Statement of Condition

December 31, 2025

Resources

Cash and Due from Banks $28,799,508.55
U.S. Treasury Securities 22,164,748.55
U.S. Agency Securities 159,084,906.04
State & Municipal Securities    105,428,519.56
Other Securities 743,000.00
Unrealized Gains (Losses) on Available for Sale Securities (9,929,150.91)
Federal Funds Sold & Other Short-Term Investments          22,310,162.12
Loans (Net of Reserves and Unearned Discount)        284,310,848.25
Premises and Fixed Assets        6,973,382.69
Other Assets 5,285,050.28
TOTAL RESOURCES $625,170,975.13

Liabilities & Capital

Deposits  $554,381,189.78
Other Liabilities 21,190,924.83
TOTAL LIABILITIES $575,572,114.61
Capital Stock $1,680,000.00
Surplus 2,689,191.50
Retained Earnings 55,158,819.93
Unrealized Gains (Losses) on Available for Sale Securities (9,929,150.91)
TOTAL CAPITAL $49,598,860.52
TOTAL LIABILITIES AND CAPITAL $625,170,975.13