XML 70 R51.htm IDEA: XBRL DOCUMENT v3.25.0.1
Fair Values of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2024
Fair Values of Financial Instruments  
Schedule of carrying amount and estimated fair values of financial instruments

December 31, 2024

Carrying

Fair

    

Amount

    

Value

    

Level 1

    

Level 2

    

Level 3

Financial assets:

Cash and due from banks

$

52,175

$

52,175

$

52,175

$

-

$

-

Interest earning deposits with financial institutions

47,154

47,154

47,154

-

-

Securities available-for-sale

1,161,701

1,161,701

194,143

952,408

15,150

FHLBC and FRBC stock

19,441

19,441

-

19,441

-

Loans held-for-sale

1,556

1,556

-

1,556

-

Net loans

3,937,717

3,818,303

-

-

3,818,303

Interest rate swap and rate cap agreements

5,498

5,498

-

5,498

-

Interest rate lock commitments and forward contracts

55

55

-

55

-

Interest receivable on securities and loans

24,598

24,598

-

24,598

-

Financial liabilities:

Noninterest bearing deposits

$

1,704,920

$

1,704,920

$

1,704,920

$

-

$

-

Interest bearing deposits

3,063,811

3,056,180

-

3,056,180

-

Securities sold under repurchase agreements

36,657

36,657

-

36,657

-

Other short-term borrowings

20,000

20,000

-

20,000

-

Junior subordinated debentures

25,773

21,444

-

21,444

-

Subordinated debentures

59,467

54,533

-

54,533

-

Interest rate swap and rate cap agreements

3,187

3,187

-

3,187

-

Interest payable on deposits and borrowings

3,871

3,871

-

3,871

-

December 31, 2023

Carrying

Fair

    

Amount

    

Value

    

Level 1

    

Level 2

    

Level 3

Financial assets:

Cash and due from banks

$

55,534

$

55,534

$

55,534

$

-

$

-

Interest earning deposits with financial institutions

44,611

44,611

44,611

-

-

Securities available-for-sale

1,192,829

1,192,829

169,574

1,007,926

15,329

FHLBC and FRBC stock

33,355

33,355

-

33,355

-

Loans held-for-sale

1,322

1,322

-

1,322

-

Net loans

3,998,689

3,876,381

-

-

3,876,381

Interest rate swap and rate cap agreements

5,302

5,302

-

5,302

-

Interest receivable on securities and loans

27,159

27,159

-

27,159

-

Financial liabilities:

Noninterest bearing deposits

$

1,834,891

$

1,834,891

$

1,834,891

$

-

$

-

Interest bearing deposits

2,735,855

2,726,223

-

2,726,223

-

Securities sold under repurchase agreements

26,470

26,470

-

26,470

-

Other short-term borrowings

405,000

405,000

-

405,000

-

Junior subordinated debentures

25,773

20,361

-

20,361

-

Subordinated debentures

59,382

47,982

-

47,982

-

Interest rate swap and rate cap agreements

8,324

8,324

-

8,324

-

Interest rate lock commitments and forward contracts

10

10

-

10

-

Interest payable on deposits and borrowings

2,962

2,962

-

2,962

-