Statement of Condition

June 30, 2023

Resources

Cash and Due from Banks $21,506,267.65
U.S. Treasury Securities 24,217,551.05
U.S. Agency Securities 208,038,565.21
State & Municipal Securities 144,391,470.44
Other Securities 8,643,285.77
Unrealized Gains (Losses) on Available for Sale Securities (30,515,713.76)
Federal Funds Sold & Other Short-Term Investments 3,148,472.85
Loans (Net of Reserves and Unearned Discount) 185,975,923.65
Premises and Fixed Assets 7,537,503.55
Other Assets 7,218,255.36
TOTAL RESOURCES $580,161,581.77

Liabilities & Capital

Deposits $517,673,057.40
Other Liabilities 36.726.396.70
TOTAL LIABILITIES $554,399,454.10
Capital Stock $1,680,000.00
Surplus 2,528,893.84
Retained Earnings 52,068,947.59
Unrealized Gains (Losses) on Available for Sale Securities (30,515,713.76)
TOTAL CAPITAL $25,762,127.67
TOTAL LIABILITIES AND CAPITAL $580,161,581.77