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FAIR VALUE MEASUREMENTS AND FAIR VALUES OF FINANCIAL INSTRUMENTS - Financial Instruments Not Recorded at Fair Value (Details) - USD ($)
$ in Thousands
Sep. 30, 2022
Dec. 31, 2021
Interest rate swap agreements    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Fair value derivative asset $ 3,795 $ 3,104
Reported value measurement | Level 1    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Cash and cash equivalents 55,444 95,848
Reported value measurement | Level 2    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Certificates of deposit 8,600 9,100
Restricted equity securities (included in Other Assets) 10,807 9,562
Accrued interest receivable 8,425 7,235
Short-term borrowings 2,457 1,803
Long-term borrowings 55,463 28,042
Senior debt 14,749 14,701
Subordinated debt 24,580 33,009
Accrued interest payable 635 205
Reported value measurement | Level 2 | Deposits with no stated maturity    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 1,745,817 1,639,167
Reported value measurement | Level 2 | Time deposits    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 293,778 285,893
Reported value measurement | Level 3    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Loans, net 1,674,076 1,551,312
Estimate of fair value measurement | Level 1    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Cash and cash equivalents 55,444 95,848
Estimate of fair value measurement | Level 2    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Certificates of deposit 8,184 9,142
Restricted equity securities (included in Other Assets) 10,807 9,562
Accrued interest receivable 8,425 7,235
Short-term borrowings 1,849 1,603
Long-term borrowings 54,129 28,347
Senior debt 10,492 15,016
Subordinated debt 17,567 33,171
Accrued interest payable 635 205
Estimate of fair value measurement | Level 2 | Deposits with no stated maturity    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 1,745,817 1,639,167
Estimate of fair value measurement | Level 2 | Time deposits    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 292,703 286,962
Estimate of fair value measurement | Level 3    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Loans, net $ 1,643,468 $ 1,573,955