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Indemnification liability (Tables)
3 Months Ended
Mar. 31, 2023
Indemnification Liability  
Schedule of Outstanding Amounts

  

March 31,
2023

  

December 31,
2022

 
Secured term loans  $16,300,000   $15,300,000 
Unsecured loans and lines of credit   3,791,428    3,598,042 
Total loans funded by Parent  $20,091,428   $18,898,042 
Schedule of Indemnity Liability

The indemnity liability activity are as follows:

  

Three Months
ended

March 31, 2023

  

Three Months
ended

March 31, 2022

 
Beginning balance  $499,465   $- 
Cumulative effect from adoption of CECL     566,341       -  
Charge-offs   -    - 
Recoveries   -    - 
Provision   82,026    58,386 
Ending balance  $1,147,832   $58,386 
Schedule of Provision for Loan Losses

The provision for credit losses on the statement of operations consists of the following activity for the three months ended March 31, 2023 and year ended December 31, 2022:

   Commercial
real estate
loans
   Indemnity
liability
   Total   Commercial
real estate
loans
   Indemnity
liability
   Total 
  

March 31, 2023

  

March 31, 2022

 
   Commercial
real estate
loans
   Indemnity
liability
   Total   Commercial
real estate
loans
   Indemnity
liability
   Total 
Provision (benefit)  $(15,390)  $82,056   $66,666   $9,805   $58,386   $68,191