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Note 6 - Allowance for Credit Losses - Changes in Allowance for Loan Losses (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Jan. 01, 2021
Balance, Loans $ 30,556 [1] $ 27,858  
Balance, Allowance for credit losses - loan commitments 1,196 678  
Total allowance for credit losses beginning of year 31,752 28,536  
Purchased credit deteriorated -Surrey acquisition 36,189 30,556 [1] $ 26,182 [2]
Provision for (recovery of) credit losses - loans 8,435 6,572  
Provision for (recovery of) credit losses - loan commitments (450) 518  
Total provision for credit losses - loans and loan commitments 7,985 7,090  
Charge-offs (8,825) (7,803)  
Recoveries 4,012 3,929  
Net (charge-offs) recoveries (4,813) (3,874)  
Balance, Allowance for credit losses - loans 36,189 30,556 [1]  
Balance, Allowance for credit losses - loan commitments 746 1,196  
Ending balance 36,935 31,752  
Provision for (recovery of) credit losses - loan commitments (450) 518  
Financial Asset Acquired with Credit Deterioration [Member]      
Purchased credit deteriorated -Surrey acquisition     $ 5,880
Financial Asset Acquired with Credit Deterioration [Member] | Surrey [Member]      
Purchased credit deteriorated -Surrey acquisition 2,011    
Balance, Allowance for credit losses - loans 2,011    
Commercial Portfolio Segment [Member]      
Balance, Loans 17,213 14,775  
Balance, Allowance for credit losses - loan commitments 1,018 576  
Total allowance for credit losses beginning of year 18,231 15,351  
Purchased credit deteriorated -Surrey acquisition 21,850 17,213  
Provision for (recovery of) credit losses - loans 2,217 431  
Provision for (recovery of) credit losses - loan commitments (421) 442  
Total provision for credit losses - loans and loan commitments 1,796 873  
Charge-offs (753) (633)  
Recoveries 1,721 2,640  
Net (charge-offs) recoveries 968 2,007  
Balance, Allowance for credit losses - loans 21,850 17,213  
Balance, Allowance for credit losses - loan commitments 597 1,018  
Ending balance 22,447 18,231  
Provision for (recovery of) credit losses - loan commitments (421) 442  
Commercial Portfolio Segment [Member] | Financial Asset Acquired with Credit Deterioration [Member] | Surrey [Member]      
Purchased credit deteriorated -Surrey acquisition 1,452    
Balance, Allowance for credit losses - loans 1,452    
Consumer Real Estate Portfolio Segment [Member]      
Balance, Loans 8,931 9,972  
Balance, Allowance for credit losses - loan commitments 156 88  
Total allowance for credit losses beginning of year 9,087 10,060  
Purchased credit deteriorated -Surrey acquisition 9,693 8,931  
Provision for (recovery of) credit losses - loans 125 (1,121)  
Provision for (recovery of) credit losses - loan commitments (35) 68  
Total provision for credit losses - loans and loan commitments 90 (1,053)  
Charge-offs (412) (427)  
Recoveries 520 507  
Net (charge-offs) recoveries 108 80  
Balance, Allowance for credit losses - loans 9,693 8,931  
Balance, Allowance for credit losses - loan commitments 121 156  
Ending balance 9,814 9,087  
Provision for (recovery of) credit losses - loan commitments (35) 68  
Consumer Real Estate Portfolio Segment [Member] | Financial Asset Acquired with Credit Deterioration [Member] | Surrey [Member]      
Purchased credit deteriorated -Surrey acquisition 529    
Balance, Allowance for credit losses - loans 529    
Consumer and Other Portfolio Segment [Member]      
Balance, Loans 4,412 3,111  
Balance, Allowance for credit losses - loan commitments 22 14  
Total allowance for credit losses beginning of year 4,434 3,125  
Purchased credit deteriorated -Surrey acquisition 4,646 4,412  
Provision for (recovery of) credit losses - loans 6,093 7,262  
Provision for (recovery of) credit losses - loan commitments 6 8  
Total provision for credit losses - loans and loan commitments 6,099 7,270  
Charge-offs (7,660) (6,743)  
Recoveries 1,771 782  
Net (charge-offs) recoveries (5,889) (5,961)  
Balance, Allowance for credit losses - loans 4,646 4,412  
Balance, Allowance for credit losses - loan commitments 28 22  
Ending balance 4,674 4,434  
Provision for (recovery of) credit losses - loan commitments 6 $ 8  
Consumer and Other Portfolio Segment [Member] | Financial Asset Acquired with Credit Deterioration [Member] | Surrey [Member]      
Purchased credit deteriorated -Surrey acquisition 30    
Balance, Allowance for credit losses - loans $ 30    
[1] Derived from audited financial statements
[2] Calculated adjustment to the ACL related to the adoption of ASU 2016-13. Includes additional reserve related to purchased deteriorated loans of $5.88 million.