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Fair Value of Financials Instruments (Details) - Fair Value, by Balance Sheet Grouping - USD ($)
$ in Thousands
Dec. 31, 2021
Dec. 31, 2020
Level 2 inputs:    
Securities available for sale, carrying amount $ 17,156 $ 17,396
Level 3 inputs:    
Securities held to maturity, carrying amount 19,673 5,776
Securities held to maturity, estimated fair value 19,673  
Securities not readily marketable, carrying amount 100 100
Securities not readily marketable, estimated fair value 100 100
Loans, net, carrying amount 424,595 397,601
Level 1 inputs:    
Non-interest bearing deposits, carrying amount 88,876 57,112
Non-interest bearing deposits, estimated fair value   57,112
Level 2 inputs:    
Interest bearing deposits, carrying amount 147,909 116,278
Fair Value, Inputs, Level 1 [Member]    
Level 1 inputs:    
Cash and cash equivalents, carrying amount 45,992 46,868
Cash and cash equivalents, estimated fair value 45,992 46,868
Level 1 inputs:    
Non-interest bearing deposits, carrying amount 88,876  
Non-interest bearing deposits, estimated fair value 88,876  
Fair Value, Inputs, Level 2 [Member]    
Level 2 inputs:    
Securities available for sale, carrying amount 17,156 17,396
Securities available for sale, estimated fair value 17,156 17,396
Securities, restricted, carrying amount 2,432 2,431
Securities, restricted, estimated fair value 2,432 2,431
Loans held for sale, carrying amount 33,762 14,864
Loans held for sale, estimated fair value 37,549 16,462
Accrued interest receivable, carrying amount 2,268 2,440
Accrued interest receivable, estimated fair value 3,787 2,440
Level 2 inputs:    
Interest bearing deposits, carrying amount 355,293 290,903
Interest bearing deposits, estimated fair value 359,606 292,174
Borrowed funds, carrying amount 46,521 95,690
Borrowed funds, estimated fair value 46,521 95,690
Accrued interest payable, carrying amount 561 596
Accrued interest payable, estimated fair value 561 596
Fair Value, Inputs, Level 3 [Member]    
Level 3 inputs:    
Securities held to maturity, carrying amount 19,673 5,776
Securities held to maturity, estimated fair value 19,673 5,776
Loans, net, carrying amount 424,595 397,601
Loans, net, estimated fair value 430,810 389,143
Servicing asset, carrying amount 503 809
Servicing asset, estimated fair value $ 503 $ 809