Bank of Abbeville & Trust Company
Abbeville, LA
IDRSSD: 213538
Total Assets
$242.59M
Latest filing
Total Deposits
$212.34M
Latest filing
Net Interest Margin
3.59%
Profitability
Routing numbers
Primary routing transit numbers associated with this institution.
1 routeView all→
065200861ABBEVILLE, LA
Key People
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Locations
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Main Office
Bank of Abbeville & Trust Company
123 Concord St
Abbeville, LA 70510
Full Service - Brick and Mortar
Updated 01/30/2026Established 03/14/1894FDIC Certificate 7536
Branches (2)
Page 1 of 1| Name | Address | City / State |
|---|---|---|
| Bank of Abbeville & Trust Company (Main) | 123 Concord St | Abbeville, LA |
| DRIVE-IN BRANCH | 115 S Jefferson St | Abbeville, LA |
| MAURICE BRANCH | 8705 Maurice Avenue | Maurice, LA |
Showing 2 of 2
Quarterly Trends
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Total Assets vs Total Liabilities
Loans & Leases vs Deposits
Interest Income vs Expense
Net Interest Income
Noninterest Expense vs Income
Net Income
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Institution Profile
| Institution Class | Commercial bank, state charter, Fed non-member, and supervised by the FDIC |
| Primary Regulator | FDIC |
| Established Date | 03/14/1894 |
| Community Bank | Yes |
| Ownership Type | Not Mutual |
| ZIP | 70510 |
| State and County Number | 22113 |
| Subchapter S Corporations | Yes |
| Trust Powers | Full Trust Powers Granted |
| Federal Reserve ID Number | 06 |
| Numeric code | 21 |
| Insured by FDIC | Institutions that are currently open and insured by the FDIC |
| Federal Reserve District | Dallas |
| Core Based Statistical Area Name | Lafayette, LA |
Operational Info
| Number of Employees | 37 |
| Domestic Offices | 3 |
| Foreign Offices | 0 |
| US Offices | 0 |
| Directly owned by another bank (CERT) | No |
| Last Structure Change Effective Date | 08/31/2022 |
| Date of Deposit Insurance | 01/01/1934 |
| Primary Insurance Agency | DIF |
| Website | www.bankofabbeville.com |
| Data Updated | 01/30/2026 |
| CERT | 11782 |
| Office of The Comptroller District: | — |
| Office of Thrift Supervision Region | N/A |
Financial Summary
| Total Assets | $242.59M |
| Total Deposits | $212.34M |
| Total Liabilities | $214.43M |
| Total Equity Capital | $28.16M |
| Net Income | $866.00k |
| Net Loans and Leases | $117.21M |
| Assets Per Employee ($Millions) | $6.56M |
| Bank Premises and Fixed Assets | $4.64M |
| Cash and Balances due from Depository Institutions | $27.48M |
| Deposits Held in Domestic Offices | $212.34M |
Key Performance Ratios
| Return on Assets (ROA) | 1.45% |
| Return on Equity (ROE) | 12.45% |
| Net Interest Margin | 3.59% |
| Efficiency Ratio | 63.19% |
| Tier 1 Risk-Based Capital Ratio | 0% |
| Net Loans and Leases to Core Deposits | 0% |
| Credit Loss Provision to Assets | 0.02% |
| Cash Dividends to Net Income (YTD Only) | 0% |
| Equity Capital to Assets | 11.607% |
| Earning Assets to total Assets | 94.32% |
Income and Expense
| Total Interest Income | $2.79M |
| Total Noninterest Income | $346.00k |
| Total Interest Expense | $756.00k |
| Total Noninterest Expense | $1.50M |
| Net Interest Income | $2.03M |
| Pre-tax Net Operating Income | $866.00k |
| Provision for Credit Losses | $9.00k |
| Discontinued Operations (Extraordinary Gains - Net) | $0 |
Additional Financial Info
| Goodwill and Other Intangibles | $0 |
| All Other Assets | — |
| Other Real Estate Owned | $127.00k |
| Other borrowed funds | $0 |
| Federal Funds Sold & Reverse Repurchase Agreement | $7.00M |
| Federal Funds Purchased and Repurchased Agreement | $0 |
| All Other Liabilities | $2.09M |
| Total Liabilities and Capital | $242.59M |
Securities
| Securities | $81.00M |
| Available-for-sale debt securities | $79.36M |
| Equity securities with readily determinable fair values not held for trading | — |
| Held-to-maturity securities | $1.65M |
| Subordinated Debt | $0 |
| Trading Account Assets | $0 |
| Trading Liabilities | $0 |
Frequently Asked Questions
What are the total assets of Bank of Abbeville & Trust Company?
$242.59M as of the latest filing.
How much are Bank of Abbeville & Trust Company's total deposits?
$212.34M in total deposits.
Where is Bank of Abbeville & Trust Company located?
Abbeville, LA.
What is the Net Interest Margin?
3.59%.
How many domestic offices does it operate?
3.
When was it established?
03/14/1894.
What is the Return on Assets (ROA)?
1.45%.
How much are total loans and leases?
$117.21M (latest filing).
What is the total interest income (latest filing)?
$2.79M.