Two businesspeople shaking hands

Statement of Condition

Comparative Balance Sheet

(Amounts are Average Monthly Balances)

Details 6/30/2023 6/30/2024
Cash and due from banks $31,614 $26,482
Investment Securities $75,197 $71,779
Fed Funds Sold $48,523 $92,807
Total Loans $321,570 $421,271
Reserve for possible loan losses ($4,216) ($5,116)
Banking house and equipment $7,933 $7,905
Other assets $15,023 $16,694
Total assets $495,644 $631,822
Demand Deposits $188,733 $247,480
NOW Accounts, Savings and Money Markets $213,003 $270,123
Certificates of Deposit $33,239 $42,171
Public Funds $11,643 $9,734
Total Deposits $446,618 $569,508
Other Liabilities $10,469 $11,586
Total Capital $38,557 $50,728
Total Liabilities and Capital $495,644 $631,822

All amounts are monthly average daily balances.

*Updated June 2024