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Statement of Condition

Chelsea Savings Bank Statement of Condition

As of the close of business December 31, 2025

Cash & Due from Banks$5,833,685
Municipal and Other Bonds$101,552,089
Loans, including Overdrafts$82,537,467
Bank Premises, Furniture, and Fixtures$804,822
Other Assets$2,752,973
Fed Funds Sold / Int. Bearing Accouts

$5,639,569

TOTAL ASSETS$199,120,605
Deposits$171,853,892
Other Liabilities($105,546)
Accrued Interest Payable$511,875
Fed Funds Borrowed / Brokered Deposits$5,005,000
FHLB Borrowing$-
Capital$260,000
Surplus$7,273,149
Undivided Profits$25,955,920
Net Unrealized Gain(Loss) Securities($11,633,685)
TOTAL LIABILITIES/EQUITY CAPITAL$199,120,605
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