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NOTE 23 - FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Dec. 31, 2021
Fair Value Disclosures [Abstract]  
Fair Value, Assets Measured on Recurring and Nonrecurring Basis [Table Text Block]
  Fair Value Measurements Using  Assets at
(in thousands)   Level 1    Level 2    Level 3    fair value 
December 31, 2021                    
Assets at fair value on a recurring basis                    
U.S. Treasury  $   $15,131   $   $15,131 
U.S. Government Agency notes       31,604        31,604 
Municipal bonds       47,822        47,822 
Mortgage-backed securities:                    
U.S. Government agencies and U.S. Government-sponsored enterprises       74,541        74,541 
Collateralized mortgage obligations:                    
U.S. Government agencies       20,898        20,898 
Corporate bonds       12,400        12,400 
Securities available-for-sale  $   $202,396   $   $202,396 
CRA mutual fund   901            901 
Derivative financial instruments       18        18 
Assets at fair value on a non-recurring basis                    
Assets held for sale 1  $700   $   $   $700 
December 31, 2020                    
Assets at fair value on a recurring basis                    
U.S. Government Agency notes  $   $7,851   $   $7,851 
Municipal bonds       27,617        27,617 
Mortgage-backed securities:                    
U.S. Government agencies and U.S. Government-sponsored enterprises       36,573        36,573 
Collateralized mortgage obligations:                    
U.S. Government agencies       17,454        17,454 
Corporate bonds       8,916        8,916 
Securities available-for-sale  $   $98,411   $   $98,411 
CRA mutual funds   917            917 
Derivative financial instruments       4        4 

 

1 Prior to December 31, 2021, the Bank entered into an agreement with a third party to sell the building that houses its Poughkeepsie, New York retail branch and relocate the branch to leased space nearby. This sale was completed in January 2022. At December 30, 2020, Salisbury did not have any assets measured at fair value on a non-recurring basis.

Schedule of Carrying Values and Estimated Fair Values of Debt Instruments [Table Text Block]
    Carrying    Estimated   Fair value measurements using 
(In thousands)   value    fair value    Level 1    Level 2    Level 3 
December 31, 2021                         
Financial Assets                         
Cash and cash equivalents  $175,335   $175,335   $175,335   $   $ 
Interest bearing time deposits with financial institutions   750    750    750         
Securities available-for-sale   202,396    202,396        202,396     
CRA mutual fund   901    901    901         
Federal Home Loan Bank of Boston stock   1,397    1,397        1,397     
Loans held-for-sale   2,684    2,721            2,721 
Loans receivable, net   1,066,750    1,066,733            1,066,733 
Accrued interest receivable   6,260    6,260        6,260     
Cash surrender value of life insurance policies   27,738    27,738        27,738     
Derivative financial instruments   18    18        18     
Financial Liabilities                         
Demand (non-interest-bearing)  $416,073   $416,073   $   $416,073   $ 
Demand (interest-bearing)   233,600    233,600        233,600     
Money market   330,436    330,436        330,436     
Savings and other   237,075    237,075        237,075     
Certificates of deposit   119,009    119,716        119,716     
Deposits   1,336,193    1,336,900        1,336,900     
Repurchase agreements   11,430    11,430        11,430     
FHLBB advances   7,656    7,714        7,714     
Subordinated debt   24,474    24,409        24,409     
Note payable   170    171        171     
Finance lease liability   4,107    4,223            4,223 
Accrued interest payable   49    49        49     
December 31, 2020                         
Financial Assets                         
Cash and cash equivalents  $93,162   $93,162   $93,162   $   $ 
Interest bearing time deposits with financial institutions   750    750    750         
Securities available-for-sale   98,411    98,411        98,411     
CRA mutual fund   917    917    917         
Federal Home Loan Bank of Boston stock   1,713    1,713        1,713     
Loans held-for-sale   2,735    2,790            2,790 
Loans receivable, net   1,027,738    1,057,606            1,057,606 
Accrued interest receivable   6,373    6,373        6,373     
Cash surrender value of life insurance policies   21,182    21,182        21,182     
Derivative financial instruments   4    4        4     
Financial Liabilities                         
Demand (non-interest-bearing)  $310,769   $310,769   $   $310,769   $ 
Demand (interest-bearing)   218,869    218,869        218,869     
Money market   278,146    278,146        278,146     
Savings and other   189,776    189,776        189,776     
Certificates of deposit   131,514    132,875        132,875     
Deposits   1,129,074    1,130,435        1,130,435     
Repurchase agreements   7,116    7,116        7,116     
FHLBB advances   12,639    12,786        12,786     
Subordinated debt   9,883    10,027        10,027     
Note payable   208    212        212     
Finance lease liability   1,673    1,920            1,920 
Accrued interest payable   43    43        43