x
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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT
OF
1934
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For
the fiscal year ended December 31, 2007
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OR
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o
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT
OF
1934
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For
the transition period
from
to
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PAGE
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REPORT
OF INDEPENDENT CERTIFIED PUBLIC ACCOUNTANTS
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1
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FINANCIAL
STATEMENTS
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||
Statements
of net assets available for benefits
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2
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Statement
of changes in net assets available for benefits
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3
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NOTES
TO FINANCIAL STATEMENTS
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4
-
9
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SUPPLEMENTAL
SCHEDULE
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||
Schedule
of assets held for investment purposes at December 31,
2007
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10
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December
31,
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|||||||
2007
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2006
|
||||||
(Unaudited)
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|||||||
ASSETS
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|||||||
Investments
at fair value:
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|||||||
Money
market fund
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$
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264,862
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$
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97,950
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|||
Stable
value fund
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60,425
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29,329
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|||||
Common
and collective trusts
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720,034
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396,687
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|||||
First
Reliance Bancshares, Inc. common stock
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1,230,449
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1,726,106
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|||||
2,275,770
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2,250,072
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||||||
Participant
loans
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75,239
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52,268
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|||||
Total
investments
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2,351,009
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2,302,340
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|||||
Contributions
receivable:
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|||||||
Employer
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5,612
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5,041
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|||||
Employee
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18,159
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15,460
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|||||
Total
contributions receivable
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23,771
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20,501
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|||||
Total
assets
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2,374,780
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2,322,841
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|||||
NET
ASSETS AVAILABLE FOR BENEFITS AT FAIR VALUE
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2,374,780
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2,322,841
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|||||
Adjustment
from fair value to contract value for fully benefit-responsive investment
contracts
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5,203
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536
|
|||||
NET
ASSETS AVAILABLE FOR BENEFITS AT CONTRACT VALUE
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$
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2,379,983
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$
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2,323,377
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Contributions:
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||||
Participants
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$
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438,281
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||
Employer
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233,828
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|||
Interest
and dividends
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16,785
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|||
Net
depreciation in fair value of investments
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(428,203
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)
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||
Total
additions
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260,691
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|||
DEDUCTIONS
FROM NET ASSETS ATTRIBUTED TO:
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||||
Benefits
paid to participants
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190,042
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|||
Administrative
expenses
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14,043
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|||
Total
deductions
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204,085
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|||
Net
increase in net assets
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56,606
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NET
ASSETS AVAILABLE FOR BENEFITS, BEGINNING OF YEAR
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2,323,377
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END
OF YEAR
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$
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2,379,983
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Basis
of accounting
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2007
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2006
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||||||
(Unaudited)
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|||||||
First
Reliance Bancshares, Inc. Common Stock, 116,227 and 109,295 shares,
respectively
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$
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1,230,449
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$
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1,726,106
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|||
Money
Market Fund
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264,862
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97,950
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December 31,
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|||||||
2007
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2006
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||||||
(Unaudited)
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|||||||
Net
assets per the financial statements at contract value
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$
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65,628
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$
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29,865
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|||
Less
fair value adjustment
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(5,203
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)
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(536
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)
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|||
Net
assets per the financial statements at fair value
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$
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60,425
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$
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29,329
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2007
|
2006
|
||||||
(Unaudited)
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|||||||
Net
assets available for benefits per the financial statements at fair
value
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$
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2,374,780
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$
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2,322,841
|
|||
Less:
employer contributions receivable
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(5,612
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)
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(5,041
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)
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|||
Less:
employee contributions receivable
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(18,159
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)
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(15,460
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)
|
|||
Adjustments
from contract value to fair value for fully benefit-responsive investment
contracts
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5,203
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536
|
|||||
Net
assets available for benefits per the Form 5500
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$
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2,356,212
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$
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2,302,876
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Change
in net assets available for benefits per the financial
statements
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$
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56,606
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||
Less:
change in employer contributions receivable
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(571
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)
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||
Less:
change in employee contributions receivable
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(2,699
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)
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Net
income per the Form 5500
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$
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53,336
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(a)
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(b)
Identity of issuer,
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(c)
Description of investment including
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(d)
Cost
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(e)
Current
|
||||||
borrower,
lessor,
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maturity
date, rate of interest, collateral,
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value
|
||||||||
or
similar party
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par
or maturity value
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|||||||||
Various
participant loans*
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Participant
loans with varying maturities and interest
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**
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$
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75,239
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||||||
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rates
ranging from 5.00% to 9.25%
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||||||||
Bank
of New York*
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First
Reliance Bancshares common stock, 88,904 shares
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**
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933,710
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|||||||
State
Street Global Advisors*
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S&P
Midcap Index SL Series Fund - Class A, 2,119 shares
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**
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122,076
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State
Street Global Advisors*
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S&P
Flagship SL Series Fund - Class A, 2,189 shares
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**
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103,076
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|||||||
State
Street Global Advisors*
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S&P
Growth Index SL Fund Series A, 6,806 shares
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**
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59,344
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|||||||
State
Street Global Advisors*
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S&P
Value Index SL Fund Series A, 4,924 shares
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**
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72,642
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|||||||
State
Street Global Advisors*
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Passive
Bond Market Index SL Series Fund A, 967 shares
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**
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10,741
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|||||||
State
Street Global Advisors*
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Long
US Treasury Index SL Series Fund Class A, 1,389 shares
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**
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18,808
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|||||||
State
Street Global Advisors*
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Money
Market Fund
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**
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264,862
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|||||||
State
Street Global Advisors*
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Aggressive
Strategic Balanced SL Fund, 2,362 shares
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**
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43,151
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|||||||
State
Street Global Advisors*
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Moderate
Strategic Balanced SL Fund, 1,515 shares
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**
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27,619
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|||||||
State
Street Global Advisors*
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Conservative
Strategic Balanced SL Fund, 2,095 shares
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**
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36,341
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|||||||
State
Street Global Advisors*
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Daily
EAFE Index SL Series Fund - Class T, 5,175 shares
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**
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99,883
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|||||||
State
Street Global Advisors*
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NASDAQ
100 Index Non-Lending Fund Series A, 2,090 shares
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**
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33,493
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|||||||
State
Street Global Advisors*
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Russell
2000 Index SL Series Fund - Class A, 5,485 shares
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**
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92,860
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|||||||
State
Street Global Advisors*, ***
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Pentegra
Stable Value Fund, 5,322 shares
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**
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65,628
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|||||||
Home
Federal*
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First
Reliance Bancshares common stock, 27,323 shares
|
**
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296,739
|
|||||||
$
|
2,356,212
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* |
Indicates
a party-in-interest to the Plan
|
** |
Cost
information omitted due to participant-directed
plan.
|
*** |
Represents
contract value of the Pentegra Stable Value Fund. Fair value at December
31, 2007 is $60,425.
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FIRST RELIANCE BANCSHARES, INC. | ||
EMPLOYEE STOCK OWNERSHIP PLAN | ||
By:
|
/s/
Jeffrey A. Paolucci
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Jeffrey
A. Paolucci, Plan Administrator
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