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LOANS (Details 3) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Dec. 31, 2022
Sep. 30, 2022
Jun. 30, 2022
Mar. 31, 2022
Dec. 31, 2021
Sep. 30, 2021
Jun. 30, 2021
Mar. 31, 2021
Dec. 31, 2020
Sep. 30, 2020
Jun. 30, 2020
Mar. 31, 2020
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Financing Receivable, Past Due [Line Items]                              
Balance at the beginning of year       $ 11,179       $ 10,389       $ 6,627 $ 11,179 $ 10,389 $ 6,627
Charge-offs                         (68) (182) (110)
Recoveries                         377 637 209
Provisions $ 25 $ 18 $ (70) (125) $ (59) $ 49 $ 168 177 $ 276 $ 1,062 $ 1,250 1,075 (152) 335 3,663
Balance at end of year 11,336       11,179       10,389       11,336 11,179 10,389
Individually evaluated for impairment       1       2       1 2
Collectively evaluated for impairment 11,336       11,178       10,387       11,336 11,178 10,387
Ending balance-total 980,857       863,702       844,157       980,857 863,702 844,157
Individually evaluated for impairment 4,983       1,694       6,113       4,983 1,694 6,113
Collectively evaluated for impairment 975,874       862,008       838,044       975,874 862,008 838,044
Commercial, Financial And Agricultural Loan [Member]                              
Financing Receivable, Past Due [Line Items]                              
Balance at the beginning of year       853       778       427 853 778 427
Charge-offs                        
Recoveries                         17 39 130
Provisions                         (21) 36 221
Balance at end of year 849       853       778       849 853 778
Individually evaluated for impairment                  
Collectively evaluated for impairment (849)       853       778       (849) 853 778
Ending balance-total 72,409       69,952       96,688       72,409 69,952 96,688
Individually evaluated for impairment 29                   29
Collectively evaluated for impairment 72,380       69,952       96,688       72,380 69,952 96,688
Construction Loans [Member]                              
Financing Receivable, Past Due [Line Items]                              
Balance at the beginning of year       113       145       111 113 145 111
Charge-offs                         (2)
Recoveries                         2
Provisions                         (38) (32) 34
Balance at end of year 75       113       145       75 113 145
Individually evaluated for impairment                  
Collectively evaluated for impairment 75       113       145       75 113 145
Ending balance-total 91,223       94,969       95,282       91,223 94,969 95,282
Individually evaluated for impairment                  
Collectively evaluated for impairment 91,223       94,969       95,282       91,223 94,969 95,282
Residential Mortgage [Member]                              
Financing Receivable, Past Due [Line Items]                              
Balance at the beginning of year       560       541       367 560 541 367
Charge-offs                        
Recoveries                         6 10
Provisions                         157 9 174
Balance at end of year 723       560       541       723 560 541
Individually evaluated for impairment                  
Collectively evaluated for impairment 723       560       541       723 560 541
Ending balance-total 65,759       45,498       43,928       65,759 45,498 43,928
Individually evaluated for impairment 34       133       440       34 133 440
Collectively evaluated for impairment 65,725       45,365       43,488       65,725 45,365 43,488
Commercial Real Estate [Member]                              
Financing Receivable, Past Due [Line Items]                              
Balance at the beginning of year       8,570       7,855       4,602 8,570 7,855 4,602
Charge-offs                         (110) (1)
Recoveries                         325 473 23
Provisions                         (326) 352 3,231
Balance at end of year 8,569       8,570       7,855       8,569 8,570 7,855
Individually evaluated for impairment       1       2       1 2
Collectively evaluated for impairment 8,569       8,569       7,853       8,569 8,569 7,853
Ending balance-total 709,218       617,464       573,258       709,218 617,464 573,258
Individually evaluated for impairment 4,752       1,561       5,631       4,752 1,561 5,631
Collectively evaluated for impairment 704,466       615,903       567,627       704,466 615,903 567,627
Home Equity Line of Credit [Member]                              
Financing Receivable, Past Due [Line Items]                              
Balance at the beginning of year       333       324       240 333 324 240
Charge-offs                         (1)
Recoveries                         13 69 2
Provisions                         (31) (60) 82
Balance at end of year 314       333       324       314 333 324
Individually evaluated for impairment                  
Collectively evaluated for impairment 314       333       324       314 333 324
Ending balance-total 28,723       27,116       26,442       28,723 27,116 26,442
Individually evaluated for impairment 168             42       168 42
Collectively evaluated for impairment 28,555       27,116       26,400       28,555 27,116 26,400
Consumer Portfolio Segment [Member]                              
Financing Receivable, Past Due [Line Items]                              
Balance at the beginning of year       126       125       97 126 125 97
Charge-offs                         (67) (72) (107)
Recoveries                         16 46 52
Provisions                         95 27 83
Balance at end of year 170       126       125       170 126 125
Individually evaluated for impairment                  
Collectively evaluated for impairment 170       126       125       170 126 125
Ending balance-total 13,525       8,703       8,559       13,525 8,703 8,559
Individually evaluated for impairment                  
Collectively evaluated for impairment 13,525       8,703       8,559       13,525 8,703 8,559
Unallocated Financing Receivables [Member]                              
Financing Receivable, Past Due [Line Items]                              
Balance at the beginning of year       $ 624       $ 621       $ 783 624 621 783
Charge-offs                        
Recoveries                        
Provisions                         12 3 (162)
Balance at end of year 636       624       621       636 624 621
Individually evaluated for impairment                  
Collectively evaluated for impairment 636       624       621       636 624 621
Ending balance-total                  
Individually evaluated for impairment                  
Collectively evaluated for impairment