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Note 23 - Supplemental Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2022
Notes Tables  
Schedule of Cash Flow, Supplemental Disclosures [Table Text Block]

(dollars in thousands)

 

As of or for the Year Ended December 31,

 
  

2022

  

2021

  

2020

 

Supplemental Schedule of Cash and Cash Equivalents:

            

Cash and due from banks

 $32,207  $23,095  $30,767 

Interest-bearing deposits in other banks

  41,133   483,723   337,853 
  $73,340  $506,818  $368,620 
             

Supplemental Disclosure of Cash Flow Information:

            

Cash paid for:

            

Interest on deposits and borrowed funds

 $5,308  $5,791  $12,455 

Income taxes

  8,472   3,102   7,609 

Noncash investing and financing activities:

            

Transfer of loans to other real estate owned

        95 

Transfer of loans to repossessions

  53      411 

Transfer from premises and equipment to other assets

     1,316    

Increase (decrease) in operating lease right-of-use asset

  240   (21)  371 

Increase (decrease) in operating lease liabilities

  240   (21)  371 

Unrealized gains (losses) on securities available for sale

  (68,877)  (12,271)  6,399 

Unrealized gains (losses) on cash flow hedges

  4,125   2,068   (2,210)

Change in unfunded pension liability

  1,082   590   (413)