Home > Boatmen's Bank of Sigourney > Cash and Balances Due

Boatmen's Bank of Sigourney, Cash and Balances Due

1993-12-31Rank
Cash & Balances due from depository institutions$1,177,00011,106
By balance type:
Cash items in process of collection$229,00010,809
Collection in domestic offices$52,0006,970
Currency and coin in domestic offices$177,0009,091
Balances due from depository institutions in U.S.$948,0007,563
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$1,177,0009,400
1992-12-31Rank
Cash & Balances due from depository institutions$1,891,0009,889
By balance type:
Cash items in process of collection$200,00011,473
Collection in domestic offices$13,0008,404
Currency and coin in domestic offices$187,0008,967
Balances due from depository institutions in U.S.$1,691,0005,860
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$1,891,0007,844