


Statement of Condition
As of March 31, 2025
Assets | ||
Cash and Due from Banks | $ | 87,407,000 |
Investments and Fed Funds Sold | 797,520,000 | |
Net Loans | 1,872,134,000 | |
Bank Premises & Equipment | 160,795,000 | |
Other Assets | 30,925,000 | |
Total Assets | $ | 2,948,781,000 |
Liabilities | ||
Deposits | $ | 2,537,459,000 |
Repurchase Agreements Sold | 107,082,000 | |
Other Borrowings | 135,000,000 | |
Other Liabilities | 11,015,000 | |
Total Liabilities | $ | 2,790,556,000 |
Equity Capital | $ | 158,225,000 |
Total Liabilities & Capital | $ | 2,948,781,000 |
Risk Based capital ratio | 13.88% | |
Regulatory standard | 10.00% |