Statement of Condition

December 31, 2022

Resources

Cash and Due from Banks $17,887,134.00
U.S. Treasury Securities 24,227,532.00
U.S. Agency Securities 215,833.695.00
State & Municipal Securities 153,181,021.00
Other Securities 7,914,439.00
Unrealized Gains (Losses) on Available for Sale Securities (32,852,290.00)
Federal Funds Sold & Other Short-Term Investments 4,754,790.00
Loans (Net of Reserves and Unearned Discount) 186,585,894.00
Premises and Fixed Assets 7,733,798.00
7,363,007.00
TOTAL RESOURCES $592,629,020.00

Liabilities & Capital

Deposits $541,347,939.00
Other Liabilities 28,869,599.00
TOTAL LIABILITIES $570,217,538.00
Capital Stock $1,680,000.00
Surplus 2,425,286.00
Retained Earnings 51,158,486.00
Unrealized Gains (Losses) on Available for Sale Securities (32,852,290.00)
TOTAL CAPITAL $22,411,482,00
TOTAL LIABILITIES AND CAPITAL $592,629,020.00