12/31/08 12/31/07
Assets
Cash and Due From Banks $4,043,161.80 $2,343,147.27
U.S. Treasury Bonds 2,001,650.00 8,009,719.23
U.S. Agency Bonds 22,205,147.47 5,000,000.00
Municipal Bonds 0.00 0.00
Bond Market Value Adjustment 499,211.91 61,260.77
Loans 23,460,127.83 23,521,938.78
Federal Funds Sold 1,532,000,000 12,354,260.00
Bank Building/Furniture & Fixtures 366,625.46 377,585.65
Other Real Estate 528,627.22 395,100.79
All Other Assets 417,286.90 351,871.00
Total Assets 55,053,838.59 52,414,883.49

Liabilities
IPC Demand Deposits 6,440,238.43 6,282,594.00
IPC Time & Savings Deposits 31,908,792.45 30,611,618.13
U.S. Government Deposits 2,540.68 9,956.25
Municipal Deposits 6,137,095.59 5,544,308.78
Certified & Official Checks 398,531.99 125,466.35
Total Deposits 44,887,199.14 42,573,943.51

Other Liabilities 231,602.53 277,326.34

Equity Capital
Capital Stock 200,000.00 200,000
Surplus 2,800,000.00 2,800,000.00
Undivided Profits 6,442,099.78 6,395,978.30
Unrealized Bond Gain 329,479.86 40,432.11
Total Equity Capital 9,771,579.64 9,436,410.41

Specific Reserves 163,457.28 127,203.23

Total Liabilities and Capital 55,053,838.59 52,414,883.49