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Loans and Allowance for Credit Losses (Allowance for Credit Losses on Financing Receivables) (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2022
Jun. 30, 2021
Allowance for credit losses allocated to:        
Beginning balance $ 14,710 $ 14,313 $ 13,944 $ 13,888
Charge-offs (147) (46) (255) (111)
Recoveries 720 171 994 236
Net (charge-offs) recoveries 573 125 739 125
Provision for credit losses 200 650 800 1,075
Ending balance 15,483 15,088 15,483 15,088
Commercial and Residential Real Estate Portfolio Segment [Member] | Construction Loans [Member]        
Allowance for credit losses allocated to:        
Beginning balance 2,857 2,796 2,454 2,022
Recoveries 4 5 7 10
Net (charge-offs) recoveries 4 5 7 10
Provision for credit losses 484 (227) 884 542
Ending balance 3,345 2,574 3,345 2,574
Residential Portfolio Segment [Member]        
Allowance for credit losses allocated to:        
Beginning balance 2,575 3,699 2,858 3,699
Charge-offs (4)   (4)  
Recoveries 73 57 119 63
Net (charge-offs) recoveries 69 57 115 63
Provision for credit losses 134 56 (195) 50
Ending balance 2,778 3,812 2,778 3,812
Commercial Real Estate Portfolio Segment [Member]        
Allowance for credit losses allocated to:        
Beginning balance 4,500 5,097 4,598 5,426
Charge-offs (6)   (6)  
Recoveries 555 64 705 64
Net (charge-offs) recoveries 549 64 699 64
Provision for credit losses (608) 439 (856) 110
Ending balance 4,441 5,600 4,441 5,600
Commercial Portfolio Segment [Member]        
Allowance for credit losses allocated to:        
Beginning balance 1,805 2,000 2,070 2,089
Charge-offs (122) (46) (214) (107)
Recoveries 72 44 140 96
Net (charge-offs) recoveries (50) (2) (74) (11)
Provision for credit losses (74) (119) (315) (199)
Ending balance 1,681 1,879 1,681 1,879
Consumer Portfolio Segment [Member]        
Allowance for credit losses allocated to:        
Beginning balance 2,973 721 1,964 652
Charge-offs (15)   (31) (4)
Recoveries 16 1 23 3
Net (charge-offs) recoveries 1 1 (8) (1)
Provision for credit losses 264 501 1,282 572
Ending balance $ 3,238 $ 1,223 $ 3,238 $ 1,223