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Supplemental Cash Flow Information
3 Months Ended
Mar. 31, 2019
Supplemental Cash Flow Information [Abstract]  
Supplemental Cash Flow Information
Supplemental Cash Flow Information
Supplemental cash flow information as of and for the three months ended March 31, 2019 and 2018 is shown in the following table (dollars in thousands):
 
Three Months Ended 
 March 31,
 
2019
 
2018
Supplemental Schedule of Cash and Cash Equivalents:
 
 
 
Cash and due from banks
$
28,912

 
$
18,772

Interest-bearing deposits in other banks
41,949

 
57,881

Cash and Cash Equivalents
$
70,861

 
$
76,653

 


 


Supplemental Disclosure of Cash Flow Information:
 

 
 

Cash paid for:
 

 
 

Interest on deposits and borrowed funds
$
2,978

 
$
2,101

Income taxes

 

Noncash investing and financing activities:


 


Transfer of loans to other real estate owned

 
532

Increase in operating lease right-of-use asset upon adoption of ASU 2016-02
4,413

 

Increase in operating lease liability upon adoption of ASU 2016-02
4,413

 

Unrealized gains (losses) on securities available for sale
3,965

 
(3,742
)
Unrealized losses on cash flow hedges
(725
)