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Consolidated Balance Sheets - USD ($)
Jun. 30, 2022
Dec. 31, 2021
Assets    
Cash and due from banks $ 22,176,000 $ 12,071,000
Federal funds sold 32,720,000 80,545,000
Total cash and cash equivalents 54,896,000 92,616,000
Investment securities available for sale, at fair value 131,623,000 94,699,000
Restricted stock, at cost 714,000 694,000
Loans held for sale 7,963,000 5,141,000
Loans    
Outstandings 527,556,000 526,457,000
Allowance for loan losses (3,423,000) (3,423,000)
Deferred fees and costs, net 574,000 (433,000)
Total loans, net 524,707,000 522,601,000
Premises and equipment, net 11,597,000 11,824,000
Bank owned life insurance 12,638,000 12,494,000
Accrued interest receivable 3,321,000 3,245,000
Other assets 5,138,000 5,087,000
Total Assets 752,597,000 748,401,000
Deposits    
Noninterest bearing demand 278,260,000 268,804,000
Interest bearing 396,381,000 395,244,000
Total deposits 674,641,000 664,048,000
Long-term debt - trust preferred securities 8,764,000 8,764,000
Subordinated debt, net 5,676,000 5,660,000
Accrued interest payable 61,000 68,000
Other liabilities 3,402,000 6,460,000
Total liabilities 692,544,000 685,000,000
Shareholders' equity    
Common stock, $4 par value, 10,000,000 shares authorized; 1,476,165 shares issued and outstanding at June 30, 2022 and 1,473,469 shares issued and outstanding at December 31, 2021 5,837,000 5,822,000
Additional paid-in capital 55,009,000 54,814,000
Retained earnings 7,086,000 3,509,000
Stock in directors rabbi trust (689,000) (730,000)
Directors deferred fees obligation 689,000 730,000
Accumulated other comprehensive loss (7,879,000) (744,000)
Total shareholders' equity 60,053,000 63,401,000
Total liabilities and shareholders' equity $ 752,597,000 $ 748,401,000