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Loans and Allowance for Loan Losses (Details) - Schedule of allowance for loan and lease losses (“ALLL”) and the recorded investment in loans based on portfolio segment and impairment method - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Jun. 30, 2021
Jun. 30, 2020
Mar. 31, 2021
Dec. 31, 2020
Financing Receivable, Allowance for Credit Loss [Line Items]            
Beginning balance $ 13,326 $ 8,958 $ 12,574 $ 8,755    
Ending balance 13,306 10,013 13,306 10,013    
Ending balance:            
individually evaluated for impairment         $ 264 $ 337
Ending balance:            
collectively evaluated for impairment         13,042 12,237
Totals         13,306 12,574
Ending balance:            
individually evaluated for impairment         3,324 5,959
Ending balance:            
collectively evaluated for impairment         848,464 868,185
Totals         851,788 874,144
Ending balance:            
Charge offs (26) (255) (78) (655)    
Recoveries 6 10 60 13    
Provision (credit) 1,300 750 1,900    
Commercial & industrial [Member]            
Financing Receivable, Allowance for Credit Loss [Line Items]            
Beginning balance 2,959 1,649 3,074 1,883    
Ending balance 1,718 2,844 1,718 2,844    
Ending balance:            
individually evaluated for impairment        
Ending balance:            
collectively evaluated for impairment         1,718 3,074
Totals         1,718 3,074
Ending balance:            
individually evaluated for impairment         352 849
Ending balance:            
collectively evaluated for impairment         150,996 203,918
Totals         151,348 204,767
Ending balance:            
Charge offs (194) (582)    
Recoveries 4 5    
Provision (credit) (1,241) 1,385 (1,356) 1,538    
Commercial real estate [Member]            
Financing Receivable, Allowance for Credit Loss [Line Items]            
Beginning balance 6,177 3,668 5,451 3,602    
Ending balance 6,672 3,604 6,672 3,604    
Ending balance:            
individually evaluated for impairment         174 174
Ending balance:            
collectively evaluated for impairment         6,498 5,277
Totals         6,672 5,451
Ending balance:            
individually evaluated for impairment         952 2,202
Ending balance:            
collectively evaluated for impairment         388,193 368,618
Totals         389,145 370,820
Ending balance:            
Charge offs    
Recoveries    
Provision (credit) 495 (64) 1,221 2    
Agricultural [Member]            
Financing Receivable, Allowance for Credit Loss [Line Items]            
Beginning balance 473 475 496 434    
Ending balance 494 504 494 504    
Ending balance:            
individually evaluated for impairment        
Ending balance:            
collectively evaluated for impairment         494 496
Totals         494 496
Ending balance:            
individually evaluated for impairment        
Ending balance:            
collectively evaluated for impairment         50,856 55,235
Totals         50,856 55,235
Ending balance:            
Charge offs    
Recoveries    
Provision (credit) 21 29 (2) 70    
Residential real estate [Member]            
Financing Receivable, Allowance for Credit Loss [Line Items]            
Beginning balance 2,608 2,442 2,534 2,203    
Ending balance 3,425 2,278 3,425 2,278    
Ending balance:            
individually evaluated for impairment         86 160
Ending balance:            
collectively evaluated for impairment         3,339 2,374
Totals         3,425 2,534
Ending balance:            
individually evaluated for impairment         1,863 2,746
Ending balance:            
collectively evaluated for impairment         201,537 179,419
Totals         203,400 182,165
Ending balance:            
Charge offs (22) (37) (43) (37)    
Recoveries 1 49 2    
Provision (credit) 839 (128) 885 110    
Consumer [Member]            
Financing Receivable, Allowance for Credit Loss [Line Items]            
Beginning balance 1,109 724 1,019 633    
Ending balance 997 783 997 783    
Ending balance:            
individually evaluated for impairment         4 3
Ending balance:            
collectively evaluated for impairment         993 1,016
Totals         997 1,019
Ending balance:            
individually evaluated for impairment         157 162
Ending balance:            
collectively evaluated for impairment         56,882 60,995
Totals         $ 57,039 $ 61,157
Ending balance:            
Charge offs (4) (24) (35) (36)    
Recoveries 6 5 11 6    
Provision (credit) $ (114) $ 78 $ 2 $ 180