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Fair Value of Financial Instruments - Carrying value and fair value of financial instruments (Details) - USD ($)
$ in Thousands
Jun. 30, 2022
Jun. 30, 2021
Financial assets:    
Loans receivable, net $ 475,511 $ 461,196
Held to maturity securities, Amortized cost 102,135  
Financial liabilities:    
Certificates of deposit 131,361 160,303
Advances from Federal Home Loan Bank 65,000 41,000
Level 2    
Financial assets:    
Held to maturity securities, Amortized cost 88,321  
Level 3    
Financial assets:    
Loans receivable, net 468,485 472,292
Financial liabilities:    
Certificates of deposit 130,974 161,057
Advances from Federal Home Loan Bank 65,000 42,098
Carrying Value    
Financial assets:    
Loans receivable, net 475,511 461,196
Held to maturity securities, Amortized cost 102,135  
Financial liabilities:    
Certificates of deposit 131,361 160,303
Advances from Federal Home Loan Bank 65,000 41,000
Fair Value    
Financial assets:    
Loans receivable, net 468,485 472,292
Held to maturity securities, Amortized cost 88,321  
Financial liabilities:    
Certificates of deposit 130,974 161,057
Advances from Federal Home Loan Bank $ 65,000 $ 42,098