Statement of Condition
As of June 30, 2024
Assets | ||
Cash and Due from Banks | $ | 29,956,000 |
Investments and Fed Funds Sold | 889,862,000 | |
Net Loans | 1,861,556,000 | |
Bank Premises & Equipment | 163,527,000 | |
Other Assets | 25,478,000 | |
Total Assets | $ | 2,970,379,000 |
Liabilities | ||
Deposits | $ | 2,428,005,000 |
Repurchase Agreements Sold | 101,132,000 | |
Other Borrowings | 266,168,000 | |
Other Liabilities | 16,519,000 | |
Total Liabilities | $ | 2,811,824,000 |
Equity Capital | $ | 158,555,000 |
Total Liabilities & Capital | $ | 2,970,379,000 |
Risk Based capital ratio | 14.29% | |
Regulatory standard | 10.00% |