Due from banks and bankers in

this state

1,045,475.38

Due from banks and bankers in

other states

819,344.16

Currency

166,187.00

Gold Silver, nickels, etc

4,417.50 12,831.80

Cash items

61.73

Clearing house

227,485.50

Acceptances

776,000.00

LIABILITIES.

Capital stock paid in

$ 630,000.00

Surplus fund

570,000.00

Undivided profits, less current

expensesi ,nterest and taxes

paid

232,480.48

Due to banks and bankers in

this state

1,046,776.43

Due to banks and bankers in

other states

77,227.92

Due unpaid dividends

20.00

Individual deposits subject to

check

4,516,290.17

Savings deposits

1,194,772.71

Demand certificates

53,103.64

Time certificates

29,704.29

Certified checks

5,455.03

Cashier's checks

2,364.23

Notes and bills rediscounted.... 864,606.02

Bills payable, including time

certificates representing bor-

rowed money

1,000,000.00

Acceptances per contra

776,000.00

Total

$10,998,800.92

Potal

$10,998,800.92

TREASURER'S REPORT

167

PEOPLES SAVINGS & LOAN CO., SAVANNAH.

Date of Charter, Oct. 17, 1S87; Begun Business, March 1, 1888. C. H. DORSETT, President; W. W. GROSS, Treasurer.

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans on real estate

$311,914.25

Bonds and stocks owned by the

bank

11,703.00

Furniture and fixtures

1,340.81

Other real estate

14,082.15

Due from banks and bankers in

this city

50,344.24

Currency

548.00

Gold

45.00

Silver, nickels, etc

122.37

Cash items and checks

205.93

Interest due and accrued

5,352.04

LIABILITIES.

Capital stock paid in

$120,000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 9,567.65

Due unpaid dividends

18.00

Savings deposits

68,036.63

Time certificates

173,024.26

Disbursements account, due loans

passed

11.25

Total

$395,657.79

Total

$395,657.79

REALTY SAVINGS & TRUST CO., SAVANNAH.

Date of Charter, June 30, 1916; Begun Business, July 5, 1916. W. H. STILLWELL, President; J. E. CARALAU, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Furniture and fixtures Over and short account Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items

$221,466.61 2,234.70 47.87
in 19,257.62
In 2,687.66 1,587.00 86.53 546.72

LIABILITIES.

Capital stock paid in

$61,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8,967.52

Savings deposits

55,187.66

Demand certificates

16,943.31

Time certificates

85,016.22

Bills payable, including time cer-

tificates representing borrowed

money (assumed)

20,600.00

Uncompleted loans

200.00

Total

$247,914.71

Total

$247,914.71

WAGE EARNERS SAVINGS BANK, SAVANNAH, GA.

Date of Charter, Oct. 29, 1915; Begun Business, Jan. 3, 1916. L. E. WILLIAMS, President; R. A. HARPER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 3 ,353.69

Time loans

231 .504.02

Bonds and stocks owned by the

bank

12 ,375.00

Banking house

66 ,199.08

Furniture and fixtures

6 366.62

Other real estate

24 753.08

Due from banks and bankers in

this state

202.12

Currency

,656.00

Gold

190.00

Silver, nickels, etc

877.31

Cash items

003.60

Barber shop account

700.00

LIABILITIES.

Capital stock paid in

$ 50 ,000.00

Surplus fund

25 000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

350.17

Due unpaid dividends

154.80

Individual deposits subject to

check

19, 985.23

Savings deposits

234, 737.04

Time certificates

26, 800.00

Cashier's checks

126.11

Bills payable, including time cer-

tificates representing borrowed

money

30, 000.00

Unpaid time certificate interest..

27.17

Total

$387,180.52

Total

$387,180.52

168

TREASURER'S REPORT

MERCANTILE BANK & TRUST CO., SAVANNAH.

Date of Charter, Aug. 3, 1917; Begun Business, Sept. 4, 1917. A. RAUZIN, President; VALMORE W. LBBET, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917

RESOURCES.

Demand loans

$108, 755.20

Time loans

222, 124.59

Overdrafts, unsecured

208.37

Bonds and stocks owned by the

hank

7, 599.00

Banking house, remodeling

6 198.62

Furniture and fixtures

2: 164.25

Due from banks and bankers in

this state

10,143.76

Due from banks and bankers in

other states

29 170.56

Currency

13 941.58

Gold

67.50

Silver, nickels, etc

1 032.86

Cash items

772.67

Other resources

2 652.06

LIABILITIES.

Capital stock paid in

3 87,070.00

Surplus fund, undivided profits,

less current expenses, interest

and taxes paid

2,208.79

Due to banks and bankers in this

state

8,093.51

Individual deposits subject to

check

125,334.91

Savings deposits

69,960.44

Demand certificates

29,672.82

T*ime certificates

26,215.00

Certified checks

4,035.78

Cashier's checks

1,788.30

Bills payable, including time cer-

tificates representing borrowed

money

50.000.00

Other liabilities

451.47

Total

$401,831.02

Total

$401,831.02

BANK OF SCOTLAND, SCOTLAND.

Date of Charter, March 13, 1912; Begun Business, Jan. 6, 1912. E. H. HERMANN, President; A. H. DUGGAN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 69,032.74

Overdrafts, unsecured

1,882.03

Overdrafts, secured

18,000.70

Bonds and stocks owned by the

bank

300.00

Banking house

3,428.91

Furniture and fixtures

1,908.26

Other real estate, warehouse

4,438.80

Due from banks and bankers in

this state

24,801.40

Due from banks and bankers in

other states

67,858.25

Currency

3,463.00

Gold

80.00

Silver, nickels, etc

1,023.71

Cash items

416.14

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, Interest and taxes paid.. 12,346.70

Individual deposits subject to

check

133,596.21

Time certificates

25,462.21

Cashier's checks

328.82

Total

$196,733.94

Total

.$196,733.94

SCOTT BANKING CO., SCOTT.

L. O. BENTON, President; W. D. COMPTON, JR., Cashier. STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

!& 18.250.00

Time loans

39,664.67

Overdrafts, secured

376.53

Overdrafts, unsecured

802.64

Bonds and stocks owned by the

bank

13,024.57

Banking house

1,500.00

Furniture and fixtures

1,500.00

Other real estate

978.40

Due from banks and bankers in

this state

36,807.15

Due from banks and bankers in

other states

2,925.02

Currency

2,170.00

Silver, nickels, etc

425.52

Cash items

621.20

Advances on cotton

6,102.32

LIABILITIES.

Capital stock paid in

$ 15.000.00

Surplus fund

2,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,518.83

Due unpaid dividends

48.20

Individual deposits subject to

check

82.270.46

Time certificates

24,109.20

Cashier's checks

201.34

Total

$125,148.02

Total

$125,148.02

TREASURER'S EEPORT

169

SCREVEN BANKING CO., SCREVEN.

Date of Charter, 1910; Begun Business, Dee. 10, 1910. J. C. HATCHER, President; W. B. McKBNZIE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Curency Gold Silver, nickels, etc Cash items
Depositors' guarantee fund

$ 62,907.85 10,121.52 4,700.27 2,310.00 2,455.60
in 34,050.16
in 19,742.54 2,305.00 230.00 153.80 585.76
1,000.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,014.86

Due unpaid dividends

374.40

Individual deposits subject to

check

92,873.01

Time certificates

25,508.36

Cashier's checks

3,791.87

Total

$140,562.50 Total

$140,562.50

FARMERS & MERCHANTS BANK, SENOIA.

R. L. HARDY, President; R. W. FREEMAN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$170,124.57

Time loans

131,310.46

Overdrafts, unsecured

6,916.50

Bonds and stocks owned by the

bank

5,500.00

Banking house

2,000.00

Due from banks and bankers In

this state

18,934.46

Due from banks and bankers in

other states

5,784.59

Currency

10,313.00

Gold

62.50

Silver, nickels, etc

721.59

Cash items

981.62

Advances on cotton

88,586.04

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 16,267.39

Due unpaid dividends

124 00

Individual deposits, subject to

check

304,745.83

Time certificates

44,429.19

Cashier's checks

668.92

Total

$441,235.33

Total

$441,235.33

BANK OF SHADY DALE, SHADY DALE.

Date of Charter,' Sept. 14, 1907; Begun Business, Oct. 1, 1907. L. O. BENTON, President; M. C. MOBLEY, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH 1917.

RESOURCES.

Demand loans

$ 4,034.42

Time loans

78,513.80

Overdrafts, unsecured

1,041.98

Bonds and stocks owned by the

bank

5,000.00

Banking house

2,000.00

Furniture and fixtures

2,030.63

Due from banks and bankers in

this state

43,216.61

Due from banks and bankers in

other states

4,768.06

Currency

4,580.00

Silver, nickels, etc

483.48

Cash items

22.60

Advances on cotton

8,028.87

Second Liberty Loan

900.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

3,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,219.44

Individual deposits, subject to

check

116,185.16

Time certificates

2,878.02

Cashier's checks

' 337.83

Total

$154,620.45 Total

$154,620.45

170

TREASURER'S EEPORT

BANK OF SHARON, SHARON.

G. N. WRIGHT, President; O. G. STONE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Overdrafts, secured Overdrafts, unsecured Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc

$ 67,852.64 4,000.00 1,615.61 906.79
in 115,562.19
in 2,255.06 4,701.00 204.77

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

17,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,573.26

Individual deposits, subject to

check

151,368.60

Time certificates

9,166.20

Total

$197,108.06

Total

$197,108.06

SHARPSBURG BANKING CO., SHARPSBURG.

Date of Charter, Sept. 29, 1911; Begun Business, Oct. 3, 1911. J. R. COLE, President; W. L. McLEAN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Time loans Overdrafts, secured Overdrafts, unsecured Banking- house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items

$ 18,922.76 15,032.61 206.94 1,598.36 1,222.22
in 5,547.07
in 6,057.81 490.00 89.73 33.79

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

6,750.00

Undivided profits, less current ex-

penses, interest and taxes paid..

560.39

Individual deposits, subject to

check

26,200.90

Demand certificates

190.00

Bills payable, including time certi-

ficates representing borrowed

money

500.00

Total

49,201.29

Total

$ 49,201.29

SHELLMAN BANKING CO., SHELLMAN.

W. J. OLIVER, President; THOS. R. ARTHUR, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 3.000.00

Time loans

72.111.43

Overdrafts, secured

4,428.86

Overdrafts, unsecured

596.36

Bonds and stocks owned by the

bank

3,000.00

Banking house

6,873.59

Furniture and fixtures

3,646.00

Other real estate

250.00

Due from banks and bankers in

this state

29,239.76

Due from banks and bankers in

other states

9,493.03

Currency

8,993.00

Gold

1,082.50

Silver, nickels, etc

1,319.70

Cash items

1,507.10

Advances on cotton

24,944.30

LIABILITIES.

Capital stock paid in

$ 25.000.00

Surplus fund

20,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,270.35

Individual deposits, subject to

check

110.043.49

Time certificates

12,026.71

Cashier's checks

645.08

Total

$169,485.63

Total

$169,485.63

TREASURER'S REPORT

171

BANK OF SHILOH, SHILOH.

E. B. THAMMBLL, President; M. O. CAMP, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.
Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items

$ 4,801.90 34,971.06
1,097.16 1,800.00
2,000.00 in
28,565.17 in
180.01 4,281.00
368.21 1,807.99

LIABILITIES.

Capital stock paid in

$ 20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,484.90

Individual deposits, subject to

check

45,114.26

Time certificates

11,003.46

Cashier's checks

269.88

Total

$ 79,892.50

Total

79,872.50

BANK OF SILOAM, SILOAM.

Date of Charter, 1904; Begun Business, Sept. 1904. JNO. F. HOLDEN, President; W. M. REYNOLDS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.
Demand loans Time loans
Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Advances on cotton

$ 12,500.00 38,630.54
141.78 2,500.00
1,500.00 in
40,736.96 in
13,594.32
9,432.00
22.50 1,987.12
9,950.20 20,408.15

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

10,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,486.58

Due unpaid dividends

24.00

Individual deposits, subject to

check

108,087.61

Time certificates

9,805.38

Total

$150,403.57

Total

$150,403.57

BANK OF SMITH VILLE, SMITHVILLE.

Date of Charter, 1903; Begun Business, 1903. D. G. AVERA, President; B. R. JONES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH. 1917.

RESOURCES.

Demand loans

$$ 10.0S3.72

Time loans

64,158.60

Overdrafts, unsecured

482.69

Bonds and stocks owned by the

bank

5,800.00

Banking house

2,000.00

Furniture and fixtures

1,868.53

Other real estate

3,640.35

Due from banks and bankers in

this state

13,561.76

Due from banks and bankers in

other states

13,721.03

Currency

2,688.00

Gold

..'..'.'.'.

85.00

Silver, nickels, etc

305.74

Witham mutual fire insurance fund 120.00

Advances on cotton

5,394.14

LIABILITIES.

Capital stock paid In

% 25,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,352.02

Individual deposits, subject to

check

73,570.13

Time certificates

15,965.18

Cashier's checks

1,072.23

Total

$123,959.56 Total

$123,959.56

172

TREASURER'S REPORT

BANK OF SMYRNA, SMYRNA.
fcl
Date of Charter, Jan. 11, 1911; Begun Business, March 20, 1911. J. GID MORRIS, President; J. D. CORN, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 70,676.24

Overdrafts, secured

11.13

Bonds and stocks owned by the

bank

3,000.00

Banking house

2,409.31

Furniture and fixtures

1,867.50

Other real estate

750.00

Due from banks and bankers in

this state

30,409.71

Due from banks and bankers in

other states

3,338.05

Currency

1,594.00

Gold

67.50

Silver, nickels, etc

543.42

Clearing house

580.36

Liberty Bonds

648.00

LIABILITIES.

Capital stock paid in

$ 16,300.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,108.55

Individual deposits, subject to

check Savings deposits

39,700.95 16,128.82

Time certificates

39,742.45

Cashier's checks

914.45

Total

$115,895.22

Total

$115,895.22

BANK OF SOCIAL CIRCLE, SOCIAL CIRCLE.

J. M. HURST, President; H. L. ROWE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 2,190.00

Time loans

148,980.10

Bonds and stocks owned by the

bank

1,400.00

Banking house, furniture and fix-

tures

4,937.30

Other real estate

5,882.00

Due from banks and bankers in

this state

32,421.27

Due from banks and bankers in

other states

32,166.20

Currency

5,316.00

Gold

422.50

Silver, nickels, etc

1,006.70

Cash items

410.24

Advances on cotton

127,400.12

LIABILITIES.

Capital stock paid in

$ 75,000.00

Surplus fund

30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,156.55

Individual deposits, subject to

check

199,350.10

Demand certificates

16,012.36

Time certificates

33.393.89

Cashier's checks

4,619.53

Total

$362,532.43

Total

$362,532.43

WALTON COUNTY BANK, SOCIAL CIRCLE.

Date of Charter, Sept. 1905; Begun Business, Oct. 1905. J. D. NEWTON, President; B. P. LOYD, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 4,802.12

Time loans

79,561.45

Overdrafts, unsecured

1,107.97

Bonds and stocks owned by the

bank

800.00

Banking house, furniture and fix-

tures

3,000.00

Due from banks and bankers in

this state

81,259.74

Due from banks and bankers in

other states

17,322.66

Currency

2,550.00

Gold

5.00

Silver, nickels, etc

1,099.00

Cash items

358.72

Advances on cotton

28,136.64

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

15,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,770.29

Individual deposits, subject to

check Demand certificates

136,385.77 1'025'5?

Time certificates

15,321.72

Total

$220,003.30 Total

$220,003.30

wasmuuammmam

TREASURER'S REPORT

173

BANK OF SOPERTON, SOPERTON.

DiNS.e L?,f. 9G,hI?LrLTtIeSr', JPurleysid16e>nt1;906J:. BBe. guHnALBLu,sinCeasssh, ie1r903.

STATEMENT OP CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

< 1 16,267.92

Time loans

104,493.65

Overdrafts, secured

.. 1,740.74

Overdrafts, unsecured

'.'.'. 3,079.66

Bonds and stocks owned by the

bank

450.00

Banking houses

17,244.39

Furniture and fixtures

6,685.28

Other real estate

7,984.25

Due from banks and bankers in

this state

42,622.96

Due from banks and bankers in

other states

17,391.50

Currency

6,133.00

Gold

212.50

Silver, nickels, etc

162.08

Cash items

10,517.73

Advances on cotton

246,749.58

Other resources (itemized)

1,224.50

Liberty Bonds

5,000.00

War savings stamps

899.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

13,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 12,144.51

Due to banks and bankers in this

state

13,000.00

Individual deposits, subject to

check

309,906.77

Time certificates

113,918.11

Certified checks

l]919!35

Total

488,858.74

Total

$488,858.74

PEOPLES BANK OF SOPERTON, SOPERTON.

Dwte f S^lVJ^S.^ 1905; Besun Business, March 5, 1906. W. T. McCRIMMON, President; R. E. WARD Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 29,326.19

Time loans

56,358.65

Overdrafts, secured by cotton

17,910.77

Overdrafts, unsecured

253.13

Bonds and stocks owned by the

tank

8,875.00

Banking house

17901.05

Furniture and fixtures

2,261.12

Due from banks and bankers in

this state

46,829.51

Due from banks and bankers in

other states

15,002.53

Currency

7,596,00

Gold

260.00

Silver, nickels, etc

570.47

Cash items

590.46

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,002.41

Due unpaid dividends

16 00

Individual deposits, subject to

check

134,324.32

Savings deposits

2,667.17

Time certificates

28,174.00

Cashier's checks

550.98

Total

$187,734.88

Total

$187,734.:

BANK OF SPARKS, SPARKS.

Date of Charter, Jan. 3, 1910; Begun Business, Jan 12 1910 S. G. ETHRIDGE, President; BENJ. F. GARY, Cashier. '
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 96,886.98

Overdrafts, unsecured

2,925.30

Bonds and stocks owned by the

bank

2,600.00

Banking house

3,300.00

Furniture and fixtures

3,065.25

Due from banks and bankers in

this state

4,914.99

Due from banks and bankers in

other states

1,856.91

Currency

1,314.00

Gold

122.50

Silver, nickels, etc

589.50

Cash items

50.69

Advances on cotton

18,071.16

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,317.45

Individual deposits, subject to

check

66,749.09

Time certificates

23,749.53

Cashier's checks

5,646.28

Notes and bills rediscounted

22,234.93

Total

$135,697.28

Total

$135,697.1

174

TREASURER'S EEPORT

BANK OF SPARTA, SPARTA.

Date of Charter. Nov. 13, 1889; Begun Business, Feb. 1. 1904. ROBERT HOLMES, President; J. D. BURNETT, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

.$162 ,375.70

Overdrafts, secured

,946.78

Overdrafts, unsecured

,973.56

Bonds and stocks owned by the

bank

2 ,410.00

Furniture and fixtures

3 ,950.00

Other real estate

6 ,505.84

Due from banks and bankers in

this state

109 ,726.02

Due from banks and bankers in

other states

14 ,973.97

Currency

9 ,645.00

Gold

242.50

Silver, nickels, etc

426.89

Cash items

427.17

Clearing house

440.53

Liberty Bonds, 4 per cent

11 080.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

6,250.00

Undivided profits, less current ex-

penses, interest and taxes paid..

636.05 I

Individual deposits, subject to

check

226,823.17

Savings deposits

9,505.14

Demand certificates

5.36

Time certificates

65,597.62

Cashier's checks

306.62

Total

$334,123.96

Total

$334,123.96

SPARTA SAVINGS BANK, SPARTA.

Date of Charter, Dec. 16, 1907; Begun Business, Feb. 15, 1917. R. W. MOORE, President; R. E. WHEELER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

Time loans

Overdrafts, secured

Overdrafts, unsecured

Furniture and fixtures

Due from banks and bankers

this state

Due from banks and bankers

other states

Currency

Gold

Silver, nickels, Clearing house

etc .

$ 8,862.92 73,134.57 20,177.76 4,328.46 1,878.34
in 130,886.42
in 20,925.29 17,361.00 75.00 314.38 3,690.21

LIABILITIES.

Capital stock paid in

$ 23,600.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,020.69

Due unpaid dividends

104.00

Individual deposits, subject to

check

228,059.12

Time certificates

28,402.54

Cashier's checks

448.00

Total

$281,634.35

Total

$281,634.35

SPREAD BANK, SPREAD. Date of Charter, 1916.
DAVID DENTON. President; J. C. KILGORE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold
Silver, nickels, etc Cash items Depositors' guarantee fund

$ 800.00 52,194.49 2[50o!00 2,000.00 3,200.00
in 20,494.82
in 25,628 16 2,526.00 540.00
401.84 50^34
2,702^70

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

1,879.74

Undivided profits, less current ex-

penses, interest and taxes paid.. 664.51

Due unpaid dividends

520.00

Individual deposits, subject to

check

79,128.13

Time certificates

15,724.40

Cashier's checks

121.57

TOtaI

$113,038.35 Total

$113,038.35

TREASURER'S REPORT

175

THE EXCHANGE BANK OF SPRINGFIELD, SPRINGFIELD.

Date of Charter. Deo. 20, 1907; Begun Business, Jan. 1, 1908. J. W. REISER, President; C. F. REISER, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house
Furniture and fixtures Other real estate Due from banks and bankers
this state
Due from banks and bankers other states
Currency Gold Silver, nickels, etc Cash items Profit and loss Revenue stamps

$ 657,31 44,719!oi 458.92 2,500.00
1,688.76 28.00
in 56,049.75
in 7 479 60 2',537.00 72.50 909.34 129.05 73.21 11.54

LIABILITIES.

Capital stock paid in

$ 15,120.00

Surplus fund

153.93

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,666.44

Individual deposits, subject to

check

67,591.95

Savings deposits

17,362.40

Time certificates

15,018.65

Cashier's checks

400.62

Total

$117,313.99

Total

$117,313.99

BANK OF STATENVILLE, STATENVILLE.

Date of Charter, April 6, 1915; Begun Business, March, 1914. L. J. COOPER, President; J. G. PRINCE, Acting Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$

Overdrafts, secured

Overdrafts, unsecured

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state

-

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Cash Items

8,246.91 51.00
1,197.53 1,400.00
992.93 8,200.00
3,820.15
24.95 986.00 15.00 54.69 86.75

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

92.32

Individual deposits, subject to

check

8,018.73

Time certificates

978.67

Cashier's checks

186.69

Bills payable, including time certi-

ficates representing borrowed

money

799.50

Total

$ 25,075.91 Total

$ 25,075.91

BANK OF STATESBORO, STATESBORO.

Begun Business, 1894. J. L. COLEMAN, President; S. C. GROOVER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$125,576.49

Time loans

235,776.23

Overdrafts, unsecured

1,633.62

Bonds and stocks owned bv the

bank

67,000.00

Banking house

30,000.00

Furniture and fixtures

4,625.00

Other real estate

13,281.60

Due from banks and bankers in

this state

375,415.52

Due from banks and bankers in

other states

17,589.43

Currency

5,128.00

Gold

,

800.00

Silver, nickels, etc

1,240.55

Cash items

14,329.97

LIABILITIES.

Capital stock paid in

$ 75,000.00

Surplus fund

60,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 15,910.37

Individual deposits, subject to

check

599,806.26

Time certificates

134,106.19

Cashier's checks

7,573.59

Total

$892,396.41

Total

$892,396.41

176

TREASURER'S EEPORT

SEA ISLAND BANK, STATESBORO.

T A S,^? of Charter, 1901; Begun Business, 1901. J. A. BRANNEN. President; R. F. DONALDSON, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$104,254 08

Time loans

315,090.45

Overdrafts, secured by cotton

6,934.97

Overdrafts, unsecured

2,978.40

Bonds and stocks owned by the

bank

46,700.00

Furniture and fixtures

6,315.00

Other real estate

9,180.22

Due from banks and bankers in

this state

139,999.47

Due from banks and bankers in

other states

61,931.84

Currency

954.00

Gold

10.00

Silver, nickels, etc

941.57

Cash items

13,252!42

Advances on cotton

10,950.97

LIABILITIES.

Capital stock paid in

$ 50,000 00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 25,813.13

Individual deposits, subject to

,, check

457,290.86

Savings deposits

7,913.85

Time certificates

143,949.11

Certified checks

2i625!92

Cashier's checks

6,'90052

Total

$719,493.39

Total

$719,493.39

BANK OF STATHAM, STATHAM.

Date of Charter, March 30, 1904; Begun Business, April 4, 1904 L. O. BENTON, President; W. M. FITE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 10,938.43

Time loans

73,700.32

Overdrafts, securred, cotton seed.. 3,853.80

Overdrafts, unsecured

2,588.35

Banking house

2,000 00

Furniture and fixtures

3,443.50

Due from banks and bankers in

this state

115,927.04

Due from banks and bankers in

other states

18,390 44

Currency

8,081.00

Gold

157.50

Silver, nickels, etc

332.68

Cash items

241.00

Advances on cotton

42,884.48

Safety boxes

101.18

Revenue stamps on hand

45.00

LIABILITIES.

Capital stock paid in

$ 40,000 00

Surplus fund

1,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,716.68

Due to banks and bankers in this

state

7,230.19

Individual deposits, subject to

check

189,321.63

Time certificates

41,890.92

Cashier's checks

1,525.30

Total.

$282,684.72

Total

$282,684.72

BANK OF STEPHENS, STEPHENS.

Date of Charter, Oct. 23, 1911; Begun Business, Oct 23 1911 JNO. F. HOLDER, President; O. H. ADKINS, Cashier. '

STATEMENT OF CONDITION AT THE CLOSE'OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 27,351.81

Overdrafts, unsecured

69.95

Bonds and stocks owned bv the

bank

5,700.00

Banking house

1,459.90

Furniture and fixtures

1,490.17

Other real estate

1,150.68

Due from banks and bankers in

this state

33,499.92

Due from banks and bankers in

other states

12 982 53

Currency

5,042.00

Gold

112,50

Silver, nickels, etc

194.94

Cash Items

30.00

LIABILITIES.

Capital stock paid In

:

$ 15,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,141.48

Individual deposits, subject to

check

64,177.61

Time certificates

2,932.01

Cashier's checks

833.20

Total

$ 89,084.30

Total

$ 89,084.30

MB

TREASURER'S REPORT

177

FARMERS EXCHANGE BANK, STILLMORE.

J. N. YOUMANS, President; W. R. HOLDER, Cashier.

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$ 85,292.49

Overdrafts, secured by cotton

40,121.93

Overdrafts, unsecured

1,554.76

Bonds and stocks owned by the

bank

7,450.00

Banking house

4,000.00

Furniture and fixtures

3,958.10

Other real estate

8,452.22

Due from banks and bankers in

this state

46,174.07

Due from banks and bankers in

other states

12,714.80

Currency

15,053.00

Gold

297.50

Silver, nickels, etc

685.16

Cash items

2,793.00

Profit and loss

200.03

Total

$228,747.06

LIABILITIES. Capital stock paid in Individual deposits, subject
check Time certificates Cashier's checks
Total

$ 25,000.00 to
144,129.29 58,157.41 1,460.36
$228,747.06

BANK OF STOCKBRIDGE, STOCKBRIDGE.

Date of Charter, Sept. 4, 1906; Begun Business, Oct. 24, 1906. J. D. BOWEN, President; C. M. POWER, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 21,432.16

Time loans

77,061.99

Overdrafts, unsecured

219.27

Bonds and stocks owned by the

bank

9,200.00

Banking house

2,169.00

Furniture and fixtures

2,094.23

Due from banks and bankers in

this state

38,052,89

Due from banks and bankers In

other states

'

8,230.26

Currency

5,006.nn

Gold Silver, nickels, etc

55.00 469.09

Cash items

2,601.43

Advances on cotton

80,913.19

LIABILITIES.

Capital stock paid in

$ 24,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 19,088.03

Individual deposits, subject to

check

170,928.81

Time certificates

32,821.96

Cashier's checks

665.71

Total

$247,504.51

Total

$247,504.51

GRANITE BANK, STONE MOUNTAIN.

Date of Charter, Sept. 5, 1911; Begun Business, Aug. 31, 1911. J. STEVE McCURDY, President; DEAN RHODES, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures
Due from banks and bankers this state
Due from banks and bankers other states
Currency Gold Silver, nickels, etc War revenue stamps

$ 252.35 53,943.88 314.28 1,412.09 1.5S7.91
In 39,346.52
In 8.274.5? 7,149.00 "7.50 892.40 1.00

LIABILITIES.

Capital stock paid in

$ 15,nno.no

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,719.55

Individual deposits, subject to

check

61.952.82

Savings deposits

7,118.14

Time certificates

12,152.84

Cashier's checks

418.10

Total

$113,361.45 Total

$113,361.45

178

TREASURER'S REPORT

STONE MOUNTAIN BANK, STONE MOUNTAIN.

Dfite of Charter, Oct. 190?. J. O. NORRIS, President; E. A. GRAHAM, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH 1917.

RESOURCES.

Demand loans

$ 200 00

Time loans

65,047.97

Overdrafts, secured

2,414.01

Overdrafts, unsecured

679 66

Banking house

3,000.00

Furniture and fixtures

,... 2,250.00

Due from banks and bankers in

this state

16,174.23

Due from banks and bankers in

other states

5,420 84

Currency

3,732.00

Gold

155.00

Silver, nickels, etc

522.57

Cash items

180 27

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 18,819.47

Individual deposits, subject to

check

58,535.09

Time certificates

7,421.99

Total

."....$ 99,776.55

Total

|,776.55

BANK OF SUMMERTOWN, SUMMERTOWN.

J. M. SNELLGROVE, President; W. T. ADAMS, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 4,653 86

Time loans

23,460.04

Overdrafts, unsecured

102.67

Bonds and stocks owned by the

bank

2,640.00

Banking house

2,075 20

Furniture and fixtures

1,294.50

Due from banks and bankers in

this state

12,181.01

Due from banks and bankers in

other states

8,258.30

Currency

525.00

Gold

40.00

Silver, nickels, etc

309.70

Advances on cotton

5,662.39

Stationery

300.00

Fire insurance

195.15

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

129.17

Due unpaid dividends

14.40

Individual deposits, subject to

check

42,67.734

Time certificates

2,730.75

Cashier's checks

1,146.16

Total

$61,697.82

Total

$61,797.82

CHATTOOGA COUNTY BANK, SUMMERVILLE. Date of Charter, Nov- 25- 1905'' Begun Business, Feb. 1, 1906.
JNO. D. TAYLOR, President; J. H. EDGE, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 25,000.00

Time loans

130,118.57

Overdrafts, unsecured

497.87

Bonds and stocks owned by the

bank

2,000.00

Banking house

2,979.40

Furniture and fixtures

2,762.82

Other real estate

15,510.01

Due from banks and bankers in

this state

11,681.54

Due from banks and bankers in

other states

30,011 37

Currency

9,497.00

Gold

55.00

Silver, nickels, etc

1,633.84

Cash Items

6,520.31

LIABILITIES.

Capital stock paid in

! 30.000.00

Surplus fund

16,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,244.93

Due to banks and bankers in this

state

799.56

Individual deposits, subject to

check

113,160.64

Time certificates

30,550.35

Cashier's checks

.-

2.242.27

Notes and bills rediscounted

22,500.00

Bills payable, including time certi-

ficates representing borrowed

money

20,000.00

Total

$237,997.75 Total

$237,997.75

TREASURER'S REPORT

179

BANK OF COMMERCE, SUMMERVILLE.

Date of Charter, 1891; Begun Business, Sept. 1, 1891. C. C. CLEGHORN, President; N. K. BITTING, Cashier.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans Time loans Overdrafts, secured Furniture and fixtures

S 4,879.34 125,438.84 2,052.46 2,075.42

Other real estate

1,794.12

Due from banks and bankers in

this state

7,403.87

Due from banks and
other states Currency Gold Silver, nickels, etc

bankers, in

6,485.27 3,177.00
232.50 341.59

Cash items Advances on cotton Profit and loss

167.40 13,600.00
409.54

LIABILITIES.

Capital stock paid in

$20 400.00

Surplus fund

10; 200.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,757.18

Individual deposits, subject to

check Savings deposits

H3 17

,251.49 968.12

Cashier's checks

984.20

Bills payable, including time certi-

ficates representing borrowed

money

3,496.36

Total

$168,057.35

Total

$168,057.35

PEOPLES BANK, SUMMIT

J. A. JONES, President; S. J. FLANDERS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$111,257.34

Bonds and stocks owned by the

bank

a2'022-0"

Banking house Furniture and fixtures Other real estate

,,,,,,!,, 3',,,,o'i,, 12,908.80

Due from banks and bankers in

this state

101,098.82

Due from banks and bankers in

other states

34'09H,,

Currency

4.262.00

Gold Silver, nickels, etc

630.00 833.60

Cash items Liberty Bonds

I'lVAi 1,250.00

LIABILITIES.

Capital stock paid In

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 19,611.42

Individual deposits, subject to

check

199,361.36

Time certificates

43,375.27

Cashier's checks

1,358.34

Totai

$288,706.19

Total

$288,706.19

CITIZENS BANK, SWA1NSBORO

J. A. COLEMAN, President; FRANK MITCHELL, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 3,370.38

Time loans

50,646.19

Overdrafts, secured by cotton .... 143,820.45

Overdrafts, unsecured

3,304.01

Bonds and stocks owned by the

bank

2,000.00

Banking house

8,264.53

Furniture and fixtures

2,911.70

Other real estate

3,528.91

Due from banks and bankers In

this state

90,364.91

Due from banks and bankers in

other states

36,176.77

Currency

4,961.00

Gold

1.535.00

Silver, nickels, etc

1,361.19

Cash items

8,816.37

LIABILITIES.

Capital stock paid in

$ 24,100.00

Surplus fund, undivided profits,

less current expenses, Interest

and taxes paid

32,898.52

Individual deposits, subject to

check

250,491.25

Time certificates

52,911.76

Cashier's checks

609.88

Total

$361,011.41

Total

$361,011.41

180

TREASURER'S REPORT

BANK OF EMANUEL, SWAINSBORO

Date of Charter, 1905; Begun Business, April 3rd, 1905 L. P. YOUMANS, President; W. H. PROCTOR, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, secured Overdrafts, unsecured

$ 21,350.00 70,262.39 10,153.25 8,791.73

Bonds and stocks owned by the

bank

4,900.68

Banking house

31,348.85

Furniture and fixtures

8,767.83

Other real estate

5,400.00

Due from banks and bankers in

this state

28,531.69

Due from banks and bankers in

other states Currency

18 455 24 14,533.00

Gold Silver, nickels, etc Cash items

290.00 1,041.04 l!505!60

Advances on cotton

78,143.98

Rent account

1,408.00

Interest accrued

3'72o!oO

LIABILITIES.

Capital stock paid in

$ 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 11,182.89

Individual deposits, subject to

check

212,383.66

Time certificates

35,762.55

Cashier's checks

1,274.18

Total

$310,603.28

Total

$310,603.28

PLANTERS BANK, SYCAMORE

Begun Business, May 2, 1914 W. D. FOUNTAIN, President; A. J. BLISS, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Liberty Bonds
Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items

$ 20,400 00 90,000.14 4,508.29 ' 350 71 15,050.00
2,000.00 in
84,040.34 in
10,600.82 7,791.00
30.00 670.04
4.27

LIABILITIES.

Capital stock paid in

$15,000.00

Surplus fund

9,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,533.67

Individual deposits, subject to

check

199,932.43

Time certificates

8,986.18

Cashier's checks

993.33

Total

$235,445.61

Total

FARMERS EXCHANGE BANK, SYLVANIA

$235,445.61

Date of Charter, September 10th, 1912: Begun Business, September 16th, 1912 S. W. ZEAGDER, President; H. C. LEE, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans Time loans

$ 7,600.00 62,051.34

Overdrafts, secured

1,715.94

Overdrafts, unsecured

5,860.89

Bonds and stocks owned by the

bank

2,050.00

Banking house

4,047.33

Furniture and fixtures

1,907.31

Due from banks and bankers in

this state

75,099.74

Due from banks and bankers in

other states Currency

7,706.63 2,454.00

Silver, nickels, etc

574.30

Cash items

2,186.14

Clearing house

5,000.00

Other resources (itemized)

62.80

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,001.87

Individual deposits, subject to

check

148,571.86

Time certificates

10,255.64

Cashier's checks

487.05

Bills payable, including time certi-

ficates representing borrowed

money

2,000.00

Total

$178,316.42 Total

$178,316.42

TREASURER'S EEPORT

181

SYLVANIA BANKING CO., SYLVANIA

W. P. WILLIAMS, President; H. G. WILLIAMS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 1BTH, 1917.

RESOURCES.

Demand loans

i 22,776.06

Time loans

128,878.21

Overdrafts, secured

9,247.21

Overdrafts, unsecured

2,711.14

Bonds and stocks owned by the

bank

5,000.00

Furniture and fixtures

2,039.53

Other real estate

3,318.34

Due from banks and bankers in

this state

51,782.11

Due from banks and bankers in

other states

26,063.27

Currency

11,284.00

Gold

2.50

Silver, nickels, etc Cash items



601.05 3,449.40

Advances on cotton

20,594.26

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,376.93

Individual deposits, subject to

check

219,976.97

Time certificates

38,190.22

Cashier's checks

622.96

T0tal

$288,167.08

Total

$288,167.08

FARMERS & MERCHANTS BANK, SYLVESTER

Begun Business, Sept., 1911 W. W. TISON, President; H. C. CAMP, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Clearing house Depositors' guarantee fund
Mutual fire fund Stamp account

$ 15,330.76 151,708.18 243.72 8,214.37 3,376.38
in 22,025.73
in 43,687.81 3,912.00 175.00 308.59 75.70 860.16 2,987.65
120.00 7.00

LIABILITIES.

Capital stock paid in

$ 42,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 6,582.54

Individual deposits, subject to

check

125,876.25

Savings deposits

10,334.54

Demand certificates

30,000.00

Time certificates

35.284.30

Cashier's checks

2,955.42

Total

$253,033.05

Total

$253,033.05

SYLVESTER BANKING CO., SYLVESTER

Date of Charter, July, 1898; Begun Business, 1898 C. JEFFORD, President; J. H. WESTBERRT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Time loans

$224,300.43

Bonds and stocks owned by the

bank

10.000.on

Banking house

11,000.00

Furniture and fixtures

4,880.00

Other real estate

12,000.00

Due from banks and bankers in

this state

184,360.17

Due from banks and bankers in

other states

67,858.42

Currency

14,268.00

Gold

977.00

Silver, nickels, etc

3,715.66

Cash items

223.52

Advances on cotton

73,465.13

LIABILITIES.

Capital stock paid in

$100,000.00

Surplus fund

30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 15,560.44

Individual deposits, subject to

check

377,816.07

Time certificates

69,204.32

Cashier's checks

467.50

Bank account

4,000.00

Total

*597,048.33 Total

$597,048.33

182

TREASURER'S EEPORT

BANK OF TALBOTTON, TALBOTTON

Date of Charter, August, 1906; Begun Business, Dec. 1st, 1906 K. G. JORDAN, President; J. W. JORDAN, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

^

RESOURCES.

Demand loans

t 5,740.27

Time loans

84,751.40

Bonds and stocks owned by "the

bank Banking house

4,850.00 4,769.91

Furniture and fixtures

'.'.

Other real estate

3,273.13 700.00

Due from banks and banker's * in

this state

97,163.90

Due from banks and bankers" i'ri

other states Currency

15,635.72 6,486.00

Gold Silver, nickels, etc Cash items

....'.'.'.'.'.'.'.'.'.'.

323.50 239.11 4,852.87

Advances on cotton

33,379.73

Ttal

$262,165.58

LIABILITIES.

Capital stock paid in

$ 25 000 00

Surplus fund

lO.OOoioo

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,182 91

Due to banks and bankers in this

state

250.14

Due unpaid dividends

12 00

Individual deposits, subject to

^ check

158,416.06

Demand certificates

361 00

Time certificates

64,178^22

Total

$262,165.58

PEOPLES BANK, TALBOTTON

Date of Charter, Dec. T. H. PERSONS,

3rd, 1890; Begun Business, Jan. 13th, 1891 President; A. P. PERSONS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

^

RESOURCES.

Demand loans

Time loans

6,876.28 55,738.15

Bonds and stocks owned by' the

bank Banking house

5,000.00 4,000.00

Furniture and fixtures Due from banks and bankers in

1,065.00

this state

105,752.46

Due from banks and banker's "in

other states Currency Gold Silver, nickels, etc

;.':;

27,667.55 8,439.00 137.50 839.99

Cash items

" 3,730.88

Advances on cotton

11,228.85

LIABILITIES. Capital stock paid in Surplus fund

$ 25,000.00 12,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7 294 06

Due unpaid dividends

15 00

Individual deposits, subject to

check . Time certificates

133,364.11 52 195 21

Cashier's checks

107.28

Ttal

$230,475.66

Total

$230,475.66

BANK OF TALLAPOOSA, TALLAPOOSA

Date of Charter, August 31, 1908: Begun Business. September 9, 190S W. W. HEATON, President; J. E. DAVIS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

_,

RESOURCES.

DTiemmeandloanlosans.

'\

$ 16,718.13 98,836.77

Overdrafts, unsecured

..'..'.'.'. 2,327.72

Bonds and stocks owned by the

bank Banking house

2,700.00 5,000.00

Furniture and fixtures

".'.' 2,330.50

Other real estate

1,725.00

Due from banks and banker's" in

this state

44,311.58

Due from banks and bankers" iii

other states Currency Gold

..'.'.'.'.'.

12,604.19 5,013.00 25.00

Silver, nickels, etc Cash items

420.80 611.93

Advances on cotton ......

63,671.99

LIABILITIES.

Capital stock paid in

$ 25,000 no

Surplus fund

20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,172 90

Individual deposits, subject to

,, check

121,600.66

Savings deposits

14,389.76

Demand certificates

500.00

Time certificates

46,613.75

Cashier's checks

1,018.54

Bills payable, secured by cotton.. 20^000.00

Total

$256,296.61 Total

$256,296.61

TREASURER'S EEPORT

183

FARMERS <. MERCHANTS BANK, TALLAPOOSA
Date of Charter, Dec. 21, 1908; Begun Business, January, 1909 W. M. SASSER, President; W. S. McKIBBEN, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 12,893.31

Time loans

26,132.07

Overdrafts, unsecured

73.90

Bonds and stocks owned by the

bank

3,800.00

Banking house

4,500.00

Furniture and fixtures

1,700.00

Other real estate

565.65

Due from banks and bankers in

this state

19,274.57

Due from banks and bankers in

other states

8,285.64

Currency

4,087.00

Gold

5.00

Silver, nickels, etc

184.82

Cash items

472.37

Advances on cotton

84,075.42

Cotton seed account

1,642.07

LIABILITIES.

Capital stock paid in

$ 22 000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1 786.31

Individual deposits, subject to

check

108 ,282.43

Savings deposits

1 ,818.37

Demand certificates

16 552.50

Time certificates

,070.39

Cashier's checks

281.82

Bills payable, including time certi-

ficates representing borrowed

money

900.00

Total

$167,691.82 Total

$167,691.82

BANK OF TAYLORSVILLE, TAYLORSVl LLE

Date of Charter, June 6, 1905; Begun Business, June 13, 1905 "W". F. GASTON, President; W. M. DORSEY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

Time loans

RESOURCES.

$ 78,407.52

Overdrafts, unsecured

107.60

Bonds and stocks owned by the

bank

6,750.00

Banking house ..r

1,400.00

Furniture and fixtures

1,500.00

Due from banks and bankers in

this state

10,442.09

Due from banks and bankers in

other states

45,697.68

Currency

3,392.00

Gold

80.00

Silver, nickels, etc

610. i t

WStham Banks mutual fire insur-

ance fund

120.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,438,82

Individual deposits, subject to

check

106,281.02

Time certificates

9,536.06

Cashier's checks

251.76

Total

$148,507.66

Total

$148,507.66

FARMERS STATE BANK, TEMPLE Date of Charter, Nov. 22, 1912: Begun Business, Mar. 3, 1913 J. S. MICHAEL, President; M. A. SANDIFER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 2,668.10

Time loans

53,672.62

Overdrafts, secured by cotton ... 30,787.55

Overdrafts, unsecured

466.89

Banking house

2,531.38

Furniture and fixtures

1,805.81

Due from banks and bankers in

this state

7,471.55

Due from banks and bankers in

other states

8,075.25

Currency

3,516.00

Gold

205.00

Silver, nickels, etc

188.23

Cash items

1,098.04

Fire insurance fund

120.00

Stamp account

10.00

LIABILITIES.

Capital stock paid In

$ 16,000.00

Surplus fund

9,489.93

Due to banks and bankers in this

state

10,000.00

Individual deposits. subject to

check

54,899.77

Savings deposits

5,492.79

Demand certificates

5,200.00

Time certificates

10,843.72

Cashier's checks

1,690.21

Total

$112,616.42 Total

$112,616.42

184

TREASURER'S REPORT

TEMPLE BANKING CO., TEMPLE

"W. L. KINNET, President; L. P. WEST, Cashier

STATEMENT OP CONDITION AT THE CLOSE OP BUSINESS DEC. 15TH, 1917.

RESOURCES.

Demand loans

$ 1,751.86

Time loans

93,227.32

Overdrafts, unsecured

1,207.79

Banking house

4,000.00

Furniture and fixtures

2,876.00

Other real estate

7,000.00

Due from hanks and bankers in

this state

9,036.79

Due from banks and hankers in

other states

3,258.60

Currency

2,146.00

Gold

140.00

Silver, nickels, etc

226.19

Cash items

6,648.00

Advances on cotton and cotton

products

22,147.99

LIABILITIES.

Capital stock paid in

$ 45,000.00

Surplus fund

16,000.00

Undivided profits, less current ex-

penses, interest and taxes paid..

4.17

Individual deposits, subject to

check

62,382.27

Time certificates

29,261.53

Cashier's checks

1,018.57

Total

$153,666.o4

Total

$153,666.54

FARMERS & MERCHANTS BANK, TENNILLE

H. M. FRANKLIN, President; C. J. SIMONS, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.
Demand loans Time loans Overdrafts,- secured Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Clearing house

$ 19,489.19 47,193.12 38,045.89 731.29 6,262.64 1,030.10 600.00
in 56,903.09
in 3,820.34 7,184.00 "2-22 2,912.81 1,578.74

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,448.67

Individual deposits, subject to

check

104,639.22

Savings deposits

42,737.13

Time certificates

5,062.00

Cashier's checks

1,004.25

Total

$185,891.27 Total

$185,891.27

PEOPLES EXCHANGE BANK, TENNILLE

H. M. BASHINSKI, President; L. H. LEDFORD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans Overdrafts, secured by cotton

$ 47'0^2/22 68,510.80 53,671.97

Overdrafts, unsecured

238.58

Furniture and fixtures

1,500.00

Due from hanks and hankers in

this state

94,479.32

Due from banks and bankers In

other states Currency Gold Silver, nickels, etc

Hcenn 3'i,r'x2
335.00 1'??-f?

Cash items Clearing house

,2H,, 2,378.40

Total

$277,658.39

LIABILITIES.

Capital stock paid in

i 30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 30,474.73

Individual deposits, subject to

check

216,892.13

Cashier's checks

291.53

Total

$277,658.39

TREASURER'S EEPORT

185

TENNILLE BANKING CO., TENNILLE

Date of Charter, April, 1900; Begun Business, April, 1900 D. E. McMASTER, President; J. H. AENALL, Cashier

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$43,709.21

Time loans

217,195.56

Overdrafts, secured by cotton ... 37,703.45

Overdrafts, unsecured

55.67

Liberty Bonds

5,000.00

War savings stamps

886.64

Due from banks and bankers in

this state

77,617.35

Due from banks and bankers in

other states

7,000.79

Currency

6,492.00

Gold

305.00

Silver, nickels,' etc

507.01

Cash items

3,971.40

Advances on cotton

25,000.00

LIABILITIES.

Capital stock paid in

$ 30,000.00

Surplus fund

30,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 10,894.98

Individual deposits, subject to

check

253,992.99

Savings deposits

7,382.79

Time certificates

92,143.38

Cashier's checks

1,029.94

Total

$425,444.08

Total

$425,444.08

BANK OF THOMASTON, THOMASTON

Date of Charter, Dec. 12th, 1910; Begun Business, Dec. 14th, 1910 W. Y. DANIEL, President; G. G. KING, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 10,000.00

Time loans

42,389.27

Overdrafts, secured

7,851.15

Overdrafts, unsecured

976.01

Bonds and stocks owned by the

bank

3,700.00

Banking house

1,800.00

Furniture and fixtures

2,533.14

Other real estate

914.96

Due from banks and bankers in

this state

63,308.81

Due from banks and bankers in

other states

20,437.41

Currency

3,960.00

Gold

211.00

Silver, nickels, etc

505.79

Cash items

1,523.81

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

2,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,140.77

Individual deposits, subject to

check Time certificates

106,661.64 23,308.94

Total

$160,111.35

Total

$160,111.35

FARMERS & MERCHANTS BANK, THOMASTON

J. T. BARRON, President; T. M. MATTHEWS, Vice-President

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. J5TH, 1917

RESOURCES.

Demand loans

$ 43,265.47

Time loans

88,216.46

Overdrafts, secured

4,616.00

Overdrafts, unsecured

1,476.00

Bonds and stocks owned by the

bank

28,550.00

Banking house

8,000.00

Other real estate

910.00

Due from banks and bankers in

this state

66,092.52

Due from banks and bankers in

other states

11,288.90

Currency

,

5,760.00

Gold

542.50

Silver, nickels, etc

1,048.96

Cash items

4,165.73

Advances on cotton

20,549.57

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 13,468.76

Due unpaid dividends

40.00

Individual deposits, subject to

check

155,257.37

Time certificates

72,335.59

Cashier's checks

3,382.39

Total

$284,484.11 Total

$284,484.11

186

TREASURER'S EEPORT

UPSON BANKING & TRUST CO., THOMASTON

Date of Charter, Dec. 19, 1888; Begun Business, Jany. 25, 1900 S. T. PRUITT, President; L. P. DAVIS, Cashier
STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 28,740.47

Time loans

174,424.68

Overdrafts, secured

9,788.73

Overdrafts, unsecured

1,094.44

Bonds and stocks owned by the

bank

22,795.00

Furniture and fixtures

3,715.10

Due from banks and bankers in

this state

81,735.90

Due from banks and bankers in

other states

40,597.46

Currency

18,969.00

Gold

705.00

Silver, nickels, etc

1,108.45

Cash items

95.64

Clearing house

11,751.68

Advances on cotton

76,119.39

Revenue stamps

28.00

LIABILITIES.

Capital stock paid in

% 50,000.00

Surplus fund

12,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 27,356.88

Individual deposits, subject to

check

284,077.90

Time certificates

97,425.31

Cashier's checks

308.85

Total

71,668.94

Total

$471,668.94

BANK OF THOMASVILLE, THOMASVILLE

Date of Charter, 1882; Begun Business, 1888 E. M. SMITH, President; R. G. FLEETWOOD, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$60,841.70

Time loans

446,018.28

Overdrafts, unsecured

8,262.22

Bonds and stocks owned by the

bank

29,062.15

Banking house

9,000.00

Furniture and fixtures

2,740.49

Other real estate

882.86

Due from banks and bankers in

this state

120,684.91

Due from banks and bankers in

other states

97,199.83

Currency

22,869.00

Silver, nickles, etc

2,422.76

Gold

1,900.00

Cash items

7,563.42

Advances on cotton

72,986.88

LIABILITIES.

Capital stock paid in

$100 000.00

Surplus fund

25 000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 83,290.28

Due to banks and bankers in this

state

46,776.07

Individual deposits, subject to

check

464,923.07

Savings deposits

113,014.69

Time certificates

48,179.67

Certified checks

1,250.72

Total

$882,434.30 Total

$882,434.50

CITIZENS BANKING & TRUST CO., THOMASVILLE

Date of Charter, 1891; Begun Business, 1891 J. F. CULPEPPER, President: C. M. HEETH, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$15,000.00

Time loans

356,283.07

Overdrafts, unsecured

8,759.53

Bonds and stocks owned by the

bank

13,000.00

Banking house

5,000.00

Furniture and fixtures

814.53

Other real estate

1,872.45

Due from banks and bankers in

this state

48,203.18

Due from banks and bankers in

other states

43,444.82

Currency

22,760.00

Gold

455.00

Silver, nickels, etc

5,102.00

Cash items

13.45

Clearing house

13,703.88

LIABILITIES.

Capital stock paid in

$ 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 69,254.54

Due unpaid dividends

50.00

Individual deposits, subject to

check

338,903.44

Savings deposits

62,029.35

Time certificates

9,174.58

Total

$529,411.91

Total

$529,411.91

TREASURER'S REPORT

187

PEOPLES SAVINGS BANK, THOMASVILLE

Date of Charter, Oct. 22, 1906; Begun Business, Dec. 1st, 1906 T. J. BALD, President; S. N. BALL, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 1,400.00

Time loans

:

121,885.17

Overdrafts, unsecured

300.00

Bonds and stocks owned by the

bank

6,000.00

Furniture and fixtures

2,000.00

Due from banks and bankers in

this state

2,049.56

Due from banks and bankers in

other states

3,389.27

Currency

2,645.00

Gold .1

589.00

Silver, nickels, etc

365.1<5

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

6,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 6,937.46

Individual deposits, subject to

check

62,685.66

Time certificates

40,000.00

Total

$140,623.12

Total

$140,623.12

BANK OF THOMSON, THOMSON

Date of Charter, 1891; Begun Business, 1891 J. E. WILKERSON, President; H. A. BURNSIDE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

i 71,387.93

Time loans

146,827.82

Overdrafts, secured and unsecured 4,376.16

Bonds and stocks owned by the

bank

18,930.00

Banking house

4,096.83

Furniture and fixtures

4,000.00

Other real estate

13,471.49

Due from banks and bankers in

this state

184,273.26

Due from banks and other states
Currency Gold Silver, nickels, etc
Cash items Clearing house

bankers

in 39,822.37
. 10,217.00 196.50
5,406.90 118.24
4,792.83

Total

$507,917.33

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 26,911.56

Individual deposits, subject to

check

325,117.73

Time certificates

80,194.91

Cashier's checks

693.13

Total

$507,917.33

McDUFFIE BANK, THOMSON

Date of Charter, 1906; Begun Business, 1906 O. S. LEE, President; C. F. HUNT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES. Time loans Overdrafts, secured Furniture and fixtures Other real estate Duo from banks and bankers
this state Due from banks and bankers
other states Curency Gold Silver, nickels, etc Cash items
Total

$127 444.43 2 519.34 2 253.49 3 :763.34
in 18,335.41
in 15 805.93 107.00 75.00 ,061.46 ,277.14
$185,642.54

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 18,975.22

Due unpaid dividends

10.00

Individual deposits, subject to

check

112,455.72

Time certificates

28,461.51

Cashier's checks

740.09

Total

$185,642.54

188

TREASURER'S KEPORT

THOMSON CITY BANK, THOMSON

Date of Charter, April 15, 1915; Begun Business, May 11, 1915 J, T. NEAL, President; J. T. NEAL, JR., Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 8 29190

Time loans

52,293.84

Overdrafts, secured

2,017.10

Overdrafts, unsecured

2,755.44

Bonds and stocks owned by the

bank

2,000.00

Furniture and fixtures

3,153.99

Due from banks and bankers in

this state

15,536.37

Due from banks and bankers in

other states

6,393.57

Currency

3,520.00

Silver, nickels, etc

1,511.26

Cash items

2,224.26

Advances on cotton

7,576.41

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,211.69

Individual deposits, subject to

check

57,023.11

Time certificates

19,901.43

Cashier's checks

1,137.91

Total

$107,274.14

Total

$107,274.14

BANK OF T1FTON, TIFTON TT DT?te J2t Charter, 1895; Begun Business, 1896 H. H. TIFT, President; B. H. McLEOD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$

Time loans

Bonds "and stocks owned by the

bank

Banking house

Due from banks and bankers in

this state

Due from banks and bankers in

other states

Currency

Gold

Silver, nickels, etc

Clearing house

Advances on cotton

113,999.68 697,755.71
13,100.00 25,000.00
138,161.83
45,121.03 27,993.00 2,480.00 4,951.70 5,'34l!52 592,401.27

LIABILITIES.

Capital stock paid in Surplus fund

$ 50,000.00 100,000.00

Undivided profits, less current

expenses, interest and taxes

paid

151,059.05

Individual deposits subject to

check

826,026.54

Time certificates

531,531.74

Certified checks

54.32

Cashier's checks

7,634.10

Total

$1,666,305.75

Total

$1,666,305.75

BANK OF TIGNALL, TIGNALL

Date of Charter, July, 1909; Begun Business, Aug., 1909 W. J. ADAMS, President; C. D. BOLTON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 4,711.00

Time loans

102,423.71

Overdrafts, secured and unse-

cured

11,538.81

Banking house

3,500.00

Furniture and fixtures

2,000.00

Due from banks and bankers in

this state

62,815.92

Due from banks and bankers in

other states

1,586.34

Currency

2,256.00

Gold

200.00

Silver, nickels, etc

292.80

Cash items

1,570.81

Advances on cotton

184,666.19

Accumulated interest demand

notes

300.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 15,593.35

Individual deposits subject to

check

313,898.43

Time certificates

33,370.49

Total

$377,862.27

Total

$377,862.27

TREASURER'S REPORT

189

PEOPLES BANK, TIGNALL

Date of Charter, December 16th, 1913; Begun Business, January 26th, 1914 J. J. WILKINSON, President; F. S. FORTSON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 42.50

Time loans

30,809.88

Overdrafts, unsecured

1,629.41

Bonds and stocks owned by the

bank

5,000.00

Banking house

2,624.67

Furniture and fixtures

1,674.17

Due from banks and bankers in

this state

60,023.66

Due from banks and bankers in

other states

1,WSA4

Currency

3,582.00

Gold Silver, nickels, etc

"-50 208.53

Cash items

985.46

Total

$126,066.22

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,560.83

Individual deposits subject to

check

102,824.37

Time certificates

5,286.08

Cashier's checks

394.94

Total

.$126,066.22

BANK OF TOCCOA, TOCCOA

Date of Charter, July, 1911; Begun Business, Sept., 1911 EDW. SCHAEFER, President; E. C. TEASLEY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans Overdrafts, unsecured

( 15,000.00 .34,581.70 1,032.00

Bonds and stocks owned by the

bank Furniture and fixtures

7,000.00 1,989.57

Due from banks and bankers this state

in

25,080.86

Due from banks and other states
Currency Gold Silver, nickels, etc Cash items Clearing house Advances on cotton

bankers

in

23,287.85 6,072.00
132.50 492.70 2,460.28 2,724.16 22,432.93

Total

4242,286.55

LIABILITIES,

Capital stock paid in Surplus fund

30,000.00 5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,396.57

Individual deposits subject to

check

188,030.70

Time certificates

12,944.96

Certified checks

2'212/S2

Cashier's checks

702.32

Total

$242,286.65

FARMERS & MERCHANTS BANK, TOCCOA

Date of Charter, Jany. 18th, 1906; Begun Business, Jany. 20 1906 E.E MITCHELL, President; D. S. WOMMACK, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.
Demand loans Time loans Overdrafts, secured (cotton) Overdrafts, unsecured

$

22,881.13 88,914.63

50,047.12

532.69

Bonds and stocks owned by the
bank Banking house Furniture and fixtures Other real estate

22,782.56 15,000.00
3,143.50 1,658.00

Due from banks and bankers in

this state





15,049.00

Due from banks and bankers in

other states

Currency

Gold



Silver, nickels, etc

Cash items

Clearing house

Liberty Bonds

18,597.93 6,066.00
152.50 1,597.83 3,217.74
663.51 1,829.00

$252,133.14

LIABILITIES.

Capital stock paid

$50,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 8,692.67

Individual deposits subject to

check Savings deposits Time certificates Certified checks Cashier's checks

^S'^I'o? fl'Si, ?n 10, "03.10 1i?,,o bo-"5-

Total

$252,133.14

190

TREASURER'S EEPORT

WILKINSON COUNTY BANK, TOOMSBORO

P. B. CHAMBERS, President ; H. E. STEPHENS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 9,937.67

Time loans

17,030.37

Overdrafts, secured

69,290.02

Bonds and stocks owned by the

bai* Furniture and fixtures

10,000.00 616.00

Due from banks and bankers in

this state

25,231.89

Due from banks and bankers in

other states

12,917.83

Currency

1,897.00

Gold

5.00

Silver, nickels, etc

218.98

Cash items

1,883.96

INABILITIES.

Capital stock paid in

$ 15,000 00

Undivided profits, less current ex-

penses, interest and taxes paid.. 15,298.94

Individual deposits ,,,.che(* Time certificates

subject

to 115,181.64 2,770 00

Cashier's checks

77s!l4

Total

$149,028.72

Total

$149,028.72

BANK OF TRION, TRION

Date of Charter, October 16, 1912; Begun Business, December 17, 1912 B. D. REEGAL, President; W. I. BENNETT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Time loans

$ 69,820.49

Overdrafts, secured

11,371.68

Overdrafts, unsecured

34.83

Bonds and stocks owned by the

bank

10,000.00

Furniture and fixtures

2,347.51

Due from banks and bankers in

this state

1,356.91

Due from banks and bankers in

other states

31,065.43

Currency

7,374.00

Silver, nickels, etc

727.23

Cash items

8,259.20

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,748.29

Individual deposits subject to

check

73,861.08

Time certificates

34,158.08

Cashier's checks

1,589.83

Total

$142,357.28

Total

$142,357.28

TURIN BANKING CO., TURIN

EDGAR DOMINICK, President

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 51,968.76

Time loans

16,026.13

Overdrafts, secured

545.26

Overdrafts, unsecured, Libertv

Bonds

750.00

Bonds and stocks owned by the

bank

100.00

Banking house

1,665.75

Furniture and fixtures

1,898.92

Due from banks and bankers in

this state

33,139.10

Due from banks and bankers in

other states

11,012.88

Currency

2,944.00

Silver, nickels, etc

326.47

Cash items

380.52

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

9,300.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,777.54

Due unpaid dividends

16.00

Individual deposits subject to

check

91,966.92

Time certificates

2,506.00

Cashier's checks

191.33

Total

$120,757.79

Total

$12o",757.79

TREASURER'S EEPORT

191

BANK OF TY TY, TY TY

W. E. WILLIAMS, President; R. S. CONNALLY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$1,934.50

Time loans

30,262.61

Overdrafts, secured

6,274.98

Overdrafts, unsecured

2,946.57

Bonds and stocks owned by the

bank

1,000.00

Banking house

2,578.73

Furniture and fixtures

2,516.93

Due from banks and bankers in

this state

10,913.69

Due from banks and bankers in

other states

819.07

Currency

1,728.00

Silver

374.22

Items

1,492.14

Clearing house

540.42

Advances on cotton

13,678.43

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, Interest and taxes paid.. 1,997.02

Due unpaid dividends

30.00

Individual deposits subject to check 36,781.38

Time certificates

8,121.67

Cashier's checks

130.22

Bills payable, including time cer-

tificates representing borrowed

money

15,000.00

Total

$77,060.29

Total

$77,060.29

BANK OF UNADILLA, UNAD1LLA

W. B. NICHOLS, President; T. M. WILLAMS, Asst. Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, secured Overdrafts, unsecured U. S. Liberty Bonds Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Advances on cotton
Internal revenue

$12,264.08 129,519.54 1,338,63 481.19 11,950.00 3,000.00 1,504.09
in 45,962.24
in 4,330.08 4,099.00 170.00 457.26
24,771.01
5.00

LIABILITIES.

Capital stock paid in

$50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 14,326.96

Individual deposits subject to

check

143,270.63

Savings deposits

654.31

Time certificates

28,885.35

Certified checks

507.83

Cashier's checks

2.207.04

Total

$239,852.12 Total

$239,852.12

COMMERCIAL BANK, UNADILLA

Date of Charter, Aug. 1st, 1907; Begun Business, Sept. 1, 1907 C. A. HORNE, President; M. T. SPBADLING, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$50,872.68

Time loans

80,635.48

Overdrafts, secured (cotton) ...

1.205.98

Overdrafts, unsecured

1,152.91

Bonds and stocks owned by the

bank

6,550.00

Banking house

10,479.26

Furniture and fixtures

2,383.25

Other real estate

2,182.00

Due from banks and bankers in

this state

91,677.35

Due from banks and bankers in

other states

35,379.52

Currency

8,285.00

Gold

135.00

Silver, nickels, etc

1,054.24

Cash items

3,523.28

Advances on cotton

19,132.92

LIABILITIES.

Capital stock paid in

$50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 12,003.19

Individual deposits subject to

check

203,589.48

Time certificates

47,559.28

Cashier's checks

1,496.92

Total

$314,648.87

Total

$314,648.87

192

TREASURER'S REPORT

BANK OF UNION POINT, UNION POINT

H. LAMB, President; C. J. THORNTON, Cashier STATEMENT OP CONDITION AT THE CLOSE OP BUSINESS, DEC. 15TH, 1917

RESOURCES. .

Time loans Overdrafts, unsecured Banking house Other real estate Due from banks and
this state Due from banks and
other states Currency
Gold Silver, nickels, etc Cash items Live stock

bankers bankers

$ 79,862.41 473.22
3,773.68 6,367.49 in 14,153.51 in 9,760.47 4,367.00
10.00 1,074.79
15.00 286.70

Total

$120,244.27

LIABILITIES.

Capital stock paid In

$25,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 6,227.57

Due unpaid dividends

292.50

Individual deposits subject to

check

83,516.13

Cashier's checks

208.07

Total

$120,244.27

FARMERS BANK, UNION POINT

Date of Charter, Sept., 1911; Begun Business, Sept., 1911 W. G. DAVANS, President; OTIS YOUNG, Cashier
STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 7,967.86

Time loans

31,728.48

Overdrafts, secured

270.70

Overdrafts, unsecured

150.34

Bonds and stocks owned by the

bank

1,000.00

Banking house

3,000.00

Furniture and fixtures

1,713.48

Due from banks and bankers in

this state

26,509.05

Due from banks and bankers in

other states

3,015.31

Currency

4,168.00

Gold

70.00

Silver, nickels, etc

247.82

Cash items

329.08

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid... 1,201.81

Individual deposits subject to check 53,230.35

Time certificates

9,220.00

Cashier's checks

1,517.96

Total

$80,170.12

Total

$80,170.12

ASHLEY TRUST CO., VALDOSTA Date of Charter, March 12th, 1912; Begun Business, April, 1913
D. C. ASHLEY, President; S. A. SMITH, Treasurer STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.
Demand loans Time loans Due from banks and bankers
this state

$13,850.00
402,117.14 In
6,055.52

Total

$422,022.66

LIABILITIES.

Capital stock paid in

$100,000.00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid,

earned and unearned

104,675.26

Time certificates

201,346.79

Trust funds

1,000.61

Total

$422,022.66

TREASURER'S REPORT

193

CITIZENS BANK OF VALDOSTA, VALDOSTA

Date of Charter, Dec, 1890; Begun Business, Jan., 1891 J. F. LEWIS, President; R. D. STEVENS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 1BTH, 1917

RESOURCES.

Demand loans

$ 68,149.03

Time loans

1,352,051.72

Overdrafts, secured

38,178.82

Overdrafts, unsecured

9,769.95

Bonds and stocks owned by the

bank

9,339.20

Banking house and furniture and

fixtures



8,000.00

Other real estate

7,671.48

Due from banks and bankers in

this state

93,996.12

Due from banks and bankers in

other states

153,072.20

Currency

19.26T.00

Gold Silver, nickels, etc

7752'-o5o0

Cash items

9,208.88

Advances on cotton and cotton

products

735,345.75

LIABILITIES.

Capital stock paid in

$

Undivided profits, less current

expenses, interest and taxes

paid

Due to banks and bankers in

this state

Due to banks and bankers in

other states

Individual deposits subject to

check

Savings deposits

Demand certificates

Time certificates

Certified checks

Cashier's checks

Notes and bills rediscounted

Reserved for taxes

Unearned interest

120,000.00
294,086.51 226,221.11 121,406.06 397,239.78 393,049.51 126,431.01 431,483.97
129.61 5,753.54 349,758.82 6,268.19 33,000.00

Total

$2,504,828.11

Total

.$2,504,828.11

EXCHANGE BANK, VALDOSTA

Date of Charter, July 30, 1912; Begun Business, Sept. 16, 1912 A. C. MIZEDL, President; PAUL MYDDLETON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$151 ,877.38

Time loans

23 ,824.09

Bonds and stocks owned by the

bank Furniture and fixtures

4,900.00 8,222.68

Other real estate

482.82

Due from banks and bankers in

this state

8,646.41

Due from banks and bankers in

other states

Currency

Gold Silver, nickels, etc

Cash items



563.68
756.00 65.00
334.53 624.11

LIABILITIES.

Capital stock paid in Surplus fund

$ 76,425.00 4,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,050.51

Due unpaid dividends

3.00

Individual deposits subject to check 54,530.07

Savings deposits Time certificates Certified checks Cashier's checks Notes and bills rediscounted

34,661.76 37,354.21
1.50 295.65 1,475.00

Bills payable, including time cer-

tificates representing borrowed

money

13,000.00

Total

$226,296.70 Total

$226,296.70

MERCHANTS BANK, VALDOSTA

Date of Charter, 1888; Begun Business, 188S H. Y. TILLMAN, President; A. F. WINN, JR., Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$

Time loans Overdrafts, unsecured

Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures

Other real estate

Due from banks and bankers in

this state Due from banks and bankers in

other states

Currency

Gold Silver, nickels, etc

Cash items Advances on cotton

417,186.64 627,283.41
20,605.56
29,381.95 14,141.71
3,783.32 3,459.50
109,198.73
27,107.06 9,972.00 150.00 1,464.65 9^048.13
41,506.33

Total

$1,314,288.99

LIABILITIES.

Capital stock paid in

$

Surplus fund Undivided profits, less current

expenses, interest and taxes

paid Due to banks and bankers in

this state Individual deposits subject to

check

Savings deposits

Time certificates

Certified checks

Cashier's checks

Notes and bi'ls rediscounted ....

Bills payable, including time

certificates representing bor-

rowed money

100,000.00 25,000.00
129,562.26 120,220.31 264,128.67 165,754.42 340,106.00
153.33 542.65 68,821.35
100,000.00

Total

$1,314,288.99

194

TREASURER'S EEPORT

SOUTHERN BANKING & TRUST CO., VALDOSTA

Date of Charter, 1914; Begun Business, March 19, 1914 J. T. BLALOCK, President; W. P. STATBN, Cashier
STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 81,495.93

Time loans

1,045,669.20

Bonds and stocks owned by the

bank

70,299.00

Banking house

32,500.00

Furniture and fixtures

11,011.88

Due from banks and bankers in

this state

376,372.08

Due from banks and bankers in

other states

8,805.47

Currency

32,780.00

Gold

405.00

Silver, nickles, etc

560.81

Cash items

21,940.74

Advances on cotton and prod-

ucts

285,885.69

Bonds borrowed

9,000.00

Total

$1,! 725.90

LIABILITIES.

Capital stock paid in

$

Surplus fund

Undivided profits, less current

expenses, interest and taxes

paid

Due to banks and bankers in

this state

Due to banks and bankers in

other states

Individual deposits subject to

check

Savings deposits

Time certificates

Certified checks

Cashier's cheeks

Bills payable, including time

certificates representing bor-

rowed money

Customers' acceptances

100,000.00 25,000.00
9,586.76 585,426.13
31,760.46 293,664.10 569,140.04 231,371.63
582.53 194.25
75,000.00 55,000.00

Total

$1,976,725.90

VALDOSTA BANK & TRUST CO., VALDOSTA

B. P. JONES, President; C. D. JONES, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$58,965.24

Time loans

479,344.27

Overdrafts, unsecured

6,003.09

Bonds and stocks owned by the

bank

10,000.00

Banking house

22,000.00

Furniture and fixtures

3,000.00

Other real estate

2,068.72

Due from banks and bankers in

this state

25,445.31

Due from banks and bankers in

other states

11,301.76

Currency

h

6,389.00

Gold

1,810.00

Silver, nickels, etc

794.49

Cash items

1,350.95

LIABILITIES.

Capital stock paid in

$200 ,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 42 495.02

Due unpaid dividends

12.00

Individual deposits subject to

check

145 964.29

Savings deposits

58 859.38

Time certificates

127 206.22

Certified checks

13.10

Cashier's checks

3 ,922.82

Bills payable, including time cer-

tificates representing borrowed

money

50 000.00

Total

$628,472.83

Total

$628,472.83

BANK OF VIDAL1A, V1DALIA

GEO. N. MATHEWS, President; J. H. CHILDS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 7,009, 81

Time loans

74,140.

Overdrafts, secured

1,814.

Overdrafts, unsecured

826. 73

Bonds and stocks owned by the bank

2,500, on

Banking house

3,327. 55

Furniture and fixtures

4,261 .50

Other real estate

6,394

Due from banks and bankers In

this state

47,614.12

Due from banks and bankers in

other states

1,038.01

Currency

2,715.00

Gold

-250.00

Silver, nickels, etc

603.74

Cash items

631.23

Depositors' guarantee fund

3,417.70

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,213.60

Individual deposits subject to

check

92,977.38

Savings deposits

7,455.35

Time certificates

38,665.88

Cashier's checks

1,233.08

Total

$156,545.29

Total

$156,545.29

^DHIHBBU

TREASURER'S REPORT

195

CITIZENS BANK, VIDALIA

W. T. JENKINS, President; J. B. SCHUMPERT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

i 3,315.32

Time loans

.69,847.65

Overdrafts, secured

6,912.00

Overdrafts, unsecured

539.0S

Bonds and stocks owned by the

bank

20,897.00

Banking house

16,331.52

Furniture and fixtures

4,392.51

Other real estate

5,688.75

Due from banks and bankers in

this state

48,270.51

Due from hanks and bankers in

other states

71,393.61

Currency

4,984.00

Gold

180.00

Silver, nickels, etc

1,895.12

Cash items

862.00

Clearing house

811.58

Advances on cotton

78,081.37

Other resources

203.00

LIABILITIES.

Capital stock paid in

$ 49,200.00

Surplus fund

9,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 4,364.42

Due unpaid dividends

26.00

Individual deposits subject to

check

249,899.01

Savings deposits

29,164.23

Time certificates

92,718.32

Due to clearing house

233.04

Total

$434,605.02

Total

$434,605.02

FARMERS BANK, VIDETTE

Date of Charter, November 17, 1910; Begun Business, Jan. 7, 1911 L. O. BENTON, President; A. B. KITCHENS, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Time loans

? 29,644.70

Bonds and stocks owned by the

bank

920-00

Banking house

2,675.00

Furniture and fixtures

1,700.00

Due from banks and bankers in

this state

54,718.38

Due from banks and bankers in

other states Currency

3,047.88 3'35?'?,2

Gold

35.00

Silver, nickels, etc

MJQ'QQ

Cash items Advances on cotton

,, }j'-* li.ivt.ist

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,660.47

Individual deposits subject to

check

90,215.78

Time certificates

2,416.21

Cashier's checks

733.21

Total

$111,025.67

Total

$111,025.67

AMERICAN BANKING CORPORATION, VIENNA

Date of Charter, February 17, 1917; Begun Business, February 21, 1917 T. N. GREGORY, President; J. N. HARGROVE, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$

Time loans

Overdrafts, secured



Bonds and stocks owned by the

bank

Banking house

Furniture and fixtures



Due from banks and bankers in

this state



Due from banks and bankers in

other states

Currency

Gold Silver, nickels, etc

Cash items Advances on cotton

Total

$365,719.42

LIABILITIES.

Capital stock paid in

$ 75,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 22,097.27

Individual deposits subject to

check

246,285.64

Postal savings deposits

1,408.74

Time certificates

18,350.11

Cashier's checks

2,577.66

Total

$365,719.42"

196

TREASURER'S EEPORT

BANK OF VIENNA, VIENNA

W. G. HAMILTON, President; JOE MORGAN, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS, DEC. 1ETH, 1917

RESOURCES.

Time loans

$127,879.32

Overdrafts, unsecured

2,573.77

Bonds and stocks owned by the

bank

3,938.00

Banking house

4,000.00

Due from banks and bankers in

this state

105,074.47

Due from banks and bankers in

other states

111,758.68

Currency

5,819.00

Gold

140.00

Silver, nickels, etc

1,255.97

Advances on cotton

92,357.44

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund and undivided pro-

fits, less current expenses, in-

terest and taxes paid

52,743.16

Individual deposits subject to

check

290,830.90

Time certificates

60,496.18

Certified checks .:

17.19

Cashier's checks

709.22

Total

$454,796.65

Total

$454,796.65

DOOLY SAVINGS BANK, VIENNA

,,m.TM

W- C- HAMILTON, President; JOE MORGAN Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS? DEC. 15TH, 1917 .

RESOURCES.

Time loans

$54,929.97

Bonds and stocks owned by the

bank

1,000.00

Furniture and fixtures

99.00

Due from banks and bankers in

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 32,614.47

Time certificates

31,362 00

this state

22,947.50

Total



.$78,976.47

Total

$78,976.47

BANK OF VILLA RICA, VILLA RICA TM ,,Date of Charter, 1899; Begun Business, 1899 W. B. CANDLER, President; S. O. FIELDER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS DEC 15TH 1917

RESOURCES.

Demand loans

$271,500.00

Time loans

49,036.37

Bonds and stocks owned by the

bank

580.00

Banking house

1,000.00

Furniture and fixtures

1.500..00

Other real estate

2,000.00

Due from banks and bankers in

LIABILITIES.

Capital stock paid in

! 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 55,988.17

Individual deposits subject to

check Time certificates Cashier's checks

227,806.31 38,487.33 708.43

this state

37,526.29

Due from banks and bankers in

other states

5,864.34

Currency

3,063.00

Gold

30.00

Silver, nickels, etc.

437.42

Cash items

452.82

Total

$372,990.24

Total .-.

$372,990.24

MERCHANTS & PLANTERS BANK, VILLA RICA

Date of Charter, April, 1907; Begun Business, April, 1907 J. M. MOORE, President; GEO. HARPER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$29,743.38

Time loans

56,987.93

Overdrafts, unsecured

399.93

Bonds and stocks owned by the

bank

1,000.00

Banking house

1,585.77

Furniture and fixtures

2,058.06

Due from banks and bankers in

LIABILITIES.

Capital stock paid in

$ 18,000.00

Undivided profits, less current ex-

penses, interest and taxes paid. . 22,034.55 Individual deposits subject to

check

67,651.04

Time certificates

9,712.96

Cashier's checks

1,677.06

this state

13,398.98

Due from banks and bankers in

other states

6,367.81

Currency

6,451.00

Gold

300.00

Silver, nickels, etc.

666.71

Cash items ..

116.04

Total

$119,075.61

Total

$119,075.61

HBU^HBHBBI

TREASURER'S REPORT

197

CITIZENS BANK, WACO

Date of Charter, Sept. 15, 1914; Begun Business, Nov. ". 19 W. W. HEATON, President; G.. L. JACOBS, Lasraer

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

*Hqs'l7

Time loans

^,os.ii

Bonds and stocks owned by the

Furniture' and fixtures

:. 1,750.00

Due from banks and bankers in

this state Currency
Gold Silver, nickels, etc Cash items Books and stationery .. Revenue stamp account

1B'H 781f.0n0n 10.00 121.53
1,467.79 300.00 25.00

LIABILITIES.

Capital stock paid in

.$15,000.00

Surplus fund



2,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5bl.<0

Individual deposits subject to ^ ^ ^

Demand certificates' Time certificates Cashier's checks

1?',6?1?9'.?1R6 530.14

Total

4

$51,427.64 Total

$51,427.64

BANK OF WADLEY, WADLEY

S.

Date of Charter, C. EVANS. President; S

Jany. 29th, 1902 D. MANDEVILLE,

Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

Sf 15,735.00

Time loans Overdrafts, secured

48,319.51 55,660.92

Overdrafts, unsecured

11.00

Bonds and stocks owned by the

bank Banking house Furniture and fixtures

3,848.87 6,705.76 3,930.91

Due from banks and bankers in

this state

37,506.10

Due from banks and bankers in

other states

26,363.75

Currency Gold Silver, nickels, etc

2,951.00 200.00 701.60

Cash items War revenue stamps

60.12 33.75

LIABILITIES

Capital stock paid in

$25, 000.00

Undivided profits, less current ex-

penses, interest and taxes Due unpaid dividends

paid..

10,

407.76 16.00

Individual deposits,
check Savings deposits Time certificates Cashier's checks

subject

to

868.45

2 720.41

1* 1

,322.48 ,693.19

Total

$202,028.29 Total

$202,028.2*

JEFFERSON COUNTY BANK, WADLEY

Date of Charter, Oct. 5, 1907; Begun Business, Oct. 11, 1907 G. H. WILLIAMS, President; W. C. MARION, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

,,,,,,,,,,,,

Demand loans

$5,100.00

Time loans



V^LTA,

Overdrafts, secured by cotton

13,609.34

Overdrafts, unsecured

"

319.4^

Bonds and stocks owned by the

bank

' i.ouu.uu

Banking'house (parent bank) ... 3.650.00

(Branch bank) Matthews

3,146.3/

Furniture and fixtures (parent

^

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

6,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,194.36

Individual deposits, subject to

check

126,553.33

Time certificates

38,396.j>3

Cashier's checks

275.90

(Branch) Matthews

Due from banks this state

and

bankers :

;in

Due from banks and bankers in

other states Currency

............_....

3,186.63 37,572.b9 !i'qinn "-631.00

Silver, nickels,"etc.' Revenue stamps Clearinghouse Books and stationery
Total

1,6?R-?n
ATSSI
i',,36i4...1oc
$197,420.12

Total

$197,420.12

198

TREASURER'S REPORT

CITIZENS BANK, WARRENTOf

Date of Charter, 1902: Begun Business, April B. P. DAVIS, President; C. R. FITZPATRICK, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES

Demand loans Time loans Overdrafts, secured ..'.'.'.'" Overdrafts, unsecured Bonds and stocks owned by

$ 30,789.45
159,812.45 3,406.66 3,251.71
the

bank

Banking house

!.!!!!

Furniture and fixtures '.'.'.

Other real estate

17,300.00 17,149.56
1,850.50 3,213.21

Due from banks and bankers in

this state

210,617.69

Due from banks and bankers in

other states Currency Silver, nickels, etc Cash items

24,854.42 15,407.00
625.47 5,454.10

LIABILITIES.

Capital stock paid in

$ 50,000 00

Surplus fund

15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 12,519.09

Individual deposits, subject to

_ check

400,865.44

Cashier's checks

5,347 69

Total

.$483,732.22 Total

$483,732.22

PLANTERS & MERCHANTS BANK, WARRENTON

G. R. MANN, President; J. C. EVANS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

,,

RESOURCES.

Demand loans Time loans

10,982.00 63,657.91

Overdrafts, secured

3,914.42

Overdrafts, unsecured

4,459.58

Bonds and stocks owned by the

bank
Banking house Furniture and fixtures

...'.'."

5,200.00 3,000.00 2,000.00

Due from banks and bankers in

this state

34,931.77

Due from banks and bankers iii

other states

11,890.31

Currency

] 4,811.00

Silver, nickels, etc

...... 1,589.84

Cash items

1,557.24

Advances on cotton

30,331.87

LIABILITIES.

Capital stock paid in

$ 25 000 00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2 671.39

Individual deposits, subject to

check

146,306.79

Time certificates

2,900.20

Cashier's checks

L447.56

TOtal

$178,325.94

Total

$i7M25.94

FARMERS & MERCHANTS BANK, WORTHEN

Date of Charter get 30, 1911; Begun Business, Soon After G. C. WALKER, President; T. W, BENSON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 1,000.00

Time loans

31253 92

Overdrafts, secured

13]oio]56

Overdrafts, unsecured

2^059 53

Bonds and stocks owned by the ,,ba,n.k Banking house

4,620.00 2,500 00

Furniture and fixtures

2,462 44

Due from banks and bankers in

this state

27,831.29

Due from banks and bankers in

other states

2 579 40

Currency

5,744.00

Gold ......

532.50

Silver, nickels, etc

1,153.29

Drafts, collection

10^225 70

Advances on cotton and cotton

seed

14,587.55

- LIABILITIES.

Capital stock paid in

$15 000 00

Undivided profits, less current ex-

penses, interest and taxes paid..

386 71

Due unpaid dividends

gs 00

Individual deposits, subject to

check

84,473.77.

I lme certificates

19,553 84

Certified checks

' 4.'so

Cashier's checks

53 06

Total

$119,560.18 Total

$119,560.18

TREASURER'S EEPORT

199

BANK OF WARWICK, WARWICK

Date of Charter, November 28th, 1910; Begun Business, January 3rd, 1911 A. J. GAUGHF, President; M. L. IVEY, Cashier

STATEMENT OP CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 3,087.68

Time loans

26,480.30

Overdrafts, unsecured

339.67

Bonds and stocks owned by the

bank

134.00

Banking house

1,700.00

Furniture and fixtures

1,600.00

Other real estate

200.00

Due from banks and bankers in

this state

21,726.28

Due from banks and bankers in

other states Currency

9,422.37 4,905.00

Silver, nickels, etc Cash items

321.65 2,210.88

Advances on cotton

48,217.37

Revenue stamps

20.00

LIABILITIES.

Capital stock paid in

$ 20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 6,629.74

Individual deposits, subject to

check

83,796.55

Time certificates

7,458.20

Cashier's checks

2,480.71

Total

$120,365.20 Total

$120,365.20

WASHINGTON EXCHANGE BANK, WASHINGTON

Date of Charter, Dec, 1888; Begun Business, Feb., 1889 J. R. DYSON, President; J. R. DYSON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 80,037.85

Time loans

239,633.10

Overdrafts, secured

2,532.46

Liberty Bonds

10,000.00

Furniture and fixtures

6,270.82

Due from banks and bankers in

this state

69,857.61

Due from banks and bankers in

other states

47,248.54

Currency

17,296.00

Silver, nickels, etc

770.04

Cash items

3,926.53

LIABILITIES.

Capital stock paid in

$100,000.00

Surplus fund

12,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,655.61

Due unpaid dividends

1,307.00

Individual deposits, subject to

check

309,164.82

Demand certificates

49,445.52

Total

$477,572.95 Total

$477,572.95

WASHINGTON LOAN & BA NKING CO., WASHINGTON

Date of Charter, 1890-1891; Begun Business, May, 1895 W. T. JOHNSON, President; T. J. BARKSDALE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans Time loans

$ 49,851.56 249,577.19

Overdrafts, secured

'.... 9,473.90

Furniture and fixtures

4,515.48

Due from banks and bankers in

this state

84,963.51

Due from banks and bankers in

other states

8,299.07

Currency

5,691.00

Gold

875.00

Silver, nickels, etc

1,534.48

Cash items

9,670.55

Advances on cotton

58,309.06

LIABILITIES.

Capital stock paid in

$ 50,000.00

Surplus fund

50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 17,380.46

Individual deposits subject to

check

343,741.61

Savings deposits

21,638.73

Total

$482,760.80 Total

$482,760.80

200

TREASURER'S EEPORT

OCONEE COUNTY BANK, WATKINSVILLE

Date of Charter, 1904; Begun Business, Oct., 1904 A. W. ASHFORD, President; C. A. ASHFORD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 4,322.15

Time loans

93,609.73

Overdrafts, unsecured

7,356.14

Bonds and stocks owned by the

bank

-215.00

Furniture and fixtures

2,500.00

Due from banks and bankers in

this state

17,375.44

Due from banks and bankers in

other states

5,943.92

Currency Silver, nickels, etc

5,831.00 407-

Cash items Advances on cotton

,,<>?: r? 118,498.57

LIABILITIES.

Capital stock paid in

$37,500.00

Surplus fund

2,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,336.92

Due unpaid dividends

140.00

Individual
check

deposits

subject

to ni'f?Al

Time certificates

'2tcol

Cashier's checks

515.28

Totai

$261,732.76

Total

$261,732.76

CITIZENS BANK, WAVERLY HALL

Date of Charter, Sept. 13, 1909; Begun Business, Sept. 9, 1909 JOHN MOULTRIE, President; G. P. STANFORD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, secured Overdrafts, unsecured Banking house Furniture and fixtures Due from banks and bankers
this state Due from banks and bankers
other states Currency
Silver, nickels, etc Cash items Advances on cotton Depositors' guarantee fund Mutual Fire Ins. fund Liberty Bonds War Savings Stamps

% 9,628.41 13,676.31 1,935.62 840.70 1,984.51 2,071.64
in 14,371.39
in 829.31
2,981.00 463-^
2,186.56 2,870.24 1,000.00
287.51 4,234.00
899.00

Total

$60,259.83

LIABILITIES.

Capital stock paid in

$15,800.00

Undivided profits, less current ex- ,,,-,_ penses, interest and taxes paid.. 912.17

Individual deposits subject to

check Demand certificates

34,28D.D4
500.00

Time certificates Cashier's checks

'Voiaa 183.69

Total

i,259.83

CITIZENS BANK, WAYCROSS Date of Charter, June 7, 1910; Begun Business, July 1, 1910
H. D. REED, President; L. S. PRICE, JR., Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency
Gold Silver, nickels, etc Cash items Clearing house Expenses and interest paid

$ 2,945.02 225,950.53 9,688.47 9.195.97 9,103.28
in 2,201.22
in 4,940.38 8,175.00
120.00 2,915.85 2,485.95 7,525.90 5,132.51

LIABILITIES.

Capital stock paid in

% 50,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,148.29

Individual deposits subject to

check

116,927.53

Savings deposits

20,724.37

Time certificates

32,746.40

Certified cheeks

306.17

Cashier's checks

17,527.32

Bills payable, including time cer-

tificates representing borrowed

money

42,000.00

Total

$290,380.08

Total

$290,380.08

TREASURER'S REPORT

201

BANK OF WAYNESBORO, WAYNESBORO

C. W. SKINNER, President; H. D. NORTH, Cashier

STATEMENT OF CONDITION AT THE CLOSE OP BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 57,297.50

Time loans

277,981.99

Overdrafts, unsecured

2,777.08

Bonds and stocks owned by the

bank

3,550.00

Furniture and fixtures

5,372.65

Due from banks and bankers in

this state

47,240.66

Due from banks and bankers in

other states

34,185.11

Currency

8,583.00

Silver, nickels, etc

612.13

Cash items

7 o.l2

Clearing house

7,727.88

Thrift stamps

899.00

Revenue stamps

21.00

Insurance investment

250.00

LIABILITIES,

Capital stock paid in

$ 50,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 15,249.34

Individual deposits spbject to

check

302,100.53

Savings deposits

74,083.65

Cashier's checks

137.60

Total

$446,571.12

.$446,571.12

CITIZENS BANK, WAYNESBORO

R. C. NEELY, President; JOE J. REYNOLDS, JR., Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 45,767.32

Time loans

134,816.13

Overdrafts, unsecured

255.18

Bonds and stocks owned by the

bank

4,080.00

Banking house

21,000.00

Furniture and fixtures

3,315.00

Other real estate

18,997.54

Due from banks and bankers in

this state

28,401.18

Due from banks and bankers in

other states

4,914.53

Currency

21,771.00

Silver, nickels, etc

729.69

Cash items

84.69

Clearing house

5,264.27

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 16,857.01

Individual deposits subject to

check

217,609.98

Time certificates

6,500.00

Cashier's checks

731.48

Reserve for doubtful accounts

2,698.12

Total

$289,396.53

Total

$289,396.53

PEOPLES SAVINGS BANK, WAYNESBORO

Date of Charter, March 7, 1911; Begun Business, April 3, 1911 W. M. FULCHER, President; P. B. LEWIS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Time loans

$ 55,470.28

Overdrafts, secured

3,468.84

Bonds and stocks owned by the

bank

3,899.00

Banking house

1,031.99,

Furniture and fixtures

1,713.83

Due from banks and bankers in

this state

81,538.08

Due from banks and bankers in

other states

10,675.04

Currency

7,000.00

Silver, nickels, etc

1,104.29

Cash items

52.43

Clearing house

15.00

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund, undivided profits,

less current expenses, Interest

and taxes paid

3,179.40

Individual deposits subject to

check

114,000.92

Savings deposits

21,468.84

Cashier's checks

2,319.62

Total

$165,968.78 Total

$165,968.78

202

TREASURER'S REPORT

WAYNESBORO SAVINGS BANK, WAYNESBORO

Date of Charter, March 6th, 1911; Begun Business, March 10th, 1911 JAS. H. WHITEHEAD, President; MATTIE ARMBNTROUT WARREN, Sec.-Treas.

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 8,000.00

Time loans

76,614.68

Bonds and stocks owned by the

bank

1,000.00

Due from banks and bankers in

this state

12,798.81

Due from banks and bankers in

other states

17,500.00

LIABILITIES.

Capital stock paid in

$15,000.00

Surplus fund

7,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,724.96

Savings deposits

90,038.53

Time certificates

loO.uu

Total

$115,913.49

Total

$115,913.49

BANK OF WESTON, WESTON

Date of Charter, May 6, 1913; Begun Business, March 20, 1913 G. W. SIMS, President; S. W. ADAMS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 3,191.10

Time loans

47,482.56

Overdrafts, unsecured

60.70

Bonds and stocks owned by the

bank

1,750.00

Banking house

1,924.67

Furniture-and fixtures

1,600.14

Other real estate

250.00

Due from banks and bankers in

this state

16,653.29

Due from banks and bankers In

other states

17,173.58

Currency

2,089.00

Gold

22.50

Silver, nickels, etc

283.66

Cash items

544.21

Advances on cotton

20,163.01

LIABILITIES.

Capital stock paid in

$ 15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,817.45

Due to banks and bankers in oth-

er states

14,500.00

Due unpaid dividends

16.00

Individual deposits subject to

check

63,240.09

Savings deposits

100.76

Time certificates

15,725.99

Cashier's checks

2,788.19

Total

$113,1 :.48

Total

$113,188.48

CITIZENS BANK, WEST POINT

Date of Charter, Feb. 17, 1917; Begun Business, March 15, 1917 J. A. AVARY, President; R. B. DIXON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 42,700.00

Time loans

62,383.64

Bonds and stocks owned by the

bank

28,248.00

Furniture and fixtures

4,609.95

Due from banks and bankers in

this state

66,199.91

Due from banks and bankers in

other states

18,807.56

Currency

16,237.00

Gold

127.50

Silver, nickels, etc

2,584.57

Cash items

5,499.23

Clearing house

24.30

LIABILITIES.

Capital stock paid in

$ 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,572.40

Individual deposits subject to

check

130,220.48

Savings deposits

65,399.78

Certified checks

18.85

Cashier's checks

210.15

Total

...$247,421.66

Total

$247,421.66

TREASURER'S EEPORT

203

BANK OF WHITE, WHITE

Date of Charter, June 15th, 1910; Begun Business, Aug. 18th, 1910 R. B. WILSON, President; D. W. WATSON, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Time loans

$20,965.32

Overdrafts, secured

253.90

Overdrafts, unsecured

344.73

Bonds and stocks owned by the

bank

1,000.00

Banking house

2,500.00

Furniture and fixtures

2,130.00

Due from banks and bankers in

this state

7,470.71

Due from banks and bankers in

other states

369.67

Currency

1,129.00

Gold

47.50

Silver, nickels, etc

98.49

Cash items

103.45

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 189.22

Individual deposits subject to

check

18,010.87

Cashier's checks

361.64

Bills payable, including time cer-

tificates representing borrowed

money

2,851.02

Total

$36,412.75

Total

$36,412.75

WHITESBURG BANKING CO., WHITESBURG

Date of Charter, Oct. 19, 1907; Begun Business, Nov. 14, 1907 W. T. JONES, President; T. J. JONES, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Time loans

$21,531.61

Overdrafts, secured, by cotton

16,366.98

Bonds and stocks owned by the

bank, Liberty Bonds

200.00

Banking house

1,060.25

Furniture and fixtures

2,383.33

Due from banks and bankers in

this state

17,328.68

Currency

3,281.00

Silver, nickels, etc

800.07

LIABILITIES.

Capital stock paid in

$15,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,471.40

Individual deposits subject to

check

38,984.67

Cashier's checks

495.85

Total

$62,951.92

Total

$62,951.92

BANK OF WHITE PLAINS, WHITE PLAINS

Date of Charter, June 11th, 1904; Begun Business, July 8th, 1904 W. C. DAVIDSON, President; T. C. KING, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$10,238.16

Time loans

41,264.41

Overdrafts, unsecured

1,469.81

Bonds and stocks owned by the

bank

2,000.00

Banking house

3.500.00

Furniture and fixtures Other real estate

1,500.00 2,500.00

Due from banks and bankers in

this state

34,211.67

Due from banks and bankers in other states
Currency Gold Silver, nickels, etc Cash items Advances on cotton

3,233.62 7,477.00
2.50 597.67 3,117.48 6,403.06

Total

$117,515.38

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,170.37

Individual deposits subject to

check

85,021.84

Time certificates

5,592.44

Cashier's checks

730.73

Total

$117,515.38

204

TREASURER'S REPORT

BANK OF W1LLACOOCHEE, WILLACOOCHEE

J. A. GASKINS, President; C. B. McCALL, Cashier STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Time loans

$ 58,817.74

Overdrafts, unsecured

601.17

Banking house and furniture and

fixtures

6,025.00

Other real estate

567.96

Due from banks and bankers in

this state

44,581.60

Due from banks and bankers in

other states

5,764.48

Currency

2,699.00

Gold

330.00

Silver, nickels, etc

593.07

Cash items

461.20

Advances on cotton

14,542.80

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,755.34

Individual deposits subject to

check

67,664.93

Time certificates

39,096.16

Cashier's checks

384.97

Cash over

82.62

Total

$134,984.02

Total

$134,984.02

MERCHANTS & FARMERS BANK, WILLACOOCHEE

Date of Charter, 1906; Begun Business, 1906 B. G. OHERRT, President
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 7,036.85

Time loans

68,812.38

Overdrafts, secured

1,213.16

Overdrafts, unsecured

800.63

Bonds and stocks owned by the

bank

320.00

Banking house

2,400.00

Furniture and fixtures

2,300.00

Other real estate

507.33

Due from banks and bankers in

this state

44,845.04

Due from banks and bankers in

other states

1,083.82

Currency

1,320.00

Gold

325.00

Silver, nickels, etc

560.00

Cash items

1,235.79

Advances on cotton

27,461.68

LIABILITIES.

Capital stock paid in

$ 18,000.00

Surplus fund

7,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 6,951.25

Due to banks and bankers in this

state

10,000.00

Individual deposits subject to

check

67,032.33

Time certificates

48,820.27

Cashier's checks

1,917.83

Total

$160,221.68

Total

$160,221.6

BANK OF WILLIAMSON, WILLIAMSON

Date of Charter, Nov. 5, 1912; Begun Business, Dec. 6, 1912 W. D. DINGLER, President; P. W. VAUGHN, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 2,968.10

Time loans

52,020.50

Overdrafts, secured

2,927.17

Overdrafts, unsecured

278.00

Bonds and stocks owned by the

bank

5,425.00

Banking house

2,307.60

Furniture and fixtures

1,763.73

Due from banks and bankers in

this state

35,254.36

Due from banks and bankers in

other states

4,450.48

Currency

1,296.00

Gold

70.00

Silver, nickels, etc

131.69

Cash items

...

22.70

Advances on cotton

25,020.48

Depositors' guarantee fund

2,920.55

Fire Irts. fund

120.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

3,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 3,773.75

Individual deposits subject to

check

99,253.78

Savings deposits

2,915.79

Time certificates

12,988.53

Cashier's checks

44.51

Total

$136,976.36

Total

$136,976.36

waummmaMmai

TREASURER'S RBPORV

205

FARMERS BANK, WINDER

Date of Charter, Feb. 28, 1914; Begun Business, March 28, 1914 JOHN A. THOMPSON, President; D. F. THOMPSON, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 1,950.54

Time loans'

81,068.46

Overdrafts, unsecured

8,203.36

Bonds and stocks owned by the

bank

150.00

Furniture and fixtures

2,500.00

Due from banks and bankers in

this state

32,293.20

Due from banks and bankers in

other states

10,236.48

Currency

3,482.00

Gold

120.00

Silver, nickels, etc

1,220.79

Cash items

2,798.92

Advances on cotton

22,883.30

Profit and loss

120.65

Collection account

146.50

Total

$167,174.20

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

2,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,823.78

Individual deposits subject to

check

114,111.25

Time certificates

22,445.50

Cashier's checks

1,293.67

Total

$167,174.20

NORTH GEORGIA TRUST & BANKING CO., WINDER

Date of Charter, April 22nd, 1915; Begun Business, April 30th, 1914 W. C. HORTON, President; A. A. THOMAS, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 16TH, 1917

RESOURCES.

Demand loans

$ 14,089.07

Time loans

150,554.72

Overdrafts, unsecured

4,319.69

Bonds and stocks owned by the

bank

1,000.00

Banking house

1,707.00

Furniture and fixtures

6,929.66

Due from banks and bankers in

this state

13,815.59

Due from banks and bankers in

other states

9,425.41

Currency

5,400.00

Gold

33.50

Silver, nickels, etc

768.10

Cash items

6,966.74

Advances on cotton

18,202.06

Notes and accounts receivable (in-

surance department)

4,158.99

Bills of exchange

38.30

LIABILITIES.

Capital stock paid in

$ 50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 6,339.65

Due unpaid dividends

200.00

Individual deposits subject to

check

126,098.37

Savings deposits

3,229.79

Time certificates

39,042.75

Cashier's checks

1,998.27

Notes and bills rediscounted

10,500.00

Total

$237,408.83

Total

$237,408.83

PITTARD BANKING COMPANY, WINTERVILLE

Date of Charter, Jany. 9, 1911; Begun Business, Jan. 20, 1911 J. T. PITTARD, President; J. S. COILE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 7,900.00

Time loans

68,794.95

Overdrafts, unsecured

2.78

Bonds and stocks owned by the

bank

2,000.00

Furniture and fixtures

1,591.55

Due from banks and bankers in

this state

58,198.17

Due from banks and bankers in

other states

57,333.26

Currency

4,849.00

Gold Silver, nickels, etc

840.00 495.54

Cash items

378.64

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

5,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,016.56

Individual deposits subject to

check

145,942.86

Demand certificates

4,151.47

Time certificates

13,236.89

Cashier's checks

2,035.84

Total

$202,383.89

Total

$202,383.89

206

TREASURER'S EEPORT

PEOPLES BANK, WOODBURY

Date of Charter, July 10th, 1907; Begun Business, July 10th, 1907 W. J. SMITH, President; J. M. MILLER, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 9,788.41

Time loans

43,410.05

Overdrafts, secured

26.08

Overdrafts, unsecured

358.86

Bonds and stocks owned by the

hank

1,540.00

Banking house

2,499.04

Furniture and fixtures

1,722.23

Due from banks and bankers in

this state

17,966.12

Due from banks and bankers in

other states

17,439.68

Currency

5,442.00

Gold

195.00

Silver, nickels, etc

483.73

Cash items

25.26

Advances on cotton

6,918.06

Depositors' guarantee fund

3,223.60

Mutual Fire fund

120.00

Liberty Bonds

3,930.00

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

.. 1,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 1,229.08

Due unpaid dividends

40.00

Individual deposits subject to

check

70,543.83

Savings deposits

3.50

Time certificates

27,047.23

Certified checks

11.35

Cashier's checks

213.13

Total

$115,088.12

Total

$115,088.12

WOODBURY BANKING CO., WOODBURY

Date of Charter Special Act Legislature; Begun Business, 1902 J. D. SUTTON, President; C. W. POWERS, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 44,250 00

Time loans

65,581.63

Overdrafts, unsecured

403.89

Bonds .and stocks owned by the

bank

5,595.00

Furniture and fixtures

4,000.00

Due from banks and bankers in

this state

19,245.69

Due from banks and bankers in

other states

2,042 41

Currency

5,590.00

Gold Silver, nickels, etc

10.00 844.38

LIABILITIES.

Capital stock pai din

$ 21,100.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 7,594.14

Individual deposits subject to

check

107,629.86

Time certificates

7,709.00

Cashier's checks

3,530.00

Total

$147,563.00

Total

$147,563.00

FARMERS BANK, WOODCLIFF

Date of Charter, Aug. 26th. 1912 H. H. PARKER, 1st Vice-President; T. G. HARRIS, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$16,984.00

Time loans

57,038.98

Overdrafts, secured

9,516.23

Overdrafts, unsecured

466.38

Bonds and stocks owned by the

bank

6,000.00

Banking house

1,500.00

Furniture and fixtures

1,000.00

Due from banks and bankers in

this state

20,763.68

Due from banks and bankers in

other states

4,491.27

Currency

2,430.00

Gold

7.50

Silver, nickels, etc

514.11

Cash items

155.24

LIABILITIES.

Capital stock paid in

$15,000.00

Surplus fund

2,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,402.47

Due unpaid dividends

12.00

Individual deposits subject to

check

80,503.60

Time cerificates

16,609.80

Cashier's checks

839.52

Total

$120,867.39

Total

$120,867.39

TREASURER'S EEPORT

207

WOODLAND BANK, WOODLAND

Date of Charter, Nov. 18, 1907; Begun Business, 1907 S. P. WOODALL, President; M. H. KING, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Gold Silver, nickels, etc Cash items Advances on cotton Other resources Liberty Bonds

$ 50.00 23,614.55 2.31 2,669.97 2,631.37 367.60
in 50,305.29
in 1,064.18 3,145.00 92.50 174.62 220.07
55,504.82 239.90 300.57

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 5,388.76

Individual deposits subject to

check

114,670.60

Time certificates

4,983.01

Cashier's checks

340.38

Total

$140,382.75

Total

$140,382.75

BANK OF WOODSTOCK, WOODSTOCK

Date of Charter, 1905; Begun Business, Oct. 10, 1905 J. H. JOHNSTON, President; W. L. DuPREE, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.



Time loans

$ 45,859.08

Overdrafts, unsecured

7,271.97

Bonds and stocks owned by the

bank

2,500.00

Banking house

3,168.83

Furniture and fixtures

1,990.61

Due from banks and bankers in

this state

79,027.36

Due from banks and bankers in

other states

532.68

Cash items

6,100.39

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

9,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,072.18

Individual deposits subpeet to

check

104,915.58

Time certificates

5,413.36

Certified checks

25.15

Cashier's checks

24.65

Total

$146,450.92

Total.

M6.450.92

WOOLSEY BANK, WOOLSEY

Date of Charter, Oct., 1907; Begun Business, Oct., 1907 R. P. MINTER. President; ' W. L BURCH, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house
Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items Advances on cotton

$3,500.00 18,576.54 550.00 1,506.82
1,783.00 1,851.25 in 24,362.48 in 3,178.24 2,600.00
263.00 298.27 37,998.69

LIABILITIES.

Capital stock paid in

$15,000.00

Surplus fund

3,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,362.79

Due unpaid dividends

128.00

Individual deposits subject to

check

66,138.95

Time certificates

9,781.85

Cashier's checks

56.70

Total

.$96,468.29

Total

.$96,468.29

208

TREASURER'S BEPORT

CITIZENS BANK, WRENS

Date of Charter, Oct. 1st, 1907; Begun Business, Nov. 1st, 1907 S. M. McNAIR, President; JOE R. HOWARD, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 5,721.82

Time loans

98,046.33

Overdrafts, unsecured

3.72

Bonds and stocks owned by the

bank

375.00

Banking house

2,229.75

Furniture and fixtures

2,898.88

Due from banks and bankers in

this state

27,683.55

Due from banks and bankers in

other states

7,476.96

Currency

6,835.00

Gold

66.00

Silver, nickels, etc

419.41

Collection account

34.00

Advances on cotton

43,220.00

LIABILITIES.

Capital stock paid in

$15,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 20,585.51

Due unpaid dividends

2,000.00

Individual deposits subject to

check

112,517.64

Time certificates

44,423.86

Cashier's checks

483.41

Total

$195,010.42

Total

$195,010.42

WRENS BA NK, WRENS

ALEX AVERA, President R. L. PATRICK, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Time loans

$ 64,585.50

Overdrafts, unsecured

66.69

Bonds and stocks owned bv the

bank

3,750.00

Banking house

2,000.00

Furniture and fixtures

1,500.00

Due from banks and bankers in

this state

12,750.13

Due from banks and bankers in

other states

14,593.08

Currency

4,424.00

Gold

200.00

Silver, nickels, etc

455.68

Depositors' guarantee fund

3,368.30

LIABILITIES.

Capital stock paid in

$ 15,000.00

Surplus fund

2,793.36

Undivided, profits, less current ex-

penses, interest and taxes paid.. 1,448.70

Due unpaid dividends

110.40

Individual deposits subject to

check

73,051.27

Time certificates

14,771.22

Cashier's checks

518.43

Total

$107,693.38

Total

$107,693.38

BANK OF WRIGHTSVILLE, WRIGHTSVILLE

E. A. LOVETT, President; R. L. KENT, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 38,631.71

Time loans

62,743.75

Overdrafts, secured (cotton and

seed)

208,781.99

Bonds and stocks owned by the

bank

12,720.00

Furniture and fixtures

5,684.51

Due from banks and bankers in

this state

52,896.16

Due from banks and bankers in

other states

33,122.26

Currency

10,652.00

Gold

37.50

Silver, nickels, etc.

902.38

Cash items

77.58

Advances on cotton

39,308.12

LIABILITIES.

Capital stock paid in

$ 25,000.00

Surplus fund

50,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 13,822.09

Individual deposits subject to

check

351,231.74

Time certificates

23,071.92

Cashier's checks

2,474.56

Total

$465,600.31

Total

$465,600.31

TREASURER'S REPORT

209

EXCHANGE BANK OF WRIGHTSVILLE, WRIGHTSVILLE

Date of Charter, Dec. 20th, 1909; Begun Business, Dec. 13th, 1909 P. B. BEDINGFIELD, President; B. B. DALEY, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 93,340.62

Time loans

30,577.76

Overdrafts, secured by cotton and

cotton seed

305,002.25

Bonds and stocks owned by the

bank

12,200.00

Banking house, furniture and fix-

tures

10,200.00

Due from banks and bankers in

this state

29,355.83

Due from banks and bankers in

other states

58,284.10

Currency

11,996.00

Gold

815.00

Silver, nickels, etc

556.32

Cash items

25.32

Advances on cotton

12,129.70

LIABILITIES.

Capital stock paid in

$ 35,000.00

Surplus fund

20,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 11,269.67

Individual deposits subject to

check

491,961.09

Time certificates

4,928.00

Cashier's checks

1,324.14

Total

$564,482.90

Total

$564,482.90

YATESVILLE BANKING CO., YATESVILLE

Date of Charter, Dec. 18th, 1906; Begun Business, Aug. 27th, 1906 P. F. BROWN, President; ERICSON McNEILL, Cashier

STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES. Demand loans Time loans Overdrafts, unsecured Banking house Furniture and fixtures Other real estate Due from banks and bankers
this state Due from banks and bankers
other states Currency Silver, nickels, etc Cash items Advances on cotton Liberty Bonds

$ 6,676.17 10,577.55 2,872.42 2,000.00 1,975.00 2,038.00
in 23,435.48
in 6,741.00 5,771.00 248.96 1,350.61 58,018.36 2,800.00

LIABILITIES.

Capital stock paid in

$ 17,500.00

Surplus fund

3,500.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 2,573.19

Individual deposits subject to

check

76,259.40

Time certificates

24,356.54

Cashier's checks

315.42

Total

$124,504.55

Total

$124,504.55

BANK OF ZEBULON, ZEBULON

Date of Charter, Jan. 20, 1905; Begun Business, Jan. 31, 1905 W. J. FRANKLIN, President; C. R. GWYN, Cashier
STATEMENT OF CONDITION AT THE CLOSE OF BUSINESS, DEC. 15TH, 1917

RESOURCES.

Demand loans

$ 7,695.00

Time loans

35,036.26

Overdrafts, secured

47,450.87

Overdrafts, unsecured

2,018.89

Bonds and stocks owned by the

bank

3,751.02

Banking house

1,500.00

Furniture and fixtures

1,829.96

Due from banks and bankers in

this state

158,250.63

Due from banks and bankers in

other states

18,937.24

Currency

5,852.00

Gold

1,332.50

Silver, nickels, etc

481.75

Cash items

878.89

LIABILITIES.

Capital stock paid in

$ 25,000.00

Undivided profits, less current ex-

penses, interest and taxes paid.. 20,200.48

Individual deposits subject to

check

210,361.58

Time certificates

"25,998.57

Cashier's checks

3,454.38

Total

,

$285,015.01

Total

.$285,015.01

&4 /7/7

UNIVERSITY OF GEORGIA UBJ
3 S106 DS424 2402