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Supplemental Cash Flow Information (Details) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Dec. 31, 2018
[1]
Supplemental Schedule of Cash and Cash Equivalents:      
Cash and due from banks $ 34,460 $ 24,042 $ 29,587
Interest-bearing deposits in other banks 20,454 9,300 $ 34,668
Cash and Cash Equivalents 54,914 33,342  
Cash paid for:      
Interest on deposits and borrowed funds 6,583 4,332  
Income taxes 1,532 2,548  
Noncash investing and financing activities:      
Transfer of loans to other real estate owned 181 532  
Transfer from premises and equipment to other assets 445    
Increase in operating lease right-of-use asset upon adoption of ASU 2016-02 4,413    
Increase in operating lease liability upon adoption of ASU 2016-02 4,413    
Unrealized gains (losses) on securities available for sale 7,935 (5,188)  
Unrealized losses on cash flow hedges (1,811)    
Unrealized losses on cash flow hedges   (237)  
Assets acquired:      
Investment securities 34,876 0  
Restricted stock 2,588 0  
Loans 444,324 0  
Premises and equipment 12,554 0  
Deferred income taxes 2,329 0  
Core deposit intangible 8,200 0  
Other real estate owned 1,442 0  
Bank owned life insurance 8,246 0  
Other assets 14,244 0  
Liabilities assumed:      
Deposits 483,626 0  
Short-term FHLB advances 14,883    
Long-term FHLB advances 778    
Subordinated debt 7,530    
Other liabilities 5,780 0  
Consideration:      
Issuance of common stock 82,470 0  
Fair value of replacement stock options/restricted stock $ 753 $ 0  
[1] Derived from audited consolidated financial statements.