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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2022
Mar. 31, 2021
Operating Activities    
Net income $ 18,219 $ 19,039
Adjustments to reconcile net income to net cash provided by operating activities:    
Provision for credit losses 1,358 2,820
Depreciation and amortization of premises and equipment 1,460 1,639
Net gain on sales of loans 0 (31)
Net gain on sale and disposition of assets 0 (621)
Net amortization of (discounts) premiums (492) 107
Net (gain) loss from fair value adjustments of qualifying hedges 129 (1,427)
Net (gain) loss from fair value adjustments 1,809 (982)
Income from bank owned life insurance (1,114) (997)
Stock-based compensation expense 4,194 3,470
Deferred compensation (2,545) (1,754)
Amortization of core deposit intangibles 142 159
Decrease (increase) in other assets 3,570 (6,972)
(Decrease) increase in other liabilities 13,847 (4,881)
Net cash provided by operating activities 40,577 9,569
Investing Activities    
Purchases of premises and equipment (874) (958)
Net redemptions of Federal Home Loan Bank-NY shares 2,046 1,941
Purchases of securities held-to-maturity (16,476) 0
Purchases of securities available for sale (130,312) (352,637)
Proceeds from sales and calls of securities available for sale 0 7,500
Proceeds from maturities and prepayments of securities available for sale 32,177 227,829
Net repayments (originations) of loans 72,080 (41,680)
Purchases of loans (54,309) (25,948)
Proceeds from sale of loans 0 8,249
Net cash used in investing activities (95,668) (175,704)
Financing Activities    
Net increase in non interest-bearing deposits 73,406 138,517
Net increase in interest-bearing deposits 16,482 97,227
Net increase in mortgagors' escrow deposits 27,582 28,726
Net proceeds from short-term borrowed funds 110,000 0
Repayment of long-term borrowings (50,000) (73,361)
Purchases of treasury stock (10,845) (1,290)
Cash dividends paid (6,850) (6,652)
Net cash provided by financing activities 159,775 183,167
Net increase in cash and cash equivalents 104,684 17,032
Cash and cash equivalents, beginning of period 81,723 157,388
Cash and cash equivalents, end of period 186,407 174,420
Supplemental Cash Flow Disclosure    
Interest paid 6,846 9,935
Income taxes paid 214 1,579
Taxes paid if excess tax benefits on stock-based compensation were not tax deductible $ 384 $ 1,254