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Derivative Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2021
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of notional amount and fair value of interest rate swaps
    2021     2020  
  Notional     Fair     Notional     Fair  
($ in thousands)   Amount     Value     Amount     Value  
Asset Derivatives                                
Derivatives not designated as hedging instruments                                
Interest rate swaps associated with loans   $ 84,733     $ 3,655     $ 87,687     $ 7,962  
IRLCs     21,391       22       46,130       278  
Total contracts   $ 106,124     $ 3,677     $ 133,817     $ 8,240  
                                 
Liability Derivatives                                
Derivatives not designated as hedging instruments                                
Interest rate swaps associated with loans   $ 84,733     $ (3,655 )   $ 87,687     $ (7,962 )
Forward contracts     25,000       (32 )     50,000       (265 )
Total contracts   $ 109,733     $ (3,687 )   $ 137,687     $ (8,227 )

 

Schedule of consolidated statements of income for non-hedging derivative financial instruments
        Amount of gain (loss)  
($ in thousands)   Statement of income classification   2021     2020  
Interest rate swap contracts   Other income   $ 242     $ 355  
IRLCs   Gain on sale of mortgage loans & OMSR     (256 )     223  
Forward contracts   Gain on sale of mortgage loans & OMSR     233       (233 )

 

Schedule of financial assets and derivative assets
  Gross amounts     Gross
amounts
offset in the
    Net
amounts of
assets
presented in
the
    Gross amounts not offset in the consolidated balance sheet        
($ in thousands)    of recognized
assets
    consolidated
balance
sheet
    consolidated
balance
sheet
    Financial
instruments
    Cash
collateral
received
    Net
amount
 
December 31, 2021                                                
Interest rate swaps   $ 3,746     $ 91     $ 3,655     $
-
    $
-
    $ 3,655  
                                                 
December 31, 2020                                                
Interest rate swaps   $ 7,962     $
-
    $ 7,962     $
-
    $
-
    $ 7,962  

 

Schedule of financial liabilities and derivative liabilities
  Gross amounts     Gross
amounts
offset in the
    Net
amounts of
liabilities
presented in
the
    Gross amounts not offset in the consolidated balance sheet        
($ in thousands)    of recognized
liabilities
    consolidated
balance
sheet
    consolidated
balance
sheet
    Financial
instruments
    Cash
collateral
pledged
    Net
amount
 
December 31, 2021                                                
Interest rate swaps   $ 3,746     $ 91     $ 3,655     $
-
    $ 6,906     $ (3,251 )
                                                 
December 31, 2020                                                
Interest rate swaps   $ 7,962     $
-
    $ 7,962     $
-
    $ 8,896     $ (934 )