Statement of Condition
As of March 31, 2025
Assets | |
---|---|
Cash & Due from Banks | $ 2,253,980 |
Loans | $ 49,980,607 |
Investments | $ 20,070,138 |
Premises & Other Assets | $ 7,106,530 |
Fed Funds Sold | $ 4,840,000 |
Total Assets | $ 84,251,254 |
Liabilities & Equity | |
Deposits |
$ 65,363,116 |
Fed Funds Purchased | $ 0 |
Federal Home Loan Bank Advances | $ 10,514,041 |
Other Liabilities | $ 408,611 |
Common Stock | $ 500,000 |
Paid in Surplus | $ 9,500,000 |
Undivided Profits | $ -2,034,514 |
Total Liabilities & Equity | $ 84,251,254 |
Basic Capital Ratio | 12.41% |