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SHORT-TERM BORROWINGS
12 Months Ended
Dec. 31, 2022
SHORT-TERM BORROWINGS  
SHORT-TERM BORROWINGS

11.SHORT-TERM BORROWINGS:

A summary of the carrying value of the Corporation’s short-term borrowings at December 31, 2022 and 2021 is presented below:

(Dollar amounts in thousands)

2022

    

2021

Federal Funds Purchased

$

3,000

$

3,275

Repurchase Agreements

 

67,875

 

90,099

$

70,875

$

93,374

(Dollar amounts in thousands)

    

2022

    

2021

 

Average amount outstanding

$

84,004

$

99,810

Maximum amount outstanding at a month end

 

96,728

 

117,337

Average interest rate during year

 

1.48

%  

 

0.40

%

Interest rate at year-end

 

0.27

%  

 

0.08

%

Federal funds purchased are generally due in one day and bear interest at market rates. The Corporation enters into sales of securities under agreements to repurchase. The amounts received under these agreements represent short-term borrowings and are reflected as a liability in the consolidated balance sheets. The securities underlying these agreements are included in investment securities in the consolidated balance sheets. The Corporation has no control over the market value of the securities, which fluctuates due to market conditions. However, the Corporation is obligated to promptly transfer additional securities if the market value of the securities falls below the repurchase agreement price. The Corporation manages this risk by maintaining an unpledged securities portfolio that it believes is sufficient to cover a decline in the market value of the securities sold under agreements to repurchase.

Securities are pledged to cover these liabilities, which are not covered by federal deposit insurance. The Corporation maintains possession of and control over these securities.

Collateral pledged to repurchase agreements by remaining maturity are as follows:

    

December 31, 2022

Repurchase Agreements

 

Remaining Contractual Maturity of the Agreements

Overnight

Greater

 

and

 

Up to 30

 

30 - 90

 

than 90

 

(Dollar amounts in thousands)

    

continuous

    

days

    

days

    

days

    

Total

Mortgage Backed Securities - Residential and Collateralized
Mortgage Obligations

$

63,335

$

$

4,175

$

365

$

67,875

    

December 31, 2021

Repurchase Agreements

Remaining Contractual Maturity of the Agreements

Overnight

Greater

and

Up to 30

30 - 90 

than 90

(Dollar amounts in thousands)

    

continuous

    

days

    

days

    

days

    

Total

Mortgage Backed Securities - Residential and Collateralized
Mortgage Obligations

$

83,576

$

$

5,816

$

707

$

90,099