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Condensed Financial Information - Parent Company Only (Tables)
12 Months Ended
Sep. 30, 2025
Condensed Financial Information Disclosure [Abstract]  
Condensed Balance Sheets, Parent Company
Condensed Balance Sheets - September 30, 2025 and 2024
(dollars in thousands)
 20252024
Assets  
Cash and cash equivalents:  
Cash and due from financial institutions$1,155 $1,430 
      Total cash and cash equivalents
1,155 1,430 
Investment securities held to maturity, at amortized cost (net of ACL of $1 and $5) (estimated fair value of $495 and $477)
499 495 
Investment in Bank261,021 243,527 
Other assets94 94 
Total assets$262,769 $245,546 
Liabilities and shareholders’ equity  
Accrued expenses$155 $133 
Shareholders’ equity262,614 245,413 
Total liabilities and shareholders’ equity$262,769 $245,546 
Condensed Statements of Operations, Parent Company
Condensed Statements of Income - Years Ended September 30, 2025, 2024 and 2023
(dollars in thousands)
 202520242023
Operating income   
Interest on deposits in banks$— $— $— 
Interest on investment securities29 24 24 
Dividends from Bank12,000 14,000 11,400 
Total operating income12,029 14,024 11,424 
Operating expenses441 328 351 
Income before income taxes and equity in undistributed
    income of Bank
11,588 13,696 11,073 
Benefit for income taxes(172)(145)(148)
Income before undistributed income of Bank11,760 13,841 11,221 
Equity in undistributed income of Bank    17,401 10,442 15,897 
Net income$29,161 $24,283 $27,118 
Condensed Statements of Cash Flows, Parent Company
Condensed Statements of Cash Flows - Years Ended September 30, 2025, 2024 and 2023
(dollars in thousands)
 202520242023
Cash flows from operating activities   
Net income $29,161 $24,283 $27,118 
  Adjustments to reconcile net income to net cash provided by operating activities:   
   Equity in undistributed income of Bank(17,401)(10,442)(15,897)
Stock-based compensation expense537 390 320 
Other, net22 (50)100 
Net cash provided by operating activities
12,319 14,181 11,641 
Cash flows from investing activities   
Investment in Bank(415)(319)(267)
Net cash used in investing activities(415)(319)(267)
Cash flows from financing activities   
Proceeds from exercise of stock options1,665 659 698 
Repurchase of common stock, net of tax(5,759)(5,958)(4,998)
Payment of dividends(8,085)(7,650)(8,267)
Net cash used in financing activities(12,179)(12,949)(12,567)
Net increase (decrease) in cash and cash equivalents(275)913 (1,193)
Cash and cash equivalents   
Beginning of year1,430 517 1,710 
End of year$1,155 $1,430 $517