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LOANS (Detail Textuals 1)
$ in Thousands
1 Months Ended 12 Months Ended
Jun. 19, 2015
USD ($)
Feb. 14, 2014
USD ($)
Dec. 31, 2017
USD ($)
segment
Dec. 31, 2016
USD ($)
segment
Dec. 31, 2015
USD ($)
Financing Receivables          
Impaired loans     $ 22,500 $ 3,400  
Other real estate owned     0 0  
Charge offs relating to TDRs     $ 400 $ 100 $ 700
Number of loans modified as TDRs for which there was a payment default within twelve months following the modification | segment     2 1  
Period of modified contractually past due loans to be considered as payment default     30 days    
Nonaccrual troubled debt restructured loans     $ 5 $ 300  
Amount of current and performing TDR loans     16,700 2,400  
Appraised value of collateral for nonaccrual TDR loans       1,300  
Post-Modification of other than troubled debt restructuring, recorded investment     52,500    
Increase in allowance for loan losses     100    
Purchased Credit Impaired Loans Charge - off     100    
Loans modified as TDRs     14,781 1,305 $ 160
30-89 Days Past Due          
Financing Receivables          
Acquired loans     2,400 1,000  
Special Mention | Commercial real estate | Mortgage loans          
Financing Receivables          
Loans modified as TDRs     7,800    
Substandard | Taxi medallion          
Financing Receivables          
Loans modified as TDRs     6,800    
FNBNY          
Acquired Loans          
Contractually required principal and interest payments receivable   $ 40,300      
Expected cash flows   28,400      
Fair value (initial carrying amount) of purchased credit impaired loans   21,800      
Non-accretable difference   11,900      
Initial accretable yield   $ 6,600      
Outstanding balance of purchased credit impaired loans     4,000 12,200  
Carrying amount of purchased credit impaired loans     2,400 7,000  
Remaining non-accretable difference     700 1,300  
FNBNY | Special Mention          
Financing Receivables          
Total loans     200 200  
FNBNY | Substandard          
Financing Receivables          
Total loans     300 200  
CNB          
Acquired Loans          
Contractually required principal and interest payments receivable $ 23,400        
Expected cash flows 10,100        
Fair value (initial carrying amount) of purchased credit impaired loans 8,700        
Non-accretable difference 13,300        
Initial accretable yield $ 1,400        
Outstanding balance of purchased credit impaired loans     7,600 12,200  
Carrying amount of purchased credit impaired loans     1,000 2,300  
Remaining non-accretable difference     5,300 6,900  
CNB | Special Mention          
Financing Receivables          
Total loans     400 10  
CNB | Substandard          
Financing Receivables          
Total loans     $ 1,600 $ 1,500