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FHLB Advances and Other Borrowings (Tables)
12 Months Ended
Dec. 31, 2021
Advances from Federal Home Loan Banks [Abstract]  
Schedule of Borrowings, Debt and Repurchase Agreements Information regarding each of these types of borrowings or other indebtedness is as follows:
 December 31,
 20212020
Long-term Advances from Federal Home Loan Bank collateralized by qualifying mortgages, investment securities, and mortgage-backed securities$25,000 $83,000 
Junior Subordinated Debentures assumed from American Community Bancorp, Inc.6,225 6,075 
Junior Subordinated Debentures assumed from River Valley Bancorp, Inc.6,029 5,923 
Junior Subordinated Debentures assumed from Citizens First Corporation4,171 4,105 
Subordinated Debentures39,379 39,297 
Finance Lease Obligation3,051 3,224 
Long-term Borrowings83,855 141,624 
Overnight Variable Rate Advances from Federal Home Loan Bank collateralized by qualifying mortgages, investment securities, and mortgage-backed securities$ $— 
Federal Funds Purchased — 
Repurchase Agreements68,328 52,905 
Short-term Borrowings68,328 52,905 
Total Borrowings$152,183 $194,529 
Schedule of Repurchase Agreements
 20212020
Average Daily Balance During the Year$52,824 $58,000 
Average Interest Rate During the Year0.10 %0.30 %
Maximum Month-end Balance During the Year$71,764 $73,580 
Weighted Average Interest Rate at Year-end0.10 %0.10 %
Schedule of Principal Payments on Long-Term Borrowings
At December 31, 2021, scheduled principal payments on long-term borrowings, excluding the capitalized lease obligation and acquired subordinated debentures (which are discussed below) are as follows:
2022$— 
2023— 
202424,834 
2025— 
2026— 
Thereafter39,545 
Total$64,379 
Schedule of Issuance of Subordinated Debentures The following table summarizes the terms of each issuance:
Date of
Issuance
Issuance
Amount
Carrying
Amount at
December 31, 2021
Variable RateRate as of
December 31, 2021
Rate as of
December 31, 2020
Maturity
Date
ACB Trust I5/6/2005$5,155 $3,921 
90 day LIBOR + 2.15%
2.37 %2.40 %May 2035
ACB Trust II7/15/20053,093 2,304 
90 day LIBOR + 1.85%
2.01 %2.06 %July 2035
RIVR Statutory Trust I3/26/20037,217 6,029 
3-Month LIBOR + 3.15%
3.37 %3.40 %March 2033
Citizens First Statutory Trust I10/16/20065,155 4,171 
3-Month LIBOR +1.65%
1.78 %1.88 %January 2037