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Commitments and Contingencies (Tables)
12 Months Ended
Dec. 31, 2021
Commitments and Contingencies  
Summary of total amount of unfunded commitments to extend credit and standby letters of credit outstanding

    

2021

    

2020

Commitments to make loans

$

23,610

$

40,331

Unused lines of credit

 

45,805

 

140,665

Standby letters of credit

 

24

 

24

Schedule of Advantage Loan Program loans to be repurchased by date range

    

Outstanding

Principal Balance at

Repurchase Date Range

December 31, 2021

February 28, 2022 – February 28, 2023

$

15,164

May 21, 2022 – May 21, 2023

 

13,874

July 25, 2022 – July 25, 2023

 

17,211

Present – July 22, 2023

 

26,768

$

73,017

Schedule of activity in the mortgage repurchase liability

Year Ended 

December 31,

2021

2020

Balance, beginning of period

    

$

9,699

    

$

7,823

Net provision (recovery)

(1,234)

 

2,527

Loss on loan repurchases

(5,511)

(651)

Balance, end of the period

$

2,954

$

9,699