Statement of Condition
As of June 30, 2025
Assets | |
---|---|
Cash & Due from Banks | $ 1,990,669 |
Loans | $ 49,023,255 |
Investments | $ 25,317,358 |
Premises & Other Assets | $ 5,185,051 |
Fed Funds Sold | $ 3,135,000 |
Total Assets | $ 84,651,333 |
Liabilities & Equity | |
Deposits |
$ 65,343,386 |
Fed Funds Purchased | $ 0 |
Federal Home Loan Bank Advances | $ 10,357,667 |
Other Liabilities | $ 705,186 |
Common Stock | $ 500,000 |
Paid in Surplus | $ 9,500,000 |
Undivided Profits | $ -1,754,907 |
Total Liabilities & Equity | $ 84,651,333 |
Basic Capital Ratio | 12.63% |