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Revenue from Contracts with Customers (Tables)
9 Months Ended
Sep. 30, 2022
Revenue from Contract with Customer [Abstract]  
Disaggregation of Revenue by Source
The following table presents revenue from contracts with customers, disaggregated by the revenue source:
(Dollars in thousands)Three Months EndedNine Months Ended
Revenue from contracts with customersLocation in income statementSeptember 30,
2022
September 30,
2021
September 30,
2022
September 30,
2021
Brokerage and insurance product commissionsWealth management$4,587 $5,230 $13,491 $15,418 
TrustWealth management11,213 5,369 24,397 15,765 
Asset managementWealth management17,324 20,932 57,999 60,347 
Total wealth management33,124 31,531 95,887 91,530 
Mortgage broker feesMortgage banking158 270 714 460 
Service charges on deposit accountsService charges on deposit accounts14,349 14,149 45,520 39,434 
Administrative servicesOther non-interest income1,533 1,359 4,977 3,843 
Card-related feesOther non-interest income3,003 2,513 8,320 6,474 
Other deposit-related feesOther non-interest income3,556 3,397 10,101 9,979 
Total revenue from contracts with customers$55,723 $53,219 $165,519 $151,720 
Contract Assets, Contract Liabilities and Receivables from Contracts with Customers
The following table provides information about contract assets, contract liabilities and receivables from contracts with customers:
(Dollars in thousands)September 30,
2022
December 31,
2021
September 30,
2021
Contract assets$ $— $— 
Contract liabilities $1,382 $1,588 $1,632 
Mortgage broker fees receivable$24 $73 $31 
Administrative services receivable103 68 185 
Wealth management receivable17,670 11,748 12,001 
Card-related fees receivable612 921 462 
Total receivables from contracts with customer$18,409 $12,810 $12,679 
Performance Obligations Unsatisfied at End of Period
The following table presents the estimated future timing of recognition of upfront fees related to card and deposit-related fees. These upfront fees represent performance obligations that are unsatisfied or partially unsatisfied at the end of the reporting period.

(Dollars in thousands)
Estimated remaining in 2022$366 
Estimated—2023666 
Estimated—2024250 
Estimated—2025100 
Estimated—2026 
Total$1,382