Home > First Bank & Trust Co. of Fort Gibson > Cash and Balances Due
First Bank & Trust Co. of Fort Gibson, Cash and Balances Due
1992-12-31 | Rank | |
Cash & Balances due from depository institutions | $652,000 | 13,270 |
By balance type: | ||
Cash items in process of collection | $160,000 | 11,933 |
Collection in domestic offices | $48,000 | 7,259 |
Currency and coin in domestic offices | $112,000 | 10,299 |
Balances due from depository institutions in U.S. | $492,000 | 10,410 |
U.S. branches of foreign banks | NA | NA |
Balances due from foreign banks | NA | NA |
Foreign branches of U.S. banks | NA | NA |
Balances due from FRB | NA | NA |
Memoranda: | ||
Total noninterest-bearing balances | $452,000 | 12,769 |