Two businesspeople shaking hands

Statement of Condition

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