CSB Bancorp Inc (Ohio) (PK:CSBB)

Sector:  Financials Industry:  Banks
 
See Regulatory Filings on SEC
Company Contact
Address: 91 North Clay St
MILLERSBURG OH 44654
Tel: N/A
Website: N/A
IR: N/A
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Key People
Eddie L. Steiner
President, Chief Executive Officer, Director
Paula J. Meiler
Chief Financial Officer, Senior Vice President
Brett A. Gallion
Chief Operating Officer, Executive Vice President, Chief Information Officer
Business Overview
CSB Bancorp, Inc. is a financial holding company. The Company operates through its wholly owned subsidiary, Commercial and Savings Bank of Millersburg, Ohio (the Bank). The Company operates primarily through the Bank and CSB Investment Services, LLC, providing a wide range of banking, trust, financial, and brokerage services to corporate, institutional, and individual customers throughout northeast Ohio. The Bank provides retail and commercial banking services to its customers, including checking and savings accounts, time deposits, individual retirement accounts (IRAs), safe deposit facilities, personal loans, commercial loans, real estate mortgage loans, installment loans, night depository facilities, brokerage, and trust services. The Bank provides residential real estate, commercial real estate, commercial, and consumer loans to customers located primarily in Holmes, Stark, Tuscarawas, Wayne, and portions of surrounding counties in Ohio.
Financial Overview
For the fiscal year ended 31 December 2023, CSB Bancorp Inc (Ohio) interest income increased 32% to $46M. Net interest income after loan loss provision increased 8% to $35.9M. Net income increased 11% to $14.8M. Net interest income after loan loss provision reflects Banking operations segment increase from $0K to $35.9M. Net income benefited from Professional and director fees decrease of 5% to $1.5M (expense).
Employees: 161 as of Dec 31, 2023
Reporting Currency: U.S. Dollars
Enterprise value: $110.44M as of Dec 31, 2023
Annual revenue (TTM): $46.02M as of Dec 31, 2023
EBITDA (TTM): N/A
Net annual income (TTM): $14.76M as of Dec 31, 2023
Free cash flow (TTM): $11.19M as of Dec 31, 2023
Net Debt Last Fiscal Year: $11.38M as of Dec 31, 2023
Shares outstanding: 2,664,967 as of Mar 15, 2024
TTM: Trailing Twelve Months
EBITDA: Earnings Before Interest, Taxes, Depreciation, & Amortization

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