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Commitments and Credit Risk (Details) - USD ($)
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Commitments and Credit Risk    
Deposits with Federal Reserve Bank of Cleveland $ 21,500,000 $ 79,600,000
Loans and Leases Receivable, Commitments, Variable Rates $ 77,900,000 75,800,000
Majority commitments disbursement term 1 year  
Deferred revenue standby letter of credit $ 0  
Standby lines of credit    
Commitments and Credit Risk    
Outstanding standby letters of credit $ 136,000 $ 127,000
Minimum    
Commitments and Credit Risk    
Time to fund mortgage loan 60 days  
Maximum    
Commitments and Credit Risk    
Time to fund mortgage loan 90 days  
Installment    
Commitments and Credit Risk    
Concentration risk percentage credit risk loan products 1.30% 1.50%
Real Estate Loans    
Commitments and Credit Risk    
Concentration risk percentage credit risk loan products 20.40% 19.80%
Commercial Line    
Commitments and Credit Risk    
Lines Of credit granted $ 79,700,000 $ 78,100,000
Consumer Lines    
Commitments and Credit Risk    
Lines Of credit granted $ 37,600,000 $ 39,600,000
Commercial Real Estate Other Receivable    
Commitments and Credit Risk    
Concentration risk percentage credit risk loan products 78.30% 78.70%