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Fair Value Disclosures - Carrying amounts and estimated fair value of our financial instruments (Details) - Non recurring - USD ($)
$ in Thousands
Sep. 30, 2022
Dec. 31, 2021
Fair Value Disclosures    
Total assets $ 1,807  
Carrying Amount | Deposits- liabilities    
Fair Value Disclosures    
Financial Liabilities 987,624 $ 927,164
Carrying Amount | FHLB of New York advances    
Fair Value Disclosures    
Financial Liabilities 21,000 28,000
Carrying Amount | Cash and cash equivalents    
Fair Value Disclosures    
Total assets 54,932 152,269
Carrying Amount | Certificates of deposit    
Fair Value Disclosures    
Total assets 100 100
Carrying Amount | Marketable equity securities    
Fair Value Disclosures    
Total assets 18,307 19,943
Carrying Amount | Securities available for sale    
Fair Value Disclosures    
Total assets 1 1
Carrying Amount | Securities held to maturity    
Fair Value Disclosures    
Total assets 26,732 17,880
Carrying Amount | Loans receivable, net    
Fair Value Disclosures    
Total assets 1,112,507 968,093
Carrying Amount | Investments in restricted stock    
Fair Value Disclosures    
Total assets 1,238 1,569
Carrying Amount | Accrued interest receivable    
Fair Value Disclosures    
Total assets 6,635 4,283
Fair Value | Deposits- liabilities    
Fair Value Disclosures    
Financial Liabilities 986,647 929,003
Fair Value | FHLB of New York advances    
Fair Value Disclosures    
Financial Liabilities 19,540 28,283
Fair Value | Cash and cash equivalents    
Fair Value Disclosures    
Total assets 54,932 152,269
Fair Value | Certificates of deposit    
Fair Value Disclosures    
Total assets 100 100
Fair Value | Marketable equity securities    
Fair Value Disclosures    
Total assets 18,307 19,943
Fair Value | Securities available for sale    
Fair Value Disclosures    
Total assets 1 1
Fair Value | Securities held to maturity    
Fair Value Disclosures    
Total assets 22,900 17,620
Fair Value | Loans receivable, net    
Fair Value Disclosures    
Total assets 1,097,136 968,247
Fair Value | Investments in restricted stock    
Fair Value Disclosures    
Total assets 1,238 1,569
Fair Value | Accrued interest receivable    
Fair Value Disclosures    
Total assets 6,635 4,283
Level 1 | Fair Value | Cash and cash equivalents    
Fair Value Disclosures    
Total assets 54,932 152,269
Level 1 | Fair Value | Marketable equity securities    
Fair Value Disclosures    
Total assets 18,307 19,943
Level 2 | Fair Value | Deposits- liabilities    
Fair Value Disclosures    
Financial Liabilities 986,647 929,003
Level 2 | Fair Value | FHLB of New York advances    
Fair Value Disclosures    
Financial Liabilities 19,540 28,283
Level 2 | Fair Value | Certificates of deposit    
Fair Value Disclosures    
Total assets 100 100
Level 2 | Fair Value | Securities available for sale    
Fair Value Disclosures    
Total assets 1 1
Level 2 | Fair Value | Securities held to maturity    
Fair Value Disclosures    
Total assets 22,900 17,620
Level 2 | Fair Value | Investments in restricted stock    
Fair Value Disclosures    
Total assets 1,238 1,569
Level 2 | Fair Value | Accrued interest receivable    
Fair Value Disclosures    
Total assets 6,635 4,283
Level 3    
Fair Value Disclosures    
Total assets 1,807  
Level 3 | Fair Value | Loans receivable, net    
Fair Value Disclosures    
Total assets $ 1,097,136 $ 968,247