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CHANGE
CODE
DATE
CCYY/MM/DD
EFFECTIVE
SERVICE
TYPE
CNTY#
CNTY#
CNTY#
CNTY#
CNTY#
CNTY#
ITEM 13.A
DEPOSITS IN DOMESTIC OFFICES
SCHEDULE RC
REPORT of CONDITION
6
(CONTINUED ON NEXT PAGE)
OFFICE NAME & ADDRESS
COUNTY
ITEM
A&C
Schedule E
U.S. BRANCHES of
FOREIGN BANKS
CEN
CODE
Uninum:
CONSOLIDATED
OFFICE
BIL
MAILING ADDRESS
MIL
THOUS
TOTAL DEPOSITS
Please read the attached instructions before you fill out this form. Report amounts of deposits in thousands. Total deposits for all offices must equal total deposits on the
Institution
JUNE 30,2008 Report of Condition sent to your main regulatory agency. Make a copy for your files. See attachment for mailing address.
FDIC 8020/05 (7-95)
NUMBER
OFFICE
Deposits =
Total
of DEPOSITS
SUMMARY
INSTRUCTIONS
As of Close of Business June 30, 2008
SUMMARY OF DEPOSITS
ST.
OMB NUMBER: 3064-0061
EXPIRES: 09/30/2008
CHANGE
CODE
DATE
CCYV/MM/DD
EFFECTIVE
SERVICE
TYPE
CNTY#
CNTY#
CNTY#
CNTY#
CNTY#
CNTY#
CNTY#
CNTY#
CNTY#
TOTAL DEPOSITS FOR ALL OFFICES
OFFICE NAME & ADDRESS
COUNTY
CEN
CODE
CONSOLIDATED
OFFICE
Institution
~US
TOTAL DEPOSITS
CERT.
FDIC 8020/05 (7-95)
Uninum:
PreparerlContact Name and Telephone Number (Please Print) I Authorized Official Signature I Date
I have verified this statement according to the instructions provided, and attest that it is correct and complete to the best of my knowledge and belief and that the deposit totals agree with
those reported on the June 30, 2008 Report of Condition.
9999
NUMBER
OFFICE
As of Close of Business June 30, 2008
SUMMARY OF DEPOSITS
ST.
OMB NUMBER: 3064-0061
EXPIRES: 09/30/2008
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File Type | application/pdf |
Author | pamwhite |
File Modified | 0000-00-00 |
File Created | 0000-00-00 |