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Derivative Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2019
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block]
   December 31, 2019   December 31, 2018 
($ in thousands)  Notional   Fair   Notional   Fair 
   Amount   Value   Amount   Value 
Asset Derivatives                    
Derivatives not designated as hedging instruments                    
Interest rate swaps associated with loans  $82,826   $2,846   $49,927   $687 
IRLCs   16,347    55    9,896    83 
Total contracts  $99,173   $2,901   $59,823   $770 
                     
Liability Derivatives                    
Derivatives not designated as hedging instruments                    
Interest rate swaps associated with loans  $82,826   $(2,846)  $49,927   $(687)
Forward contracts   22,000    (32)   14,500    (113)
Total contracts  $104,826   $(2,878)  $64,427   $(800)
Condensed Financial Statements [Table Text Block]
      Amount of gain (loss) 
($ in thousands)  Statement of income classification  2019   2018 
Interest rate swap contracts  Other income  $513   $146 
Interest rate swap contracts  Other expense   (41)   - 
IRLCs  Gain on sale of mortgage loans & OMSR   (28)   76 
Forward contracts  Gain on sale of mortgage loans & OMSR   81    (90)
Offsetting Assets [Table Text Block]
($ in thousands)  Gross amounts   Gross amounts
offset in the
   Net amounts of
assets
presented in
   Gross amounts not offset in the
consolidated balance sheet
     
   of recognized
assets
   consolidated
balance sheet
  

the consolidated
balance sheet

   Financial
instruments
   Cash collateral
received
   Net amount 
                        
December 31, 2019
Interest rate swaps
  $2,901   $55   $2,846   $      -   $-   $2,846 
                              
December 31, 2018
Interest rate swaps
  $1,272   $585   $687   $-   $310   $377 
Offsetting Liabilities [Table Text Block]
($ in thousands)  Gross amounts   Gross amounts
offset in the
   Net amounts of
liabilities
presented in
   Gross amounts not offset in the
consolidated balance sheet
     
   of recognized
liabilities
   consolidated
balance sheet
   the consolidated
balance sheet
   Financial
instruments
   Cash collateral
pledged
   Net amount 
                        
December 31, 2019
Interest rate swaps
  $2,901   $55   $2,846   $     -   $3,242   $(396)
                              
December 31, 2018
Interest rate swaps
  $1,272   $585   $687   $-   $-   $687