Statement of Condition

As of Close of Business March 31, 2025

 

ASSETS


LIABILITIES

Cash and Due From Banks

 $        12,312,969


Deposits

 $      202,039,084

Loans

 $      124,077,304


Other Liabilities

 $         9,950,940

U.S. Government Trys/Agencies

 $        34,825,841


TOTAL LIABILITY ACCOUNTS

 $      211,990,024

Municipal Bonds

 $        61,219,067

 

CAPITAL

Fed Funds Sold

 $                       -


Capital Stock

 $          2,000,000

FHLB/FRB Stock

 $             518,200


Surplus

 $          2,000,000

Premises/Fixed Assets

 $           1,046,327


Undivided Profits

 $        25,646,943

Other Assets

 $           4,192,344


Unrealized Securities Gain/Loss

 $         (3,444,914)





TOTAL CAPITAL ACCOUNTS

 $        26,202,029

TOTAL

 $      238,192,053

 

TOTAL

 $      238,192,053