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Fair Value Measurements - Carrying amount, fair value and placement in the fair value hierarchy of financial instruments (Details) - USD ($)
$ in Thousands
Jun. 30, 2019
Dec. 31, 2018
Financial assets:    
Cash and due from banks $ 15,201 $ 9,435 [1]
Interest-bearing deposits at other institutions 29,149 34,060 [1]
Amortized Cost 1,761 1,761 [1]
Total Available-for-Sale Securities 134,471 123,537 [1]
Restricted stock 5,379 5,299 [1]
Loans, net 1,224,376 1,127,584 [1]
Bank owned life insurance 26,621 16,406 [1]
Accrued interest receivable 4,653 4,050 [1]
Financial liabilities:    
Time deposits 391,947 345,386 [1]
Subordinated notes 24,447 24,407 [1]
Accrued interest payable 809 811 [1]
Carrying Amount    
Financial assets:    
Cash and due from banks 15,201 9,435
Interest-bearing deposits at other institutions 29,149 34,060
Amortized Cost 1,761 1,761
Total Available-for-Sale Securities 134,471 123,537
Restricted stock 5,379 5,299
Loans, net 1,224,376 1,127,584
Bank owned life insurance 26,621 16,406
Accrued interest receivable 4,653 4,050
Financial liabilities:    
Checking, savings and money market accounts 877,427 817,054
Time deposits 391,947 345,386
Subordinated notes 24,447 24,407
Accrued interest payable 809 811
Level 1    
Financial assets:    
Cash and due from banks 15,201 9,435
Interest-bearing deposits at other institutions 29,149 34,060
Level 2    
Financial assets:    
Amortized Cost 1,769 1,735
Total Available-for-Sale Securities 134,471 123,537
Restricted stock 5,379 5,299
Bank owned life insurance 26,621 16,406
Accrued interest receivable 4,653 4,050
Financial liabilities:    
Checking, savings and money market accounts 877,427 817,054
Time deposits 392,234 344,877
Subordinated notes 25,003 24,515
Accrued interest payable 809 811
Level 3    
Financial assets:    
Loans, net $ 1,211,721 $ 1,116,012
[1] Derived from audited consolidated financial statements.