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Short-Term Borrowings
9 Months Ended
Sep. 30, 2016
Debt Disclosure [Abstract]  
Short-Term Borrowings

(8) Short-Term Borrowings

Short-term borrowings are included in Federal Home Loan Bank advances on the Consolidated Balance Sheets and are summarized as follows:

 

     At September 30, 2016     At December 31, 2015  
     Federal           Federal        
     Funds     Short-term     Funds     Short-term  
     Purchased     Borrowings     Purchased     Borrowings  

Outstanding balance

   $ —        $ 17,500      $ —        $ 53,700   

Maximum indebtedness

     20,000        70,400        —          64,700   

Average balance

     157        13,290        69        26,880   

Average rate paid

     0.79     0.42     0.53     0.20

Interest rate on balance

     —          0.40     —          0.35

Average balance during the year represent daily averages. Average rate paid represents interest expense divided by the related average balances.

These borrowing transactions can range from overnight to six months in maturity. The average maturity was one day at September 30, 2016 and December 31, 2015.

Securities sold under agreements to repurchase are used to facilitate the needs of our customers as well as to facilitate our short-term funding needs. Securities sold under repurchase agreements are carried at the amount of cash received in association with the agreement. We continuously monitor the collateral levels and may be required, from time to time, to provide additional collateral based on the fair value of the underlying securities. Securities pledged as collateral under repurchase agreements are maintained with our safekeeping agents.

The following table presents detail regarding the securities pledged as collateral under repurchase agreements as of September 30, 2016 and December 31, 2015. All of the repurchase agreements are overnight agreements.

 

     September 30, 2016      December 31, 2015  

Securities pledged for repurchase agreements:

     

U.S. Treasury securities

   $ 840       $ 894   

Obligations of U.S. government agencies

     20,873         24,146   
  

 

 

    

 

 

 

Total securities pledged

   $ 21,713       $ 25,040   
  

 

 

    

 

 

 

Gross amount of recognized liabilities for repurchase agreements

   $ 21,713       $ 25,040   
  

 

 

    

 

 

 

Amounts related to agreements not included in offsetting disclosures above

   $ —         $ —