Texas Savings and Loan Department Savings Institutions Annual Report: 1997 Page: Smithville
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SMITHVILLE
Community Bank of Central Texas ssb
Street Address: 312 Main St., 78957 512/237-2482
Mail Address:: P.O. Box 569, 78957 800/494-2482
Managing Officer: David J. Weir, President FAX 512/237-2484
Other Officers: Nancy M. Janecek, VP; Keri Brown, VP; Marybeth Claiborne,
Treasurer
Board of Directors: Barry Hannath, Chairman, Jim Cowan, Vernon Richards, Mike C.
Maney, Gordon Fowler, David J. Weir, Clinton WrightCharter Number: 543
Charter Date: 08/07/34
Date Insured: 12/22/34Number of Authorized Branches: 0
Number of Operating Branches: 0
Number of Operating Agencies: 0Branch Locations: N/A
STATEMENT OF CONDITION - DECEMBER 31,1997
UNAUDITED
ASSETS
Cash on Hand and Demand Deposits ...................................................... 015 371,116
Securities and Investments ....................................... ....... ............... 02 Z05.000
Stock in Federal Home Loan Bank/Federal Reserve Bank ...................................... 03 443,500
Mortgage Loans (Incl. MBS) .................... ........................................ 04 27,888,319
Other Loans ................ ....................................................... 05 2,636,029
Real Estate Owned ..................................................................... 06 0
Investment in Real Estate ......... ..................................................07 .
Office Premises & Equipment, net ......................................................... 08 1,088,000
Inves ents in Subsidiary Corpora ions .................................................... 09 7,474
G oodwill ............................................................................. 10 0
OtherAssetsand Deferred Charges ........................................................ 11 455, 171
TOTAL ASSETS ................................................. 12$_33,594,609
LIABITIES
Deposit Accounts ...................................................................... 13 30,225,953
Advances from FHLB of Dallas........................................................... 14 .
Other Borrowed M oney.................................................................. 15 0
Other Liabilities ....................................................................... 16 341,637
TOTAL LIABIL TIES ............................................................. 17 S30,567,590EQUITY CAPITAL
Preferred Stock ..............................................................
Common Stock ..............................................................
Paid-in Surplus ........................................................................
Other Capital Accounts .----.---........................................................
Retained Earnings .....................................................................
TOTAL EQUITY CAPITAL..................................
TOTAL LIABILITIES AND EQUITY CAPITAL .....................................Is 0
19 0
20 0
21 193,000
22 2,834,019
23 $3,027,019
24 $ 33,594,609
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Texas. Savings and Loan Department. Texas Savings and Loan Department Savings Institutions Annual Report: 1997, report, December 31, 1997; Austin, Texas. (https://texashistory.unt.edu/ark:/67531/metapth653720/m1/78/: accessed July 16, 2024), University of North Texas Libraries, The Portal to Texas History, https://texashistory.unt.edu; crediting UNT Libraries Government Documents Department.