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FAIR VALUE - Summary of carrying amounts and estimated fair values for financial instruments (Details) - USD ($)
$ in Thousands
Sep. 30, 2020
Jun. 30, 2020
Dec. 31, 2019
Sep. 30, 2019
Dec. 31, 2018
Assets          
Cash and cash equivalents $ 250,358   $ 78,638 $ 146,176 $ 73,357
Fair Value 40,654   58,903    
Loans, net 1,494,231   990,132    
Mortgage loans held for sale 89,872   48,312    
Accrued interest receivable 6,730   3,048    
IRLC and FSC, net 11,622 $ 7,482 1,184    
Other assets 28,738   16,544    
Liabilities          
Deposits 1,563,672   1,086,784    
FHLB Topeka Borrowings - fixed rate 222,075   10,000    
Subordinated notes 14,447   6,560    
Accrued interest payable 347   299    
Carrying Amount          
Assets          
Cash and cash equivalents 250,358   78,638    
Fair Value 40,654   58,903    
Loans, net 1,494,231   990,132    
Mortgage loans held for sale 89,872   48,312    
Accrued interest receivable 6,730   3,048    
Equity securities 732   713    
IRLC and FSC, net 11,622   1,184    
Guarantee asset 245        
Liabilities          
Deposits 1,563,672   1,086,784    
FHLB Topeka Borrowings - fixed rate 18,000   10,000    
Federal Reserve Borrowings - fixed rate 204,075        
Accrued interest payable 347   299    
Guarantee liability 153        
Subordinated notes - fixed-to-floating rate | Carrying Amount          
Liabilities          
Subordinated notes 14,447   6,560    
Level 1 | Estimated Fair Value          
Assets          
Cash and cash equivalents 250,358   78,638    
Fair Value 256   254    
Equity securities 732   713    
Level 2 | Estimated Fair Value          
Assets          
Fair Value 40,398   58,649    
Mortgage loans held for sale 89,872   48,312    
Accrued interest receivable 6,730   3,048    
Liabilities          
Deposits 1,565,555   1,089,261    
FHLB Topeka Borrowings - fixed rate 18,070   10,003    
Federal Reserve Borrowings - fixed rate 204,075        
Accrued interest payable 347   299    
Level 3 | Estimated Fair Value          
Assets          
Loans, net 1,493,863   974,142    
IRLC and FSC, net 11,622   1,184    
Guarantee asset 245        
Liabilities          
Guarantee liability 153        
Level 3 | Subordinated notes - fixed-to-floating rate | Estimated Fair Value          
Liabilities          
Subordinated notes $ 14,997   $ 6,004