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Deposits (Tables)
12 Months Ended
Dec. 31, 2024
Deposits  
Schedule of deposits

    

December 31, 2024

    

December 31, 2023

Non-interest-bearing demand

$

9,461,778

$

10,250,495

Interest-bearing demand

 

40,044,250

 

32,900,701

Savings

 

28,885,850

 

32,888,853

Money market

 

42,827,392

 

49,911,872

Certificates of deposit

 

110,300,200

 

104,515,708

Total deposits

$

231,519,470

$

230,467,629

Schedule of maturity of certificate of deposit

    

Twelve months ended December 31,

Amount

2025

    

$

90,049,489

2026

 

10,174,811

2027

 

3,351,685

2028

 

4,242,535

2029

 

2,481,680

Total

$

110,300,200