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Fair Value Measurement - Summary of Estimated Fair Values of Financial Instruments (Details) - USD ($)
$ in Thousands
Jun. 30, 2022
Dec. 31, 2021
Financial assets    
Cash and due from banks $ 58,844 $ 35,247
Interest bearing deposits with other banks 83,057 122,684
Securities held-to-maturity, fair value 3,876 3,992
Restricted stock, at cost 30,002 22,002
Loans held for sale 17,284 64,460
Loans and lease receivables, net (less impaired loans at fair value 5,105,635 4,482,116
Financial liabilities    
Federal Home Loan Bank advances 650,000 490,000
Federal Funds Purchased 45,000 0
Securities sold under agreements to repurchase 53,092 29,723
Subordinated notes, net 73,604 73,517
Junior subordinated debentures issued to capital trusts, net 37,123 36,906
Level 1 | Carrying Amount    
Financial assets    
Cash and due from banks 58,844 35,247
Level 1 | Estimate of Fair Value Measurement    
Financial assets    
Cash and due from banks 58,844 35,247
Level 2 | Carrying Amount    
Financial assets    
Interest bearing deposits with other banks 83,057 122,684
Securities held-to-maturity, fair value 3,880 3,885
Restricted stock, at cost 30,002 22,002
Financial liabilities    
Non-interest-bearing deposits 2,180,927 2,158,420
Interest-bearing deposits 3,207,450 2,996,627
Accrued interest payable 631 262
Paycheck Protection Program Liquidity Facility 650,000 490,000
Federal Home Loan Bank advances 53,092 29,723
Federal Funds Purchased 45,000  
Securities sold under agreements to repurchase 73,604 73,517
Subordinated notes, net 37,123 36,906
Level 2 | Estimate of Fair Value Measurement    
Financial assets    
Interest bearing deposits with other banks 83,057 122,684
Securities held-to-maturity, fair value 3,876 3,992
Restricted stock, at cost 30,002 22,002
Financial liabilities    
Non-interest-bearing deposits 2,180,927 2,158,420
Interest-bearing deposits 3,205,937 2,997,026
Accrued interest payable 631 262
Paycheck Protection Program Liquidity Facility 650,000 490,000
Federal Home Loan Bank advances 53,092 29,723
Federal Funds Purchased 45,000  
Securities sold under agreements to repurchase 77,269 81,744
Subordinated notes, net 39,763 40,901
Level 3 | Carrying Amount    
Financial assets    
Loans held for sale 17,284 64,460
Loans and lease receivables, net (less impaired loans at fair value 5,039,275 4,430,231
Accrued interest receivable 19,323 18,875
Level 3 | Estimate of Fair Value Measurement    
Financial assets    
Loans held for sale 17,815 69,081
Loans and lease receivables, net (less impaired loans at fair value 4,984,367 4,428,509
Accrued interest receivable $ 19,323 $ 18,875