Comparative Balance Sheet
(Amounts are Average Monthly Balances)
Details | 12/31/2022 | 12/31/2023 |
---|---|---|
Cash and due from banks | $31,286 | $27,656 |
Investment Securities | $73,989 | $72,428 |
Fed funds sold | $45,826 | $140,825 |
Total Loans | $301,641 | $355,410 |
Reserve for possible loan losses | ($3,884) | ($4,693) |
Banking house and equipment | $7,817 | $7,887 |
Other assets | $14,069 | $15,439 |
Total assets | $470,744 | $614,952 |
Demand Deposits | $198,634 | $278,083 |
NOW Accounts, Savings and Money Markets | $173,703 | $240,156 |
Certificates of Deposit | $44,465 | $32,589 |
Public Funds | $10,174 | $11,022 |
Total Deposits | $426,976 | $561,850 |
Other Liabilities | $9,711 | $10,877 |
Total Capital | $34,057 | $42,225 |
Total Liabilities and Capital | $470,744 | $614,952 |
All amounts are monthly average daily balances.
*Updated December 2023