Statement of Condition

June 30, 2024

Resources

Cash and Due from Banks $9,610,599.68
U.S. Treasury Securities 24,197,783.64
U.S. Agency Securities 203,810,837.89
State & Municipal Securities 129,529,338.54
Other Securities 988,000.00
Unrealized Gains (Losses) on Available for Sale Securities (23,554,182.84)
Federal Funds Sold & Other Short-Term Investments 19,203,062.12
Loans (Net of Reserves and Unearned Discount) 210,793,537.25
Premises and Fixed Assets 7,392,868.36
Other Assets 6,010,194.06
TOTAL RESOURCES $587,982,038.70

Liabilities & Capital

Deposits $529,157,630.52
Other Liabilities 25,333,592.48
TOTAL LIABILITIES $554,491,223.00
Capital Stock $1,680,000.00
Surplus 2,618,875.67
Retained Earnings 52,746,122.87
Unrealized Gains (Losses) on Available for Sale Securities (23,554,182.84)
TOTAL CAPITAL $33,490,815.70
TOTAL LIABILITIES AND CAPITAL $587,982,038.70