First National Bank Minnesota
ACH Number: 91903161
First National Bank Minnesota is an FDIC insured institution headquartered at
226 Nassau St, Saint Peter, MN 56082.
It was founded in
1857 and has approximately $0 billion in assets. Customers can open an account at one of its 3 branches.
Deposit Rates -
August 24, 2026
SAVINGS RATES
APY
MIN
Savings
0.02%
$2,500
Compare
CD RATES
APY
MIN
6 Mo CD
0.15%
$10,000
Compare
6 Mo CD
0.15%
$100,000
Compare
12 Mo CD
0.25%
$10,000
Compare
12 Mo CD
0.25%
$100,000
Compare
18 Mo CD
0.30%
$10,000
Compare
18 Mo CD
0.30%
$100,000
Compare
24 Mo CD
0.40%
$10,000
Compare
24 Mo CD
0.40%
$100,000
Compare
36 Mo CD
0.55%
$10,000
Compare
36 Mo CD
0.55%
$100,000
Compare
48 Mo CD
0.70%
$10,000
Compare
48 Mo CD
0.70%
$100,000
Compare
60 Mo CD
0.80%
$10,000
Compare
60 Mo CD
0.80%
$100,000
Compare
MM RATES
APY
MIN
Money Market
0.04%
$2,500
Compare
Money Market
0.07%
$10,000
Compare
Money Market
0.07%
$25,000
Compare
VARIABLE IRA RATES
APY
MIN
Var IRA
0.05%
$1
INT CHECKING RATES
APY
MIN
Int Ckg
0.03%
$1
Int Ckg
0.03%
$2,500
Overview 2026
General Bank Information
FDIC Insured
Yes
FDIC Certificate
# 5247
Date Established
1857
Assets
$ 451.14 million
Loans
$ 334.14 million
Deposits
$ 386.40 million
Capital
$ 42.58 million
Summary Balance Sheet as of December 31, 2025
ASSETS
Cash & Balances due from depository institutions
$ 12.10 million
Interest-bearing balances
$ 5.23 million
Total securities
$ 76.81 million
Federal funds sold and reverse repurchase
$ 1.64 million
Net loans and leases
$ 334.14 million
Loan loss allowance
$ 4.55 million
Trading account assets
N.A.
Bank premises and fixed assets
N.A.
Other real estate owned
$ 0.98 million
Goodwill and other intangibles
$ 4.52 million
All other assets
$ 11.72 million
Total Assets
$ 408.56 million
LIABILITIES
Total deposits
$ 386.40 million
Interest-bearing deposits
$ 299.75 million
Deposits held in domestic offices
$ 386.40 million
% insured (estimated)"
81.02%
Federal funds purchased and repurchase agreements
N.A.
Trading liabilities
N.A.
Other borrowed funds
$ 9.05 million
Subordinated debt
N.A.
All other liabilities
$ 0.96 millionn
Total Liabilities
$ 408.56 million
Shareholders’ Equity
$ 42.58 million
Summary Income Statement as of December 31, 2025
INCOME AND EXPENSES
Total Interest Income
$ 21.99 million
Total Interest Expense
$ 6.11 million
Net interest income
$ 15.88 million
Provision for loan and lease losses
$ 2.93 million
Total non interest income
$ 2.25 million
Total non interest expense
$ 11.63 million
Pre-tax Net Operating Income
$ 2.51 million
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