XML 119 R103.htm IDEA: XBRL DOCUMENT v3.22.1
PARENT COMPANY FINANCIAL INFORMATION - BALANCE SHEETS (Details) - USD ($)
$ in Thousands
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Assets:      
Cash on deposit with subsidiary bank $ 17,365 $ 29,467  
Securities available for sale, at estimated fair value 792,026 554,611  
Total assets 2,418,475 2,279,451  
Liabilities and shareholders' equity:      
Dividends payable 1,450 1,214  
Total liabilities 2,207,020 2,079,752  
Shareholders' equity:      
Total shareholders' equity 211,455 199,699 $ 182,627
Total liabilities and shareholders' equity 2,418,475 2,279,451  
Parent Company      
Assets:      
Cash on deposit with subsidiary bank 2,473 2,243  
Dividends receivable from subsidiary bank 1,450 1,214  
Securities available for sale, at estimated fair value 391 377  
Other assets 1,517 1,420  
Total assets 212,939 201,057  
Liabilities and shareholders' equity:      
Dividends payable 1,450 1,214  
Other liabilities 34 144  
Total liabilities 1,484 1,358  
Shareholders' equity:      
Total shareholders' equity 211,455 199,699  
Total liabilities and shareholders' equity 212,939 201,057  
Parent Company | Chemung Canal Trust Company      
Assets:      
Investment in subsidiary 203,373 192,364  
Parent Company | CFS Group Inc.      
Assets:      
Investment in subsidiary 1,074 876  
Parent Company | Chemung Risk Management      
Assets:      
Investment in subsidiary $ 2,661 $ 2,563