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%

Events