Form 10 Explorer
10-Q
Quarterly Report
Affinity Bancshares, Inc.

AFBI

NASDAQ

CIK: 1823406

File #: 001-39914

Period End: Jun 30, 2024

Fiscal Year: 2024

View on EDGAR
Balance Sheet
105 line items · 2 periods
XBRL
ItemJun 30, 2024Dec 31, 2023
Assets
Cash and due from banks
6,158,0006,030,000
Interest-earning deposits in other depository institutions
44,239,00043,995,000
Cash and cash equivalents
50,397,00050,025,000
Investment securities available-for-sale
47,266,00048,561,000
U.S. Government Sponsored Enterprises
8,726,0008,630,000
Level 2 - Estimated Fair Value
47,266,00048,561,000
Government Agency Mortgage-Backed Securities
15,026,00015,948,000
Level 2 - Carrying Amount
47,266,00048,561,000
Debt Securities excluding Mortgage Backed Securities
32,240,000
Collateral Pledged
3,900,0004,200,000
Municipal Securities - Taxable
2,153,0002,135,000
Corporate Securities
16,426,00016,908,000
Level 2 - Fair Value, Measurements, Recurring
47,300,00048,600,000
Municipal Securities - Tax Exempt
432,000442,000
U.S. Treasury Strip Bonds
4,503,0004,498,000
Investment securities held-to-maturity (estimated fair value of $33,901, net of allowance for credit losses of $45 at June 30, 2024 and estimated fair value of $33,835, net of allowance for credit losses of $45 at December 31, 2023)
34,248,00034,206,000
Other investments
5,491,0005,434,000
Loans
692,591,000659,876,000
30 -59 Days Past Due
139,0002,780,000
Construction, Land and Acquisition & Development - 30 -59 Days Past Due
0
Construction, Land and Acquisition & Development - Pass
62,321,00047,664,000
Commercial (Secured by Real Estate - Non-owner Occupied) - Substandard
192,0004,535,000
Construction, Land and Acquisition & Development - Total Past Due
0
Commercial and Industrial
145,263,000140,407,000
Residential Mortgage
52,567,00053,650,000
Construction, Land and Acquisition & Development
62,341,00047,685,000
Commercial (Secured by Real Estate - Owner Occupied)
158,031,000157,691,000
Consumer Installment - Pass
115,277,000114,533,000
Commercial (Secured by Real Estate - Non-owner Occupied) - Special Mention
4,035,0004,079,000
Consumer Installment - Current
115,350,000114,680,000
Commercial (Secured by Real Estate - Non-owner Occupied) - Pass
154,373,000136,486,000
Substandard
3,338,0007,748,000
Commercial (Secured by Real Estate - Owner Occupied) - Pass
155,759,000157,359,000
Consumer Installment
115,789,000115,343,000
Residential Mortgage - Current
50,027,00048,612,000
Consumer Installment - Current Period Gross Charge Offs
298,000307,000
Residential Mortgage - Substandard
2,771,0002,796,000
Construction, Land and Acquisition & Development - Current
62,321,00047,685,000
Pass
682,571,000647,081,000
Current
689,428,000649,670,000
Special Mention
6,682,0005,047,000
Residential Mortgage - 30 -59 Days Past Due
56,0002,534,000
Residential Mortgage - Current Period Gross Charge Offs
50,000
Commercial and Industrial - Current
145,263,000140,407,000
Commercial (Secured by Real Estate - Non-owner Occupied) - Current
158,436,000140,595,000
Current Period Gross Charge Offs
512,000514,000
Commercial and Industrial - Pass
145,263,000140,407,000
Total Past Due
139,0002,780,000
Residential Mortgage 1-4 Family
52,567,00053,650,000
Construction, Land and Acquisition & Development - Substandard
20,00021,000
Residential Mortgage - Pass
49,578,00050,632,000
Commercial (Secured by Real Estate - Non-owner Occupied) - Current Period Gross Charge Offs
164,000204,000
Commercial (Secured by Real Estate - Non-owner Occupied)
158,600,000145,100,000
Residential Mortgage - Special Mention
218,000222,000
Residential Mortgage - Total Past Due
56,0002,534,000
Consumer Installment - 30 -59 Days Past Due
83,000246,000
Consumer Installment - Special Mention
157,000414,000
Consumer Installment - Substandard
355,000396,000
Consumer Installment - Total Past Due
83,000246,000
Commercial (Secured by Real Estate - Owner Occupied) - Current
158,031,000157,691,000
Commercial (Secured by Real Estate - Owner Occupied) - Special Mention
2,272,000332,000
Commercial and Industrial - Current Period Gross Charge Offs
3,000
Less allowance for credit losses
8,461,0008,921,000
Commercial (Secured by Real Estate - Non-owner Occupied)
1,319,0001,298,000
Unallocated
294,000921,000
Construction, Land and Acquisition & Development
1,176,000927,000
Residential Mortgage
1,106,0001,038,000
Commercial (Secured by Real Estate - Owner Occupied)
1,309,0001,397,000
Unfunded Commmitments
744,000531,000
Commercial and Industrial
1,707,0001,806,000
Consumer Installment
1,550,0001,534,000
Net loans
684,130,000650,955,000
Other real estate owned
02,850,000
Fair Value, Measurements, Nonrecurring
2,850,000
Level 3 - Fair Value, Measurements, Nonrecurring
2,850,000
Premises and equipment, net
3,569,0003,797,000
Bank owned life insurance
16,283,00016,086,000
Intangible assets
18,271,00018,366,000
Other assets
13,927,00012,978,000
Total assets
873,582,000843,258,000
Liabilities and Stockholders' Equity
Liabilities:
Non-interest-bearing checking
161,156,000154,689,000
Interest-bearing checking
88,742,00085,362,000
Money market accounts
147,250,000138,673,000
Savings accounts
74,077,00074,768,000
Certificates of deposit
218,487,000220,951,000
Total deposits
689,712,000674,443,000
Federal Home Loan Bank advances and other borrowings
51,837,00040,000,000
Accrued interest payable and other liabilities
6,968,0007,299,000
Total liabilities
748,517,000721,742,000
Stockholders' equity:
Common stock (par value $0.01 per share, 40,000,000 shares authorized; 6,416,628 issued and outstanding at June 30, 2024 and December 31, 2023)
64,00064,000
Additional paid in capital
61,773,00061,026,000
Unearned ESOP shares
4,482,0004,587,000
Retained earnings
73,711,00071,345,000
Accumulated other comprehensive loss
(6,001,000)(6,332,000)
Total stockholders' equity
125,065,000121,516,000
Accumulated Other Comprehensive Income (Loss)
(6,001,000)(6,332,000)
Retained Earnings
73,711,00071,345,000
Unearned ESOP Shares
(4,482,000)(4,587,000)
Common Stock
64,00064,000
Additional Paid In Capital
61,773,00061,026,000
Total liabilities and stockholders' equity
873,582,000843,258,000