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National Credit Union Service Organization

CITADEL FEDERAL CREDIT UNION
— Statement of Financial Condition

Then NCUA provides quarterly Call Reports using accounting and statistical information from each credit union. The Call Report includes Balance Sheet, Income Statement and more.

Statement of financial condition for CITADEL FEDERAL CREDIT UNION as of: December 31, 2023.
Charter Number: 2099

ASSETS$ Amount
CASH:  
 1. Cash on Hand 26,500,301
 2. Cash on Deposit (Amounts Deposited in Financial Institutions) 257,506,744
 3. Cash Equivalents (Investments with Original Maturities of Three Months or Less) 0
INVESTMENTS:  
 4. Equity Securities 0
 5. Trading Debut Securities 0
 6. Available-for-Sale Debt Securities 240,907,968
 7. Held-to-Maturity Debt Securities 0
 8. Deposits in commercial banks, S&Ls, savings banks 0
 9. Loans to and investments in natural person credit unions 0
 10. Nonperpetual Capital Account 0
 11. Perpetual Contributed Capital 0
 12. All other investments in corporate credit unions 0
 13. All other investments 0
 14. TOTAL INVESTMENTS 0
LOANS HELD FOR SALE:  
 15. Loans Held for Sale 0
LOANS AND LEASES:  
 16. TOTAL LOANS & LEASES 5,101,342,303
 17. Less: Allowance for Loan & Lease Losses 0
 18: Less: Allowance for Credit Losses on Loans & Leases 30,413,746
OTHER ASSETS:  
 19. Foreclosed and Repossessed Assets 162,686
 20. Land and Building 60,686,500
 21. Other Fixed Assets 11,459,813
 22. NCUA Share Insurance Capitalization Deposit 43,271,698
 23. Intangible Assets 0
 24. Other Assets 0
25. TOTAL ASSETS 5,811,716,221
LIABILITIES$ Amount
 1. Draws Against Lines of Credit 516,000,000
 2. Other Notes, Promissory Notes and Interest Payable 0
 3. Borrowing Repurchase Transactions 0
 4. Subordinated Debt 0
 5. Subordinated Debt included in Net Worth 0
 6. TOTALS 516,000,000
 7. Non-Trading Derivative Liabilities 0
 8. Accrued Dividends & Interest Payable on Shares & Deposits 23,047
 9. Accounts Payable and Other Liabilities 54,531,991
 10. Allowance for Credit Losses on Off-Balance Sheet Credit Exposures 0
SHARES/DEPOSITS:  
 11. Share Drafts 264,389,305
 12. Regular Shares 2,342,207,624
 13. Money Market Shares 338,950,281
 14. Share Certificates 1,435,282,753
 15. IRA/KEOGH Accounts 266,869,440
 16. All Other Shares 0
 17. TOTAL SHARES 4,647,699,403
 18. Nonmember Deposits 62,895,184
 19. TOTAL SHARES AND DEPOSITS 4,710,594,587
20. TOTAL LIABILITIES  
 21. Accounts Held by Member Public Units 14,452,870
 22. Accounts Held by Nonmember Public Units 0
 23. Employee Benefit Member Shares 0
 24. Employee Benefit Nonmember Shares 0
 25. 529 Plan Member Deposits 0
 26. Non-dollar denominated deposits 0
 27. Health Savings Account 0
 28. Dollar Amount of Share Certificates equal to or greater than $100,000 (Excluding brokered share certificates participated out by the broker in shares of less than $100,000) 806,407,562
 29. Dollar Amount of IRA/Keogh Accounts equal to or greater than $100,000 116,276,509
 30. Dollar Amount of Share Drafts Swept to Regular Shares or Money Market Accts as part of Sweep Program 427,225,979
 31. Dollar Amount of Commercial Share Accounts 315,039,326
 32. Negative Shares Included in All Other Unsecured Loans/Lines of Credit 722,953
EQUITY:  
 33. Undivided Earnings 557,754,250
 34. Regular Reserves 0
 35. Appropriation for Non-Conforming Investments (State Credit Unions ONLY) 0
 36. Other Reserves.(Appropriations of Undivided Earnings) 0
 37. Equity Acquired in Merger 0
 38. Miscellaneous Equity 0
 39. Other Comprehensive Income (not already included in items 40 - 43) 0
 40. Accumulated Unrealized Net Gains (Losses) on Cash Flow Hedges 0
 41. Accumulated Unrealized Gains (Losses) on Available for Sale Debt Securities -27,187,654
 42. Accumulated Unrealized Losses for OTTI (Due to Other Factors) on HTM Debt Securities 0
 43. Net Income (unless this amount is already included in Undivided Earnings) 0
44. TOTAL LIABILITIES, SHARES, AND EQUITY 5,811,716,221
Statement of Income & Expense$ Amount
INTEREST INCOME YEAR-TO-DATE FOR THE CYCLE  
 1. Interest on Loans (Gross-before interest refunds) 231,438,290
 2. (Less) Interest Refunded 0
 3. Income from Investments (Including Interest and Dividends, excluding securities held in a trading account) 23,920,946
 4. Unrealized Gain (Loss) due to change in fair value of Equity and Trading Debt Securities 0
 5. TOTAL INTEREST INCOME 255,359,236
INTEREST EXPENSE YEAR-TO-DATE FOR THE CYCLE  
 6. Dividends on Shares (Includes dividends earned during current period) 100,034,458
 7. Interest on Deposits (Total interest expense for deposit accounts) (State Credit Union ONLY) 0
 8. Interest on Borrowed Money 19,256,210
 9. TOTAL INTEREST EXPENSE 119,290,668
 10. Provision for Loan & Lease Losses 0
 11. Total Credit Loss Expense 15,154,982
 12. NET INTEREST INCOME AFTER PROVISION FOR LOAN AND LEASE LOSSES or CREDIT LOSS EXPENSE 0
NON-INTEREST INCOME YEAR-TO-DATE FOR THE CYCLE  
 13. Fee Income 19,073,640
 14. Other Operating Income (Includes unconsolidated CUSO Income and Gain (Loss) associated with the Hedged Item (NonInvestment Assets) in a Non-Trading, Fair Value (FV) Derivatives Hedge) 0
 15. Gain (Loss) on Equity Securities (DO NOT include Gain (Loss) on other securities) 0
 16. Gain (Loss) on Other Securities (DO NOT include Gain or Loss on Equity Securities) 0
 17. Gain (Loss) on Non-Trading Derivatives 0
 18. Gain (Loss) on Disposition of Fixed Assets 0
 19. Gain from Bargain Purchase (Merger) 0
 20. Other Non-operating Income (Expense) 0
 21. TOTAL NON-INTEREST INCOME 52,606,935
NON-INTEREST EXPENSE YEAR-TO-DATE FOR THE CYCLE  
 22. Total Employee Compensation and Benefits 64,491,723
 23. Travel and Conference Expense 582,793
 24. Office Occupancy Expense 6,767,901
 25. Office Operations Expense 20,153,734
 26. Educational and Promotional Expenses 6,948,852
 27. Loan Servicing Expense 10,801,602
 28. Professional and Outside Services 16,380,409
 29. Total Member Insurance 0
 30. Operating Fees (Examination and/or supervision fees) 502,050
 31. Miscellaneous Operating Expenses 718,763
 32. TOTAL NON-INTEREST EXPENSE 127,347,827
33. NET INCOME (LOSS) 46,172,694
RESERVE TRANSFERS YEAR-TO-DATE FOR THE CYCLE  
 34. Transfer to Regular Reserves 0
Interest Rate# LoansAmount
Non-Commercial Loans/Lines of Credit
 1. Unsecured Credit Card Loans12.4963,213$213,377,477
 2. Payday Alternative Loans (PALs I and PALs II)0.000$0
 3. Non-Federally Guaranteed Student Loans0.000$0
 4. All Other Unsecured Loans/Lines of Credit - include SBA PPP loans12.249,403$73,837,205
 5. New Vehicle Loans7.0920,567$525,048,986
 6. Used Vehicle Loans7.3947,946$832,417,443
 7. Leases Receivable7.0536$1,612,083
 8. All Other Secured Non-Real Estate Loans/Lines of Credit3.10128$1,076,897
 9. Loans/Lines of Credit Secured by a First Lien on a single 1- to 4- Family Residential Property6.636,918$2,570,831,957
 10. Loans/Lines of Credit Secured by a Junior Lien on a single 1- to 4- Family Residential Property7.3911,487$526,644,626
 11. All Other Real Estate Loans/Lines of Credit0.000$0
Commercial Loans / Lines of Credit
 12. Commercial Loans/Lines of Credit Real Estate Secured4.95299$332,237,534
 13. Commercial Loans/Lines of Credit Not Real Estate Secured10.201,777$24,258,095
 14. TOTAL LOANS & LEASES161,774$5,101,342,303
YEAR-TO-DATE LOAN INFORMATIONNumberAmount
 15. Loans Granted Year-to-Date26,683$874,945,414
  a. Payday Alternative Loans (PALs I and PALs II) Granted Year-to-Date0$0
MISCELLANEOUS LOAN INFORMATIONNumberAmount
 16. Non-Federally Guaranteed Student Loans in Deferred Status0$0
 17. Loans Outstanding to Credit Union Officials and Senior Executive Staff31$3,091,504
GOVERNMENT GUARANTEED LOANSNumberOutstanding BalanceGuaranteed Portion
 18. Non-Commercial Loans  
  a. 1. Small Business Administration0$0$0
  a. 2. Paycheck Protection Program Loans (Included in 18.a.1.)0$0-
  b. Other Government Guaranteed0$0$0
 19. Commercial Loans  
  a. Small Business Administration0$0$0
  b. Other Government Guaranteed0$0$0