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FAIR VALUE MEASUREMENTS AND FAIR VALUES OF FINANCIAL INSTRUMENTS - Financial Instruments Not Recorded at Fair Value (Details) - USD ($)
$ in Thousands
Jun. 30, 2021
Dec. 31, 2020
Interest rate swap agreements    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Fair value derivative asset $ 4,468 $ 6,566
Reported value measurement | Level 1    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Cash and cash equivalents 201,020 96,017
Reported value measurement | Level 2    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Certificates of deposit 7,840 5,840
Restricted equity securities (included in Other Assets) 9,600 9,970
Accrued interest receivable 7,293 8,293
Short-term borrowings 2,125 20,022
Long-term borrowings 44,325 54,608
Senior debt 14,670 0
Subordinated debt 32,967 16,553
Accrued interest payable 151 390
Reported value measurement | Level 2 | Deposits with no stated maturity    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 1,596,954 1,430,062
Reported value measurement | Level 2 | Time deposits    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 319,855 390,407
Reported value measurement | Level 2 | Interest rate swap agreements    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Fair value derivative asset 4,468 6,566
Interest rate swap agreements 4,468 6,566
Reported value measurement | Level 3    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Loans, net 1,585,481 1,632,824
Estimate of fair value measurement | Level 1    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Cash and cash equivalents 201,020 96,017
Estimate of fair value measurement | Level 2    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Certificates of deposit 7,995 6,054
Restricted equity securities (included in Other Assets) 9,600 9,970
Accrued interest receivable 7,293 8,293
Short-term borrowings 1,940 19,974
Long-term borrowings 45,022 55,723
Senior debt 15,000 0
Subordinated debt 33,593 16,680
Accrued interest payable 151 390
Estimate of fair value measurement | Level 2 | Deposits with no stated maturity    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 1,596,954 1,430,062
Estimate of fair value measurement | Level 2 | Time deposits    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 321,758 393,566
Estimate of fair value measurement | Level 2 | Interest rate swap agreements    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Fair value derivative asset 4,468 6,566
Interest rate swap agreements 4,468 6,566
Estimate of fair value measurement | Level 3    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Loans, net $ 1,601,240 $ 1,646,207