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Contingent Liabilities, Commitments, and Financial Instruments with Off-Balance-Sheet Risk (Tables)
12 Months Ended
Dec. 31, 2020
Commitments and Contingencies Disclosure [Abstract]  
Operating lease right of use assets and operating lease liabilities
The following table shows operating lease right of use assets and operating lease liabilities as of December 31.
(Dollars in thousands)Statement of Financial Condition classification20202019
Operating lease right of use assetsAccrued income and other assets$23,825 $24,147 
Operating lease liabilitiesAccrued expenses and other liabilities$23,688 $24,319 
Components of operating lease expense
The following table shows the components of operating leases expense for the year ended December 31.
(Dollars in thousands)Statement of Income classification20202019
Operating lease costNet occupancy expense$3,472 $3,487 
Short-term lease costNet occupancy expense41 
Variable lease (recovery of) costNet occupancy expense(30)— 
Total operating lease cost$3,450 $3,528 
Future minimum rental commitments for noncancellable operating leases
The following table shows future minimum rental commitments for all noncancellable operating leases with an initial term longer than 12 months for the next five years and thereafter.
(Dollars in thousands)
2021$3,639 
20223,944 
20233,590 
20242,681 
20252,497 
Thereafter9,194 
Total lease payments25,545 
Less: imputed interest(1,857)
Present value of operating lease liabilities$23,688 
Operating lease weighted average remaining term, discount rate, and supplmental cash flows information
The following table shows the weighted average remaining operating lease term, the weighted average discount rate and supplemental Consolidated Statement of Cash Flows information for operating leases at December 31.
(Dollars in thousands)20202019
Weighted average remaining lease term10.17 years10.88 years
Weighted average discount rate1.80 %2.83 %
Cash paid for amounts included in the measurement of lease liabilities:
Operating cash flows from operating leases$3,794 $3,768 
Schedule of financial instruments whose contract amounts represent credit risk
Financial instruments, whose contract amounts represent credit risk as of December 31, were as follows:
(Dollars in thousands)20202019
Amounts of commitments:
Loan commitments to extend credit$1,140,892 $1,095,054 
Standby letters of credit$24,884 $27,549 
Commercial and similar letters of credit$7,095 $2,332