Transparency and trust
We give it to you by the numbers.
Statement of Condition
ASSETS | 03/31/2024 | 03/31/2025 |
---|---|---|
Cash and Due from Banks | $212 | $304 |
Fed Funds Sold and Securities | $58,996 | $39,769 |
Total Loans | $190,368 | $192,395 |
All Other Assets | $9,372 | $10,004 |
Total Assets | $258,947 | $242,473 |
Liabilities & Equity | ||
---|---|---|
Deposits | $208,991 | $202,101 |
Other Liabilities | $26,100 | $13,435 |
Total Deposits & Other Liabilities | $235,091 | $215,535 |
Shareholders’ Equity | $23,856 | $26,937 |
Total Liabilities & Equity | $258,947 | $242,473 |