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FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
6 Months Ended
Jun. 30, 2021
FAIR VALUE OF FINANCIAL INSTRUMENTS  
Schedule of Assets and Liabilities measured at fair value on a recurring basis

Fair Value Measurement using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

    

Amount

    

Assets (Level 1)

    

Inputs (Level 2)

    

Inputs (Level 3)

At June 30, 2021

Residential mortgage-backed securities

$

441,155

$

$

441,155

$

Commercial mortgage-backed securities

18,819

18,819

Asset-backed securities

4,848

4,848

U.S. Government agency

67,254

67,254

Securities issued by states and political subdivisions in the U.S

11,693

11,693

CRA Mutual Fund

2,291

2,291

Derivative assets - interest rate cap

$

2,314

$

$

2,314

$

Fair Value Measurement using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

    

Amount

    

Assets (Level 1)

    

Inputs (Level 2)

    

Inputs (Level 3)

At December 31, 2020

Residential mortgage securities

$

194,688

$

$

194,688

$

Commercial mortgage securities

33,492

33,492

U.S. Government agency securities

37,916

37,916

CRA Mutual Fund

2,313

2,313

Derivative assets - interest rate cap

$

770

$

$

770

$

Schedule of carrying amount and estimated fair values of financial instruments

Fair Value Measurement Using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

Total Fair

At June 30, 2021

    

Amount

    

Assets (Level 1)

    

Inputs (Level 2)

    

Inputs (Level 3)

    

Value

Financial Assets:

Cash and due from banks

$

29,651

$

29,651

$

$

$

29,651

Overnight deposits

1,689,614

1,689,614

1,689,614

Securities available for sale

543,769

543,769

543,769

Securities held to maturity

2,222

2,285

2,285

Equity investments

2,291

2,291

2,291

Loans, net

3,412,113

3,427,297

3,427,297

Other investments

FRB Stock

7,423

N/A

N/A

N/A

N/A

FHLB Stock

3,070

N/A

N/A

N/A

N/A

Disability Fund

1,000

1,000

1,000

Time deposits at banks

498

498

498

Interest rate cap derivative

2,314

2,314

2,314

Accrued interest receivable

14,424

715

13,709

14,424

Financial liabilities:

Non-interest-bearing demand deposits

$

2,794,136

$

2,794,136

$

$

$

2,794,136

Money market and savings deposits

2,410,893

2,410,893

2,410,893

Time deposits

83,244

83,950

83,950

Trust preferred securities payable

20,620

20,003

20,003

Subordinated debt, net of issuance cost

24,684

25,500

25,500

Accrued interest payable

1,773

5

1,658

110

1,773

Secured borrowings

36,449

36,449

36,449

Fair Value Measurement Using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

Total Fair

At December 31, 2020

    

Amount

    

Assets (Level 1)

    

Inputs (Level 2)

    

Inputs (Level 3)

    

Value

Financial Assets:

Cash and due from banks

$

8,692

$

8,692

$

$

$

8,692

Overnight deposits

855,613

855,613

855,613

Securities available for sale

266,096

266,096

266,096

Securities held to maturity

2,760

2,827

2,827

Equity investments

2,313

2,313

2,313

Loans, net

3,101,646

3,094,998

3,094,998

Other investments

FRB Stock

7,381

N/A

N/A

N/A

N/A

FHLB Stock

2,718

N/A

N/A

N/A

N/A

Disability Fund

1,000

1,000

1,000

CRA - CD

498

498

498

Interest rate cap derivative

770

770

770

Accrued interest receivable

13,249

414

12,835

13,429

Financial liabilities:

Non-interest-bearing demand deposits

$

1,726,135

$

1,726,135

$

$

$

1,726,135

Money market and savings deposits

2,011,409

2,011,409

2,011,409

Time deposits

92,062

93,157

93,157

Trust preferred securities payable

20,620

20,011

20,011

Subordinated debt, net of issuance cost

24,657

25,375

25,375

Accrued interest payable

712

7

591

114

712

Secured borrowings

36,964

36,964

36,964