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DISCLOSURES ABOUT FAIR VALUE OF FINANCIAL INSTRUMENTS - Schedule of estimated fair value and recorded carrying value (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
FINANCIAL ASSETS: Carrying Value    
Investment securities - HTM, Carrying Value $ 61,878 $ 53,751
Loans held for sale, Carrying Value 59 983
Loans, net of allowance for loan loss and unearned income, Carrying Value 980,023 972,656
Investment securities - HTM, Fair Value 55,192 55,516
Loans held for sale, Fair Value 57 1,022
Loans, net of allowance for loan loss and unearned income, Fair Value 938,188 969,681
FINANCIAL LIABILITIES: Carrying Value    
Deposits with stated maturities, Carrying Value 286,004 292,325
All other borrowings, Carrying Value 46,409 69,256
Deposits with stated maturities, Fair Value 281,297 294,280
All other borrowings, Fair Value $ 44,759 69,506
Assets and liabilities considered financial instruments, percentage 90.00%  
Level 1    
FINANCIAL ASSETS: Carrying Value    
Loans held for sale, Fair Value $ 57 1,022
Level 2    
FINANCIAL ASSETS: Carrying Value    
Investment securities - HTM, Fair Value 52,323 52,523
Level 3    
FINANCIAL ASSETS: Carrying Value    
Investment securities - HTM, Fair Value 2,869 2,993
Loans, net of allowance for loan loss and unearned income, Fair Value 938,188 969,681
FINANCIAL LIABILITIES: Carrying Value    
Deposits with stated maturities, Fair Value 281,297 294,280
All other borrowings, Fair Value $ 44,759 $ 69,506