x
|
ANNUAL
REPORT PURSUANT TO SECTION 15(D) OF THE SECURITIES EXCHANGE ACT
OF
1934.
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¨
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TRANSITION
REPORT PURSUANT TO SECTION 15(D) OF THE SECURITIES EXCHANGE ACT
OF
1934.
|
A.
|
Full
title of the plan and the address of the plan, if different from
that of
the issuer named below:
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B.
|
Name
of issuer of the securities held pursuant to the plan and the address
of
its principal executive office:
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(a)
|
Financial
Statements
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(b)
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Exhibit
|
FLAG FINANCIAL CORPORATION | ||
PROFIT SHARING THRIFT PLAN | ||
By: |
/s/
Cindy Cline
|
|
Cindy
Cline
|
||
Senior
Vice President
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||
Dated:
June 30, 2005
|
/s/
PORTER KEADLE MOORE, LLP
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2004
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2003
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||||||
Assets
|
|||||||
Cash
|
$
|
10,755
|
77,564
|
||||
Investments
in mutual funds
|
4,786,975
|
4,061,211
|
|||||
Common
stock of Flag Financial Corporation
|
3,623,492
|
3,222,247
|
|||||
Contributions
receivable
|
37,151
|
-
|
|||||
$
|
8,458,373
|
7,361,022
|
|||||
Liabilities
and Net Assets Available for Plan Benefits
|
|||||||
Liabilities
consisting of administrative expenses payable
|
$
|
35,152
|
20,678
|
||||
Net
assets available for plan benefits
|
8,423,221
|
7,340,344
|
|||||
$
|
8,458,373
|
7,361,022
|
2004
|
||||
Additions
to net assets attributed to:
|
||||
Investment
income:
|
||||
Interest
and dividends
|
$
|
7,393
|
||
Net
change in fair value of investments
|
938,490
|
|||
Total
investment income
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945,883
|
|||
Contributions:
|
||||
Employee
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731,900
|
|||
Employer
|
451,661
|
|||
Rollover
|
65,593
|
|||
Total
contributions
|
1,249,154
|
|||
Total
additions
|
2,195,037
|
|||
Deductions
from net assets attributed to:
|
||||
Distributions
to participants
|
1,066,628
|
|||
Administrative
expenses
|
45,532
|
|||
Total
deductions
|
1,112,160
|
|||
Change
in net assets available for plan benefits
|
1,082,877
|
|||
Net
assets available for plan benefits:
|
||||
Beginning
of period
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7,340,344
|
|||
End
of period
|
$
|
8,423,221
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(1)
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Description
of the Plan
|
Years
of Service
|
Percentage
|
|
Less
than 2
|
0%
|
|
2
|
20%
|
|
3
|
40%
|
|
4
|
60%
|
|
5
|
80%
|
|
6
or more
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100%
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(1)
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Description
of the Plan, continued
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1.
|
Flag
Financial Corporation common stock
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2.
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Reliance
Lifestyle Portfolios:
|
a.
|
Capital
Preservation Portfolio - This
fund seeks to provide a combination of current income and modest
capital
growth with an emphasis on capital
preservation.
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b.
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Moderate
Growth Portfolio -
This fund seeks to provide a combination of growth and current
income.
|
c.
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Wealth
Building Portfolio -
This fund seeks to provide long-term growth of capital with consideration
also given to current income.
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d.
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Aggressive
Appreciation Portfolio -
This fund seeks to provide long-term growth of
capital.
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e.
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Stable
Value Portfolio
-
This
fund seeks to provide higher current income than money market
funds and
also provides liquidity.
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(2)
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Summary
of Significant Accounting
Policies
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(3)
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Investments
|
2004
|
||||
Moderate
Growth Portfolio
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$
|
1,316,590
|
||
Wealth
Building Portfolio
|
1,411,350
|
|||
Aggressive
Appreciation Portfolio
|
777,107
|
|||
Flag
Financial Corporation Common Stock
|
3,623,492
|
|||
2003
|
||||
Moderate
Growth Portfolio
|
$
|
1,155,909
|
||
Wealth
Building Portfolio
|
1,242,130
|
|||
Aggressive
Appreciation Portfolio
|
666,360
|
|||
Flag
Financial Corporation Common Stock
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3,222,247
|
Mutual
Funds
|
$
|
527,838
|
||
Common
Stock
|
410,652
|
|||
$
|
938,490
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(4)
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Tax
Status
|
(c)
Description of investment
|
||||||||
including
maturity date,
|
||||||||
(b)
Identity of issue, borrower,
|
rate
of interest, collateral,
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(e)
Current
|
||||||
(a)
|
lessor,
or similar party
|
par,
or maturity value
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(d)
Cost
|
Value
|
||||
Reliance
Trust Company
|
American
Funds Cash Management
|
N/A
|
$
277,464
|
|||||
Reliance
Trust Company
|
Strong
Corporate Bond Fund
|
N/A
|
6,922
|
|||||
Reliance
Trust Company
|
Fidelity
Advisor Short Fixed Income Fund
|
N/A
|
10,115
|
|||||
Reliance
Trust Company
|
John
Hancock Sovereign Bond Fund
|
N/A
|
15,588
|
|||||
Reliance
Trust Company
|
AIM
Small Cap Growth Fund
|
N/A
|
73,561
|
|||||
Reliance
Trust Company
|
EuroPacific
Growth Fund
|
N/A
|
28,558
|
|||||
Reliance
Trust Company
|
American
Funds Growth Fund
|
N/A
|
96,772
|
|||||
Reliance
Trust Company
|
MFS
Equity Income (Value) Fund
|
N/A
|
173,358
|
|||||
Reliance
Trust Company
|
Oppenheimer
Global Fund
|
N/A
|
80,745
|
|||||
Reliance
Trust Company
|
Van
Kampen Growth & Income Fund
|
N/A
|
2,729
|
|||||
Reliance
Trust Company
|
Capital
Preservation Portfolio
|
N/A
|
329,488
|
|||||
Reliance
Trust Company
|
Moderate
Growth Portfolio
|
N/A
|
1,316,590
|
|||||
Reliance
Trust Company
|
Wealth
Building Portfolio
|
N/A
|
1,411,350
|
|||||
Reliance
Trust Company
|
Aggressive
Appreciation Portfolio
|
N/A
|
777,107
|
|||||
Reliance
Trust Company
|
MetLife
Ins. Co. Prods
|
N/A
|
130,230
|
|||||
Reliance
Trust Company
|
Alliance
Corporate Portfolio
|
N/A
|
1,088
|
|||||
Reliance
Trust Company
|
Columbia
Acorn Fund
|
N/A
|
55,310
|
|||||
|
|
|||||||
*
|
Flag
Financial Corporation
|
Shares
of $1 par value common stock
|
N/A
|
3,623,492
|
||||
*
Party in interest
|