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Disclosures about Fair Value Measurements and Financial Instruments - Schedule of estimated fair value and recorded carrying value (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2024
Dec. 31, 2023
FINANCIAL ASSETS: Carrying Value    
Investment securities held to maturity, Cost Basis $ 64,967 $ 63,979
Loans held for sale, Carrying Value 899 130
Loans, net of allowance for credit losses and unearned income, Carrying Value 1,011,048 1,023,218
Investment securities held to maturity, Fair value 59,180 58,621
Loans held for sale, Fair Value 914 132
Loans, net of allowance for credit losses and unearned income, Fair Value 940,240 950,402
FINANCIAL LIABILITIES: Carrying Value    
Deposits with stated maturities, Carrying Value 327,156 322,477
All other borrowings, Carrying Value 76,107 71,247
Deposits with stated maturities, Fair Value 326,340 321,660
All other borrowings, Fair Value $ 74,328 70,061
Assets and liabilities considered financial instruments, percentage 90.00%  
Level 1    
FINANCIAL ASSETS: Carrying Value    
Loans held for sale, Fair Value $ 914 132
Level 2    
FINANCIAL ASSETS: Carrying Value    
Investment securities held to maturity, Fair value 57,312 56,769
Level 3    
FINANCIAL ASSETS: Carrying Value    
Investment securities held to maturity, Fair value 1,868 1,852
Loans, net of allowance for credit losses and unearned income, Fair Value 940,240 950,402
FINANCIAL LIABILITIES: Carrying Value    
Deposits with stated maturities, Fair Value 326,340 321,660
All other borrowings, Fair Value $ 74,328 $ 70,061