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Standard Bank & Trust Company, Cash and Balances Due

1994-12-31Rank
Cash & Balances due from depository institutions$3,722,0005,202
By balance type:
Cash items in process of collection$2,568,0003,303
Collection in domestic offices$1,666,0002,628
Currency and coin in domestic offices$902,0003,440
Balances due from depository institutions in U.S.$1,154,0005,850
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$2,823,0005,371
1993-12-31Rank
Cash & Balances due from depository institutions$5,080,0004,303
By balance type:
Cash items in process of collection$3,498,0002,335
Collection in domestic offices$2,733,0001,624
Currency and coin in domestic offices$765,0003,710
Balances due from depository institutions in U.S.$1,582,0005,407
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$3,950,0003,847
1992-12-31Rank
Cash & Balances due from depository institutions$1,798,00010,119
By balance type:
Cash items in process of collection$1,302,0005,457
Collection in domestic offices$967,0003,630
Currency and coin in domestic offices$335,0006,837
Balances due from depository institutions in U.S.$496,00010,382
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$1,392,0009,323