Statement of Condition
Assets As of December 31, 2025
Cash and Due from Banks |
$14,203,566 |
Investment Securities |
75,198,621 |
Loans, net |
335,043,088 |
Fixed Assets, net |
11,912,087 |
Other Assets |
26,759,685 |
Total Assets |
$463,117,047 |
Liabilities & Net Worth As of December 31, 2025
Deposits |
$391,449,854 |
Borrowed Money |
18,000,000 |
Other Liabilities |
8,336,916 |
Retained Earnings |
45,330,277 |
Total Liabilities & Net Worth |
$463,117,047 |


