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Deposits (Tables)
12 Months Ended
Jun. 30, 2025
Deposits [Abstract]  
Schedule of Deposits

Deposits consist of the following major classifications at June 30:

 

(in thousands)  2025   2024 
Non-interest bearing checking accounts  $11,805   $15,428 

Interest bearing transaction accounts

   
 
    
 
 
Checking accounts   17,567    16,749 
Savings Accounts   43,001    39,221 
Money market demand deposits   5,615    8,169 
Total interest bearing transaction accounts   66,183    64,139 
Total demand, transaction and passbook deposits   77,988    79,567 
Certificates of deposit   199,575    176,572 
Total deposits  $277,563   $256,139 
Schedule of Maturities of Outstanding Certificates of Deposit

Maturities of outstanding certificates of deposit at June 30 are summarized as follows:

 

(in thousands)  2025 
2026  $166,788 
2027   28,861 
2028   3,332 
2029   269 
2030 and thereafter   325 
   $199,575