Statement of Condition
As of December 31, 2025
| Assets | |
|---|---|
| Cash & Due from Banks | $ 2,714,607 |
| Loans | $ 51,176,181 |
| Investments | $ 27,424,856 |
| Premises & Other Assets | $ 5,219,748 |
| Fed Funds Sold | $ 3,190,000 |
| Total Assets | $ 89,543,392 |
| Liabilities & Equity | |
| Deposits |
$ 67,741,333 |
| Fed Funds Purchased | $ 0 |
| Federal Home Loan Bank Advances | $ 12,034,918 |
| Other Liabilities | $ 565,963 |
| Common Stock | $ 500,000 |
| Paid in Surplus | $ 9,500,000 |
| Undivided Profits | $ -798,821 |
| Total Liabilities & Equity | $ 89,543,392 |
| Basic Capital Ratio | 13.21% |