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Fair Value Measurements - Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis (Details) - USD ($)
$ in Thousands
Sep. 30, 2022
Dec. 31, 2021
Financial instruments - assets    
Fair Value $ 346,625 $ 330,626
Level 1    
Financial instruments - assets    
Fair Value 0 0
Net loans and leases 0 0
Financial instruments - liabilities    
Deposits 0 0
Long-term debt 0 0
Subordinated debt 0 0
Level 2    
Financial instruments - assets    
Fair Value 346,625 330,626
Net loans and leases 0 0
Financial instruments - liabilities    
Deposits 3,716,190 4,046,217
Long-term debt 1,148 77,455
Subordinated debt 63,895 74,553
Level 3    
Financial instruments - assets    
Fair Value 0 0
Net loans and leases 3,252,277 3,118,416
Financial instruments - liabilities    
Deposits 0 0
Long-term debt 0 0
Subordinated debt 0 0
Carrying Value    
Financial instruments - assets    
Fair Value 402,142 329,257
Net loans and leases 3,303,977 3,089,799
Financial instruments - liabilities    
Deposits 3,729,596 4,002,016
Long-term debt 1,188 77,890
Subordinated debt 66,357 74,274
Fair Value    
Financial instruments - assets    
Fair Value 346,625 330,626
Net loans and leases 3,252,277 3,118,416
Financial instruments - liabilities    
Deposits 3,716,190 4,046,217
Long-term debt 1,148 77,455
Subordinated debt $ 63,895 $ 74,553