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Nature of Operations and Summary of Significant Accounting Policies (Tables)
12 Months Ended
Dec. 31, 2021
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Financing receivable, allowance for credit loss
The following table presents the provision for credit losses on the loan portfolio and off-balance sheet exposures:
Year ended
(Dollars in thousands)December 31,
2021
December 31,
2020
December 31,
2019
Provision for credit loss loans16,380 37,637 57 
Provision for credit loss unfunded6,696 2,128 — 
Total provision for credit losses23,076 39,765 57 
The following tables summarize the activity in the ACL:
Year ended December 31, 2021
(Dollars in thousands)TotalResidential Real EstateCommercial Real EstateOther CommercialHome EquityOther Consumer
Balance at beginning of period$158,243 9,604 86,999 49,133 8,182 4,325 
Acquisitions371 — 309 62 — — 
Provision for credit losses16,380 6,517 28,996 (23,444)186 4,125 
Charge-offs(11,594)(38)(279)(4,826)(45)(6,406)
Recoveries9,265 375 1,876 3,778 243 2,993 
Balance at end of period$172,665 16,458 117,901 24,703 8,566 5,037 

 
 Year ended December 31, 2020
(Dollars in thousands)TotalResidential
Real Estate
Commercial
Real Estate
Other
Commercial
Home
Equity
Other
Consumer
Balance at beginning of period$124,490 10,111 69,496 36,129 4,937 3,817 
Impact of adopting CECL3,720 3,584 10,533 (13,759)3,400 (38)
Acquisitions49 — 49 — — — 
Provision for credit losses37,637 (4,131)9,324 29,812 (27)2,659 
Charge-offs(13,808)(21)(3,497)(4,860)(384)(5,046)
Recoveries6,155 61 1,094 1,811 256 2,933 
Balance at end of period$158,243 9,604 86,999 49,133 8,182 4,325 


 Year ended December 31, 2019
(Dollars in thousands)TotalResidential
Real Estate
Commercial
Real Estate
Other
Commercial
Home
Equity
Other
Consumer
Balance at beginning of period$131,239 10,631 72,448 38,160 5,811 4,189 
Provision for credit losses57 (163)(2,704)(23)(863)3,810 
Charge-offs(15,178)(608)(2,460)(4,189)(90)(7,831)
Recoveries8,372 251 2,212 2,181 79 3,649 
Balance at end of period$124,490 10,111 69,496 36,129 4,937 3,817