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FAIR VALUE OF FINANCIAL INSTRUMENTS (Fair Value, by Balance Sheet Grouping) (Details) - USD ($)
$ in Thousands
Mar. 31, 2021
Dec. 31, 2020
Assets    
Estimated Fair Value $ 253,348 $ 246,105
Equity securities carried at fair value through income 4,787 4,855
Non-marketable equity securities in other financial institutions 207 207
FHLB Stock 2,036 2,777
Net loans receivable 1,606,510 1,581,922
Accrued Interest Receivable 7,337 8,717
Investment in BOLI 38,275 38,061
Liabilities    
Savings, NOW and money market accounts 1,519,228 1,391,746
Time deposits 349,925 355,478
Short-term borrowings   0
Long-term debt 27,001 27,805
TRUPs 10,473 9,444
Subordinated notes   20,106
Carrying Amount    
Assets    
Estimated Fair Value 253,348 246,105
Equity securities carried at fair value through income 4,787 4,855
Non-marketable equity securities in other financial institutions 207 207
FHLB Stock 2,036 2,777
Net loans receivable 1,602,291 1,594,075
Accrued Interest Receivable 7,337 8,717
Investment in BOLI 38,275 38,061
Liabilities    
Savings, NOW and money market accounts 1,519,228 1,391,746
Time deposits 348,668 353,856
Short-term borrowings   0
Long-term debt 27,285 27,302
TRUPs 12,000 12,000
Subordinated notes   19,526
Level 2    
Assets    
Estimated Fair Value 253,348 246,105
Equity securities carried at fair value through income 4,787 4,855
Non-marketable equity securities in other financial institutions 207 207
FHLB Stock 2,036 2,777
Accrued Interest Receivable 7,337 8,717
Investment in BOLI 38,275 38,061
Liabilities    
Savings, NOW and money market accounts 1,519,228 1,391,746
Time deposits 349,925 355,478
Short-term borrowings   0
Long-term debt 27,001 27,805
TRUPs 10,473 9,444
Subordinated notes   20,106
Level 3    
Assets    
Net loans receivable $ 1,606,510 $ 1,581,922