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FAIR VALUE MEASUREMENTS AND FAIR VALUES OF FINANCIAL INSTRUMENTS - Estimated Fair Values, and Related Carrying Amounts, of the Financial Instruments (Details) - USD ($)
$ in Thousands
Jun. 30, 2020
Dec. 31, 2019
Reported value measurement | Level 1    
Cash and cash equivalents $ 73,812 $ 31,122
Reported value measurement | Level 2    
Certificates of deposit 3,830 4,080
Restricted equity securities (included in Other Assets) 8,861 10,321
Accrued interest receivable 6,326 5,001
Short-term borrowings 14,404 86,220
Long-term borrowings 72,904 52,127
Accrued interest payable 312 311
Reported value measurement | Level 2 | Deposits with no stated maturity    
Deposits, fair value 1,039,401 877,965
Reported value measurement | Level 2 | Time deposits    
Deposits, fair value 341,777 374,695
Reported value measurement | Level 3    
Loans, net 1,230,387 1,172,386
Estimate of fair value measurement | Level 1    
Cash and cash equivalents 73,812 31,122
Estimate of fair value measurement | Level 2    
Certificates of deposit 4,078 4,227
Restricted equity securities (included in Other Assets) 8,861 10,321
Accrued interest receivable 6,326 5,001
Short-term borrowings 14,271 86,166
Long-term borrowings 74,545 52,040
Accrued interest payable 312 311
Estimate of fair value measurement | Level 2 | Deposits with no stated maturity    
Deposits, fair value 1,039,401 877,965
Estimate of fair value measurement | Level 2 | Time deposits    
Deposits, fair value 344,959 376,738
Estimate of fair value measurement | Level 3    
Loans, net $ 1,236,040 $ 1,181,000