Home > Bank of Elbow Lake > Cash and Balances Due

Bank of Elbow Lake, Cash and Balances Due

1994-12-31Rank
Cash & Balances due from depository institutions$1,060,00010,652
By balance type:
Cash items in process of collection$87,00011,840
Collection in domestic offices$09,002
Currency and coin in domestic offices$87,00010,163
Balances due from depository institutions in U.S.$973,0006,486
U.S. branches of foreign banksNANA
Balances due from foreign banksNANA
Foreign branches of U.S. banksNANA
Balances due from FRBNANA
Memoranda:
Total noninterest-bearing balances$961,0009,788
1993-12-31Rank
Cash & Balances due from depository institutions$1,242,00010,921
By balance type:
Cash items in process of collection$108,00012,189
Collection in domestic offices$09,408
Currency and coin in domestic offices$108,00010,180
Balances due from depository institutions in U.S.$1,134,0006,822
U.S. branches of foreign banksNANA
Balances due from foreign banksNANA
Foreign branches of U.S. banksNANA
Balances due from FRBNANA
Memoranda:
Total noninterest-bearing balances$1,143,0009,502
1992-12-31Rank
Cash & Balances due from depository institutions$1,371,00011,328
By balance type:
Cash items in process of collection$65,00013,279
Collection in domestic offices$09,772
Currency and coin in domestic offices$65,00011,189
Balances due from depository institutions in U.S.$1,306,0006,992
U.S. branches of foreign banksNANA
Balances due from foreign banksNANA
Foreign branches of U.S. banksNANA
Balances due from FRBNANA
Memoranda:
Total noninterest-bearing balances$1,371,0009,397