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Fair Value (Carrying amount and estimated fair value of financial instruments) (Details) - USD ($)
$ in Thousands
Mar. 31, 2023
Dec. 31, 2022
LIABILITIES    
Federal Funds Purchased and Securities Sold under Agreements to Repurchase $ 31,995 $ 57,771
Level 1 [Member]    
ASSETS    
Cash and cash equivalents 98,723 38,924
Mortgage loans AFS 0 0
Total loans 0 0
Less allowance for loan losses 0 0
Net loans 0 0
Accrued interest receivable 6,779 7,472
Equity securities without readily determinable fair values [1] 0 0
Originated mortgage servicing rights 0 0
LIABILITIES    
Deposits without stated maturities 1,524,926 1,492,235
Deposits with stated maturities 0 0
Federal Funds Purchased and Securities Sold under Agreements to Repurchase 0 0
Subordinated Debt Obligations, Fair Value Disclosure 0 0
Accrued interest payable 437 255
Level 2 [Member]    
ASSETS    
Cash and cash equivalents 0 0
Mortgage loans AFS 177 395
Total loans 0 0
Less allowance for loan losses 0 0
Net loans 0 0
Accrued interest receivable 0 0
Equity securities without readily determinable fair values [1] 0 0
Originated mortgage servicing rights 3,231 3,174
LIABILITIES    
Deposits without stated maturities 0 0
Deposits with stated maturities 280,860 240,964
Federal Funds Purchased and Securities Sold under Agreements to Repurchase 31,912 57,581
Subordinated Debt Obligations, Fair Value Disclosure 24,564 26,365
Accrued interest payable 0 0
Level 3 [Member]    
ASSETS    
Cash and cash equivalents 0 0
Mortgage loans AFS 0 0
Total loans 1,228,594 1,225,669
Less allowance for loan losses 12,640 9,850
Net loans 1,215,954 1,215,819
Accrued interest receivable 0 0
Equity securities without readily determinable fair values [1] 0 0
Originated mortgage servicing rights 0 0
LIABILITIES    
Deposits without stated maturities 0 0
Deposits with stated maturities 0 0
Federal Funds Purchased and Securities Sold under Agreements to Repurchase 0 0
Subordinated Debt Obligations, Fair Value Disclosure 0 0
Accrued interest payable 0 0
Carrying Value [Member]    
ASSETS    
Cash and cash equivalents 98,723 38,924
Mortgage loans AFS 171 379
Total loans 1,270,651 1,264,173
Less allowance for loan losses 12,640 9,850
Net loans 1,258,011 1,254,323
Accrued interest receivable 6,779 7,472
Equity securities without readily determinable fair values [1] 15,746 15,746
Originated mortgage servicing rights 2,524 2,559
LIABILITIES    
Deposits without stated maturities 1,524,926 1,492,235
Deposits with stated maturities 288,602 252,040
Federal Funds Purchased and Securities Sold under Agreements to Repurchase 31,995 57,771
Subordinated Debt Obligations, Fair Value Disclosure 29,267 29,245
Accrued interest payable 437 255
Estimated Fair Value [Member]    
ASSETS    
Cash and cash equivalents 98,723 38,924
Mortgage loans AFS 177 395
Total loans 1,228,594 1,225,669
Less allowance for loan losses 12,640 9,850
Net loans 1,215,954 1,215,819
Accrued interest receivable 6,779 7,472
Originated mortgage servicing rights 3,231 3,174
LIABILITIES    
Deposits without stated maturities 1,524,926 1,492,235
Deposits with stated maturities 280,860 240,964
Federal Funds Purchased and Securities Sold under Agreements to Repurchase 31,912 57,581
Subordinated Debt Obligations, Fair Value Disclosure 24,564 26,365
Accrued interest payable $ 437 $ 255
[1] Due to the characteristics of equity securities without readily determinable fair values, they are not disclosed under a specific fair value hierarchy. When an impairment or write-down related to these securities is recorded, such amount would be classified as a nonrecurring Level 3 fair value adjustment.