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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Operating Activities      
Net income $ 43,069 $ 45,698 $ 28,275
Adjustments to reconcile net income to net cash provided by operating activities      
Depreciation and amortization 1,119 1,057 1,302
Provision for credit losses 700 0 21,145
Amortization (Accretion) of premiums and discounts on securities 198 (766) 381
Gain on sales of loans held for sale (1,326) (370) (331)
Net loss on sale of available-for-sale debt securities 10 6 16
Stock-based compensation expense 3,062 2,467 2,164
Gain on sale of premises and equipment 0 (120) (77)
Cash receipts from the sale of loans originated for sale 52,230 20,452 10,535
Cash disbursements for loans originated for sale (52,982) (19,364) (10,922)
Deferred income tax expense (344) (144) (1,259)
Changes in      
Interest receivable and other assets 13 5,277 (2,536)
Interest payable and other liabilities 387 853 432
Net cash provided by operating activities 46,136 55,046 49,125
Investing Activities      
Net cash paid for acquisition (2,750) 0 (16,482)
Maturities of interest-bearing time deposits in other banks 11,691 19,461 8,471
Purchases of interest-bearing time deposits in other banks (15,429) (8,501) (20,676)
Maturities, prepayments and calls of available-for-sale debt securities 8,923 195,692 7,422
Purchases of available-for-sale debt securities 0 (83,877) 0
Net change in loans (208,399) (38,638) (106,762)
Purchases of premises and equipment (4,740) (4,197) (2,834)
Proceeds from sale of premises and equipment 0 218 78
Purchase of nonmarketable equity securities (40) 0 (74)
Proceeds from sale of nonmarketable equity securities 158 0 0
Net cash (used in) provided by investing activities (210,586) 80,158 (130,857)
Financing Activities      
Net change in deposits 185,362 (75,920) 159,991
Cash dividends paid (9,342) (8,057) (6,323)
Shares purchased and retired for restricted stock units (1,277) (666) (513)
Net settlement of stock options 145 2,591 503
Common stock issued for restricted stock units 1 2 1
Net cash provided by (used in) financing activities 174,889 (82,050) 153,659
Net Increase in Cash and Due from Banks 10,439 53,154 71,927
Cash and Due from Banks, Beginning of Period 234,196 181,042 109,115
Cash and Due from Banks, End of Period 244,635 234,196 181,042
Supplemental Disclosure of Cash Flows Information      
Interest paid 40,949 45,565 37,935
Income taxes paid 13,714 15,059 10,800
Dividends declared and not paid 2,555 2,254 1,932
Measurement period goodwill adjustment $ 0 $ 0 $ (146)