Two businesspeople shaking hands

Statement of Condition

Comparative Balance Sheet

(Amounts are Average Monthly Balances)

Details 12/31/2024 12/31/2025
Cash and due from banks $27,581 $27,072
Investment Securities $70,223 $61,245
Fed Funds Sold $94,353 $68,464
Total Loans $452,611 $529,601
Reserve for possible loan losses ($5,561) ($6,383)
Banking house and equipment $7,780 $10,694
Other assets $17,628 $16,562
Total assets $664,615 $707,255
Demand Deposits $249,255 $259,825
NOW Accounts, Savings and Money Markets $283,077 $291,796
Certificates of Deposit $50,470 $63,120
Public Funds $9,553 $10,314
Total Deposits $592,355 $625,055
Other Liabilities $11,741 $5,427
Total Capital $60,519 $76,773
Total Liabilities and Capital $664,615 $707,255

All amounts are monthly average daily balances.

*Updated December 2025