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Debt (Tables)
12 Months Ended
Dec. 31, 2021
Debt Disclosure [Abstract]  
Schedule of Borrowings
The following is a breakdown of our FHLB advances and other borrowings outstanding as of December 31,:
20212020
AmountRateWeighted
Average
Rate
AmountRateWeighted
Average
Rate
Variable rate line-of-credit advance$— N/AN/A$20,000 0.35%N/A
Fixed rate term advances$40,000 
0.91% - 2.59%
1.49%$50,411 
0.91% - 4.13%
1.78%
$40,000 $70,411 
Schedule of Maturities of FHLB Borrowings
Future maturities of our FHLB borrowings is as follows:
2022$10,000 
2023— 
2024— 
202520,000 
2026— 
Thereafter10,000 
Total future repayments$40,000 
Schedule of Future Accretion Valuation Discount
Future accretion of the valuation discount adjusted for the subsequent event discussed above is expected as follows:
2022$877 
2023354 
Total future accretion$1,231 
Future accretion of the valuation discount is expected as follows:
2022$254 
2023286 
2024382 
2025271 
2026241 
Thereafter1,675 
Total future accretion$3,109 
Future Amortization of Debt Issuance Cost Future amortization of the debt issuance costs is expected as follows:
2022$93 
202393 
202493 
202593 
202693 
Thereafter330 
Total future amortization$795 
Future amortization of the debt issuance costs is expected as follows:
2022$53 
202353 
202453 
202553 
202653 
Thereafter269 
Total future amortization$534