Gambar halaman
PDF
ePub

Page.

180
180
155
180
164
178
157
157
158
157
158
158
156

157
163
182

184
189
201

140

141

142

142

144

144

Comptroller of the Currency-Continued.
National-bank and legal-tender notes by denominations

one and two dollar notes, proportion of, allowed, and amount ontstanding
National gold banks

circulating notes of a less denomination than five dollars prohibited
Public debt at its maximum
Redemption.
Reserve.

percentage of reserve held by English and Scotch bauks.
of Scotch and English banks held in English consols.
issue of small bonds by the French Government.
estimated amount of English consols held by English banks.

of national banks, recommended that a portion may be held in small four-per-cent. bonds
Security of circulating notes.

saving to the Government by authorizing the issue of circulation upon four-per-cent.

bonds, free from tax
Specie in bank, and estimated specie in the country.
State banks and savings-banks
form of will

, with forms for reports, recommended to State legislatures for obtaining and
publishing statements of condition of banks, savings institutions, and trust companies

organized under State laws.
Synopsis of Supreme Court decisions
Tables, list of
(The following tables appear in the report of the Comptroller of the Currency as printed in

this volune. The report printed as a separate volume contains numerous other tables,
of which there is a full list on pages 65, 66, and 67 of that volume, and also statements
showing the resources and liabilities of each national bank in operation on October 1,
1877. At the end of the volume an alphabetical index of the cities and towns in which
national banks are located will be found.)
table of the resources and liabilities of the national banks in October of each year, from

1869 to 1877
table of the resources and liabilities of the national bauks on October 1, 1877, classified

by reserve cities, &c
table, by geographical divisions, of the number, capital, and deposits of the State banks

and private bankers, &c., for the six months ending May 31, 1977
table, similar to the one preceding, for the six months ending November 30, 1876
table of the circulation, deposits and bank-balances, and specie of the banks of the

country, with the ratios of specie to circulation and to circulation and deposits, from

1835 to 1842, and from 1+30 to 1858....
table of circulation, deposits and bank-balances, and legal-tender funds of the national

banks, with the ratios of legal-tender funds to circulation, and to circulation and de.

posita, from 1890 to 1877
table showing the circulation, deposits and bank-balances, and specie of the State

banks in New England and New York, with the ratios of specie to circulation, and to
circulation and deposits, from 1835 to 1842, and from 1850 to 1858, and also the circulation,
deposits and bank balances, and legal-tender funds of the national banks in New Eng.
land and New York, with the ratios of legal-tender funds to circulation, and to circula.

tion and deposits, from 1870 to 1877.....
table showing the number, circulation, deposits, and specie of the State banks in New

York City, with the ratios of specie to circulation and to circulation and deposits,
from 1855 to 1860, and also the number, circulation, deposits and legal-tender funds of
the pational banks in New York City, with the ratios of legal-tender funds to circula-

tion and to circulation and deposits, from 1872 to 1877...
table showing the average mumber, circulation, deposits, and reserve-funds of the na-
tional banks in New York City, other reserve cities, and the remainder of the country,
with the ration of legal-tender funds to circulation and to circulation and deposits, and

of reserve-funds to circulation and deposits, 1870 to 1877
table showing the value of the legal-tender paper dollar in each year, from 1863 to

1877.....
table showing the weight of the gold coin represented by the legal-tender paper dollar

in each year, from 1863 to 1877
table, by States and geographical divisions, of the number of national banks organized,
closed, and closing, and in operation, with their capital, bonds, and circulation, Novein.

ber 1, 1877...
table of the outstanding circulation of the national banks on January 1 of each year

from 1868 to 1877, and on November 1, 1877.
table showing, by States, the issue and retirement of circulation for the year ending

November 1, 1877, and the total amount issued and retired since June 20, 1874..
table showing the issue and retirement of national-bank notes and the deposit and retire.

ment of legal-tender notes, monthly, since the passage of the act of January 14, 1875...
statement giving similar information by tiscal years
statement showing concisely the operations of the acts of June 20, 1874, and of January

14, 1875, to December 1, 1877
table of the amounts and kinds of l’nited States bonds held as security for national.

bank circulation
table of the liabilities of the national banks, and of the reserve required and held, at

three dates in each year from 1872 to 1977...
table showing the liabilities and reserve of the national banks since June 20, 1874, at the

dates given......
tablo showing the weekly movement of the legal.tender reserve of the New York City

national banks in the month of October, from 1870 to 1877
table of the liabilities and reserve of the New York City national banks in October of

each year from 1872 to 1877
table of the amounts of specie held by the national banks at the dates of their reports,

from October, 1868, to October, 1877.
statement showing the movement of coin and bullion in the United States for the fiscal

year 1876-'77, and the estimated amount in the country at the end of that year
statement of the public debt at its maximum...

145

146

147

149

149

151

152

153

151
154

153

156

158

160

162

162

163

164
164

Page.

164
164

165
106
166

167

167
168

169

169

109

170

171

171

177

177

178

178

179
179

180

133

905

Comptroller of the Currency-Continued.

tablo of the amounts and kinds of outstanding Cnited States and national-bank issues,

from 1865 to 1877, at the dates given
table showing the transactions of the New York clearing.bouse, yearly, from 1854 to 1877
table showing the classes of loans of the national banks in New York City in October of

each year from 1874 to 1877
statement of the rates of interest in New York and London, 1874 to 1877...
table sbowing the United States taxation of national banks, yearly, from 1864 to 1877
statement of the amount of United States taxes collected from banks, other than na-

tioval, yearly, from 1864 to 1877...
table, by States and reserve cities, of the capital and the amount and rate of taxation of

the national banks for the year 1876
table of the taxation of national banks, yearly, from 1866 to 1876
table of the rates of taxation of the national banks in certain States for the years 1874,

1875, and 1876
table of the rates of taxation of the national banks in certain cities for the years 1875

and 1076
table, by geographical divisions, of the capital, and the amount and rates of taxation, of

the national banks, for tbe years 1874, 1875, avd 1876.
table, by States and reserve cities, of the amount of the losses charged off by national

banks during the year ending September 1, 1877
table of the amount of losses charged off by the national banks in the principal cities in

the years 1876 and 1877
table, by geographical divisions, of the number and capital of the national banks which

made no dividends in 1876 and 1877
table showing the capital, surplus, dividends, and earnings of the national banks, semi-

annually, from 1969 to 1877
table, by geographical divisions, of the ratios to capital and to capital and surplus of

the dividends and earnings of the national banks for the years 1875, 1876, and 1877.
table, by geographical divisions, of the ratios to capital and to capital and surplus of the

dividends of the national banks semi-annually, from 1872 to 1877
table of the amounts of national-bank notes received by the Comptroller and at the re-

demption agency of the Treasury, from June 20, 1874, to November 1, 1877.
table, by denominations, of the number and amount of national-bank notes issued and

redeemed from 1963 to 1877, and the number and amourt outstanding November 1, 1877
statement of the amount of national-bank notes destroyed, yearly, from 186:3 to 1877.
table showing, by denominations, the amount of national-bank notes, and of legal-tender

notes, and ihe total outstanding on November 1. 1877
table, by States and reserve cities, and geographical divisions, of the number of State

banks, savings-banks, &c., with their average capital and deposits, and the tax thereon,

for the six months ending May 31, 1877
synopsis of judicial decisions relative to national banks
names and compensation of officers and clerks in the Office of the Comptroller of the

Currency, and expenses of the office for fiscal year ending June 30, 1877
table showiny, by States, the issue of circulation and the deposit of legal-tender notes to

retire circulation, from June 20, 1874, to December 1, 1877, and the amount remaining on

deposit at the latter date.
table, by States and reserve cities, of the ratios to capital, and to capital and surplus, of

the dividends and earnings of the national banks, from March 1, 1873, to September 1,

1877.
table showing the liabilities and reserve of the national banks at the dates of their re-

ports, from October, 1871, to October, 1877
table showing, by States and reserve cities, the liabilities and reserve of the national

banks on October 1, 1877..
table showing the weekly liabilities and reserve of the national banks in New York City,

as reported to the clearing-house, in September and October of each year from 1870

to 1877.
table showing, by States, reserve cities, and geographical divisions, the number of State

banks, savings banks, & c., with their average capital and deposits, and the tax thereon,

for the six months ending November 30, 1876.
table showing the aggregate resources and liabilities of trust companies, 1875, 1876, and

1877...
table showing the aggregate resources and liabilities of savings-banks from 1874 to 1877
table, by States, of the aggregate deposits of savings-banks, the number of their doposit-

ors, and the average annount due to each, in 1876 and 1877,
aggregate resources and liabilities of the national banks at the dates of their reports,

from 1863 to 1877...
Taxation

rate of United States taxation on capital, deposits, and circulation
value of two-cent check-stamps sold by Commissioner of Internal Revenue, annually,

from 1874 to 1877.
rates of, for 1874, 1875, and 1876, upon national-bank capital, in States where they have

been bighest
unequal rates of, upon national-bank capital in the principal cities
total assessments on personal property in New York in 1875, 1876, and 1877, and

amount on bank-stock, number of assessed, number of shareholders of banks assessed

Transactions of the New York clearing-house..
Director of the Mint.

Assay of foreign coins.
Assay-office at Helena and mint at New Orleans
Bars manufactured during the year
Change in relative value of gold and silver
Coinage executed during the year.
Coinage executed for the Government of Venezuela
Denver mint
Deposits and purchases during the year.
Earnings, expenses, and operations,
Gold and silver of domestic production.

207

208

210

219

214

215

216
216

216

211
166
166

167

169
109

174
165

231

235
236

23
949
235

948

251

Director of the Mint-Continued.

Page.
Improved design of coinage

239

Introduction of automatic weighing machines.

235

Money standard and silver coinage

246

Money statistics

242

Present average production of gold and silver from the mines of the United States

241

Refining and parting of bullion

237

Regulations for transaction of business.

247

Silver purchases.

237

The trade-dollar.

240

Withdrawal of certain three-cent silver coins froin circulation recommended.

236

First Comptroller..

253

Second Comptroller.

257

Commissioner of Customs.

261

Accounts, number of, on hand July 1, 1876.

263

number of, received from First Auditor during the year

263

number of, adjusted during the year

263

number of, returned to First Anditor

263

number of, on hand July 1, 1877

263

collectors' suggestions relative to expediting settlement of

266, 267
warehouse bond, recommendation of means for verifying

267

Appointments registered, number of

264

Business of office, total amount involved in

264

Clerks employed, average number of

264

recommendation of increase of number of.

266

Customs-dues, suggestions as to practicability of paying by means of stamps

266

Customs-officials, suggestions of methods for prevention of irregularities among

264

Duties, form of receipt for...,

265

Estimates received, number of.

264

Fees, otlicial, form of receipt for

265

Form of receipt for duties and fees.

265

Importation of wines and spirits, suggestion of remedy for defect in.

267, 268
Letters received, number of.

264
written, number of

264
recorded, number of

264
Money, amounts of, paid into the Treasury of the t'nited States from sources the accounts of
which are settled in this office

263
amounts of, paid out of the Treasury

263
Oaths examined and registered, number of.

264
Postage-stamps used, value of.

264
Requisitions issued, number of

264
amount involved in

Returns received and examined, number of

264

Settlement of collectors' accounts, suggestions relative to expediting..

266, 267

Stamps, suggestions as to practicability of paying customs-lues by meaus of.

266

Warehouse-bond accounts, recommendation of means for verifying.

267

Warehouse transactions, statement of..

269, 270, 271

Warrants, suggestions in regard to...

266

First Auditor

273

Second Auditor

279

Accounts and settlements, condensed summary of.

289

Accounts, paymasters', number of, on hand July 1, 1876.

283

number of, audited during the year

283

number of, on hand June 30, 1877

283

Accounts and claims, miscellaneous, number of, adjusted

2-3, 294

Amount involved

Accounts, number of, settled from March, 1817, to June 30, 1861

289

Appropriations, condensed balance sheet of.

Appropriation-warrants, amount of...

281, 282

Archives division, work of

288

Bookkeepers' division, work of

2-1, 282, 283

Bonds of disbursing-otticers, number of, recorded

283

Certificates of non-indebtedness, number of, issued.

23

Claims, Indian....

284, 285

Claims, of white soldiers for pay and bounty, number of, examined

285

number of, settled

286

of colored soldiers for pay and bounty, number of, examined and settled.

286

Clerical force, faithfulness and efficiency of, commended

202

Clothing, camp and garrison equipage, returns of, received and disposed of.

Division for the investigation of fraud, work of ..

286, 287

Division of inquiries and replies, work of.

287, 288

Division of correspondence and records, work of.

288

Files of the ottice, space occupied by:

importance of securing, against fire.

291

Indian agents, accounts of

283, 284, 285
amounts, recovered from

283

Indian division, work of.

284, 285

Miscellaneous accounts and claims, number of, adjusted

263, 294

amounts involved...

284

Miscellaneous division, work of

283, 284

Otticers, double payments to

24

Pay and bounty division, work of

285, 286

Paymasters' division, work of

293

Paymasters' accounts, number of, audited.

233

Pay-rolls of the Army, poor quality of paper used in

291

number of repaired

292

Property division, work of

207
Requisitions, registered, &c...

281

319

Second Auditor-Continued.

Page.
Settlements entered, number of..
Soldiers' Home, amounts paid to, under section 4818 of the Revised Statutes.
Statement of property accounts adjusted and miscellaneous work performed in connection

with the settlement of accounts during each fiscal year from June 30, 1862, to June
30, 1877...

291
Third Auditor

293
Accounts, number received and settled
Abstracts withdrawn from quartermasters' accounts

309
Amount disbursed by Army-pension agents

307, 308
Appropriations, remarks on, and proposed law.

311
Army pensioners, amount paid to..

304
Bookkeeper's division, operations of

296, 297
Bounty.land, number of claims reported on.

309
Claims for pension, war of 1812, service reported from rolls.

309
Cases prepared for suit....

309
Claims, miscellaneous, number received and settled.

301
Counter-requisitions, number and amount.
Dakota war.claims, number and amount..
Engineer accounts, number received and settled.

300
Files, number of settlements in office

310
Horses lost, number of claims received and adjusted

302
Lost vessels, number of claims received and disposed of

301
Lost pension-checks, number ot settlements and amounts.

305
Montana war-claims, number and amount.

302
Oregon Indian war claims, number received and disposed of.

301
Pensioners, Army, number recorded, transferred, increased, &c

305
Quartermasters' accounts, number received and settled.
Rolls, war of 1812, remarks on

309
Requisitions drawn, number and amount.
Statute of limitations, remarks on.

310
Signal accounts, number received and settlerl.
Subsistence accounts, number received and settled
State war-claims, number received and settled..

302
Tabular statement of amounts disbursed by Army pension agents.

307, 305
l'nexpended balances in hands of Army pension agents June 30, 1877.

306
Fourth Auditor.

313
Allotments.

316
Bookkeeper's disbursements, &c

316
Business of the office, condition of
General claims..

318
Navy pay accounts.

316
Paymasters' accounts

315
Pension accounts.

31
Prize-money

317
Records..

317
Fifth Auditor

321
Sixth Auditor

323
Ante-bellum claims

329, 330
provisions of the act of March 3, 1877. relative to..
instructions of the Secretary of the Treasury relative to the payment of

329, 33
pone have been paid

330
Bookkeeping division

exhibit of work performed by
Collecting division...

exhibit of work performed by
ainount of collections by suit

amount collected on drafts issued
Examining division ....

exhibit of work performed by
number of stamp accounts settled
number of quarterly accounts settled

amounts involved in settlements.....
Foreigw-mail division ....

exhibit of work performed by.
Money-order division

328,
money-orders issued and paid
money-orders received and examined

domestic and foreign money-order statements received, examined, and registered 328,
Treasurer.

331
Balances:
balances and movement of moneys of the general Treasury of the United States...

350
of the Post-Office Department.

354
explanatory statement of differences between
to the credit of the United States disbursing-officers and agents.

363
of receipts, national-bank redemption agency
Bonds :
payment of interest on coupon-bonds held in trust.

365
statement of, by loans, held in trust for national banks
statement of, by States, of deposits and withdrawals of
redemption of
conversion of five-twenty
conversion and redemption of loan of 1858.

393
purchase of five-twenty
amount of, purchased for sinking-fund.
amount of, retired
examination of, held in trust.

365

Page.

349

386
394

395

397
397

384

350
348

396
371, 374, 375, 376, 380

386

370, 374
370, 374, 375, 376

401

366

368

382
375

363
363

344

402

Treasurer-Continued.
Cash balances :

covered money
Certificates of deposit :

act June 8, 1872
Certificates of indebtedness of 1870 (four per cent.)...
Certificates of indebtedness:

issued, redeemed, and outstanding.
Checks :

drawn during fiscal year 1877..

quarterly interest....
Coin-certificates :

issued, redeemed, and outstanding...
Coin :

unavailable.....
Counterfeits......
Coupon:

interest paid in fiscal year 1877
Compound interest notes
Currency certificates (section 5193, Revised Statutes) :

issued, redeemed, and outstanding
Currency of the United States :

issued and outstanding
Demand-notes
Denomination :

average, of national-bank notes redeemed.
Depositaries :

number and title of national bank....
Deposits :

and withdrawals of the United States bonds by national banks..
Destructions:

statistical.

general statement of.
Disbursing othcers:

balances to credit of.

statement, by classes, of.
Exchange:

sale of.
Expenses :

incurred by the national-bank redemption agency.
Expenditures :

comparative statement of.

statement of, by warrants..
Examination of securities..
National-bank redemption agency
Notes:

number of, redeemed and destroyed.
Old demand notes
One year notes of 1963.
Post Office Department:

balances and movement of moneys of the
Purchased :

five-twenty bonds.

for sinking fund
Quarterly account:

statement of Treasurer's.
Quarterly-interest checks :

issued, paid, and outstanding
Redemption :

called bonds.
certiticates of deposit (June 8, 1872)
certiticates of indebtedness
general statement of.
gold-certiticates..
loan of 1858
national-bank notes.
number of notes
seven-thirty notes
Treasury-notes of 1861.
three-per-cent. certificates.
temporary-loan certificates
United States currency.
United States bonds, exclusive of sinking-fund.

United States bonds.
Redemption agency :

national-bank....
Receipts :

and expenditures
comparative statement of
by warrants
monthly, of national-bank notes for redemption...

general balance of national-bank redemption agency.
Securities :

examination of..
Semi-annual duty...
Statistical destructions
Seven-thirty notes:

issued, redeemed, converted, and outstanding ..

349
359
365
399

350
370, 374, 375, 376, 380
.370, 374, 375, 376, 380

354

392
392

335, 360

397

389
326
395
375
384

303
.347, 375, 378, 380, 401

380, 401

388
393
395

395
370, 374

391
.389, 391, 392, 393, 394

399

335
349

352
399, 403

400

365
365

383

« SebelumnyaLanjutkan »