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Note 7 - Deposits
12 Months Ended
Jun. 30, 2021
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]
NOTE
7
DEPOSITS
 
Interest-bearing deposits as of
June 30, 2021
and
2020
were as follows:
 
   
2021
   
2020
 
Demand
  $
127,447
    $
99,173
 
Savings and money market
   
282,761
     
228,567
 
Time:
               
$250 and over
   
18,488
     
36,747
 
Other
   
69,051
     
78,635
 
Total
  $
497,747
    $
443,122
 
 
Scheduled maturities of time deposits at
June 
30,
2021
were as follows:
 
Twelve Months Ending June 30
 
 
 
 
2022
  $
56,866
 
2023
   
21,554
 
2024
   
2,151
 
2025
   
3,579
 
2026
   
1,415
 
Thereafter
   
1,974
 
    $
87,539
 
 
As of
June 30, 2021,
FHLB public unit deposit standby letters of credit of
$7,000
were issued to collateralize public fund deposits.