Home > SNB Savings Bank, Inc., SSB > Cash and Balances Due

SNB Savings Bank, Inc., SSB, Cash and Balances Due

1994-12-31Rank
Cash & Balances due from depository institutions$11,326,0001,788
By balance type:
Cash items in process of collection$5,756,0001,616
Collection in domestic offices$495,0004,444
Currency and coin in domestic offices$5,261,000607
Balances due from depository institutions in U.S.$5,570,0001,231
U.S. branches of foreign banks$0180
Balances due from foreign banks$0463
Foreign branches of U.S. banks$0132
Balances due from FRB$03,065
Memoranda:
Total noninterest-bearing balances$11,006,0001,496
1993-12-31Rank
Cash & Balances due from depository institutions$9,453,0002,309
By balance type:
Cash items in process of collection$1,989,0003,878
Collection in domestic offices$479,0004,498
Currency and coin in domestic offices$1,510,0001,821
Balances due from depository institutions in U.S.$7,464,0001,013
U.S. branches of foreign banks$0190
Balances due from foreign banks$0474
Foreign branches of U.S. banks$0139
Balances due from FRB$03,070
Memoranda:
Total noninterest-bearing balances$8,711,0001,753
1992-12-31Rank
Cash & Balances due from depository institutions$13,265,0001,918
By balance type:
Cash items in process of collection$418,0009,407
Collection in domestic offices$09,772
Currency and coin in domestic offices$418,0005,942
Balances due from depository institutions in U.S.$12,847,000619
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$1,315,0009,589