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DERIVATIVES (Details)
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2022
USD ($)
derivative
Mar. 31, 2022
USD ($)
Sep. 30, 2021
USD ($)
Sep. 30, 2022
USD ($)
derivative
Sep. 30, 2021
USD ($)
Dec. 31, 2021
USD ($)
Derivative disclosures            
Fair value adjustment $ 92,000   $ 5,132,000 $ 840,000 $ 7,972,000  
Net impact of fair value adjustments   $ (101,000)        
Other assets            
Derivative disclosures            
Fair Value, Assets 40,147,000     40,147,000   $ 22,120,000
Other liabilities            
Derivative disclosures            
Fair Value, Liabilities 29,602,000     $ 29,602,000   19,403,000
Derivative loan commitments            
Derivative disclosures            
Loan commitment specified period       60 days    
Derivative loan commitments | Not designated as hedging instruments            
Derivative disclosures            
Notional Amount 47,154,000     $ 47,154,000   86,134,000
Derivative loan commitments | Not designated as hedging instruments | Other assets            
Derivative disclosures            
Fair Value, Assets 901,000     901,000   1,527,000
Derivative loan commitments | Not designated as hedging instruments | Other liabilities            
Derivative disclosures            
Fair Value, Liabilities 343,000     343,000   95,000
Forward loan sale commitments | Not designated as hedging instruments            
Derivative disclosures            
Notional Amount 42,606,000     42,606,000   96,000,000
Forward loan sale commitments | Not designated as hedging instruments | Other assets            
Derivative disclosures            
Fair Value, Assets 1,334,000     1,334,000   56,000
Forward loan sale commitments | Not designated as hedging instruments | Other liabilities            
Derivative disclosures            
Fair Value, Liabilities 16,000     16,000   94,000
Interest rate swaps            
Derivative disclosures            
Securities pledged to secure the Company's liability for the offsetting interest rate swaps $ 0     $ 0    
Fair value adjustment   $ 329,000       (430,000)
Interest rate swaps | Cash Flow Hedging            
Derivative disclosures            
Number of Derivative Instruments Held | derivative 1     1    
Maturity term       2 years 6 months 7 days    
Fixed rate 0.67%     0.67%    
Variable rate 2.32%     2.32%    
Amount to be reclassified in next 12 months $ 3,700,000     $ 3,700,000    
Notional Amount 100,000,000.0     100,000,000.0    
Fair Value, Assets 8,700,000     8,700,000    
Interest rate swaps | Designated as Hedging Instrument            
Derivative disclosures            
Notional Amount 100,000,000     100,000,000   100,000,000
Interest rate swaps | Designated as Hedging Instrument | Other assets            
Derivative disclosures            
Fair Value, Assets 8,669,000     8,669,000   1,663,000
Interest rate swaps | Not designated as hedging instruments            
Derivative disclosures            
Notional Amount 657,517,000     657,517,000   740,235,000
Interest rate swaps | Not designated as hedging instruments | Other assets            
Derivative disclosures            
Fair Value, Assets 29,243,000     29,243,000   18,874,000
Interest rate swaps | Not designated as hedging instruments | Other liabilities            
Derivative disclosures            
Fair Value, Liabilities 29,243,000     29,243,000   19,214,000
Risk Participation Agreements | Not designated as hedging instruments            
Derivative disclosures            
Notional Amount $ 130,875,000     $ 130,875,000   $ 139,109,000