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Note 17 - Parent Company Financial Statements (Tables)
12 Months Ended
Jun. 30, 2023
Notes Tables  
Condensed Balance Sheet [Table Text Block]

Condensed Balance Sheets

 

June 30,
2023

  

June 30,
2022

 

Assets:

        

Cash

 $26  $76 

Equity securities, at fair value

  386   400 

Other assets

  22   17 

Investment in subsidiary

  56,328   54,823 

Total assets

 $56,762  $55,316 

Liabilities and Shareholders’ Equity:

        

Short-term borrowings

 $1,200  $1,270 

Other liabilities

  78   76 

Shareholders’ equity

  55,484   53,970 

Total liabilities & shareholders’ equity

 $56,762  $55,316 
Condensed Income Statement [Table Text Block]

Condensed Statements of Income and Comprehensive Income

 

Year Ended
June 30, 2023

  

Year Ended
June 30, 2022

 

Cash dividends from Bank subsidiary

 $1,575  $195 

Dividend income

  33   33 

Net change in market value of equity securities

  (14

)

  (24

)

Other income

  14   2 

Interest expense

  (75

)

  (31

)

Other expense

  (295

)

  (258

)

Income (loss) before income taxes and equity in undistributed net income of subsidiary

  1,238   (83

)

Income tax benefit

  (76

)

  (63

)

Income (loss) before equity in undistributed net income of Bank subsidiary

  1,314   (20

)

Equity in undistributed net income of subsidiary

  9,360   11,212 

Net income

 $10,674  $11,192 

Comprehensive income (loss)

 $2,819  $(14,464

)

Condensed Cash Flow Statement [Table Text Block]

Condensed Statements of Cash Flows

 

Year Ended
June 30, 2023

  

Year Ended
June 30, 2022

 

Cash flows from operating activities:

        

Net income

 $10,674  $11,192 

Equity in undistributed net income of Bank subsidiary

  (9,360

)

  (11,212

)

Net change in market value of equity securities

  14   24 

Change in other assets and liabilities

  (3

)

  24 

Net cash flows from operating activities

  1,325   28 

Cash flows from investing activities:

        

Disposal of premises and equipment

     18 

Net cash flows from investing activities

     18 

Cash flows from financing activities:

        

Dividend paid

  (2,095

)

  (1,949

)

Restricted stock units

  159    

Net change in short-term borrowings

  (70

)

  1,270 

Proceeds from dividend reinvestment and stock purchase plan

  238   174 

Issuance of treasury stock for stock awards

  393   309 

Net cash flows from financing activities

  (1,375

)

  (196

)

Change in cash and cash equivalents

  (50

)

  (150

)

Beginning cash and cash equivalents

  76   226 

Ending cash and cash equivalents

 $26  $76