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FAIR VALUE OF FINANCIAL INSTRUMENTS (Details) - USD ($)
$ in Thousands
Jun. 30, 2021
Dec. 31, 2020
Investment securities    
Held-to-maturity $ 15,320 $ 17,505
Available-for-sale securities 41,856 20,730
Carrying Amount    
Financial Assets:    
Cash and cash equivalents 29,087 25,245
Investment securities    
Held-to-maturity 15,511 17,523
Available-for-sale securities 41,856 20,730
Loans receivable, net 137,950 148,778
Accrued interest receivable 558 564
Financial Liabilities:    
Deposits 177,888 164,598
Borrowed funds 8,928 8,838
Accrued interest payable 45 51
Fair Value    
Financial Assets:    
Cash and cash equivalents 29,087 25,245
Investment securities    
Held-to-maturity 15,320 17,505
Available-for-sale securities 41,856 20,730
Loans receivable, net 137,356 148,674
Accrued interest receivable 558 564
Financial Liabilities:    
Deposits 178,114 164,951
Borrowed funds 8,847 9,052
Accrued interest payable 45 51
Fair Value | Level 1    
Financial Assets:    
Cash and cash equivalents 29,087 25,245
Investment securities    
Accrued interest receivable 558 564
Financial Liabilities:    
Accrued interest payable 45 51
Fair Value | Level 2    
Investment securities    
Held-to-maturity 15,320 17,505
Available-for-sale securities 41,856 20,730
Financial Liabilities:    
Deposits 178,114 164,951
Borrowed funds 8,847 9,052
Fair Value | Level 3    
Investment securities    
Loans receivable, net $ 137,356 $ 148,674