Annual report pursuant to Section 13 and 15(d)

MORTGAGE BANKING ACTIVITIES - Warehouse Line Borrowings (Details)

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MORTGAGE BANKING ACTIVITIES - Warehouse Line Borrowings (Details) - Warehouse Line Borrowings [Member]
$ in Thousands
12 Months Ended
Dec. 31, 2020
USD ($)
Short-term Debt [Line Items]  
Line of credit outstanding $ 74,782
Line of credit agreement expiring Ocotber 2021 [Member]  
Short-term Debt [Line Items]  
Line of Credit Facility, Maximum Borrowing Capacity $ 25,000
Description of interest rate basis Interest is at LIBOR plus 2.25%
Interest rate, basis spread (in percent) 2.25%
Floor rate 3.50%
Line of credit outstanding $ 11,256
Cash pledge deposit $ 100
Line of Credit Facility, Expiration Date Oct. 31, 2021
Master Repurchase Agreement [Member]  
Short-term Debt [Line Items]  
Line of Credit Facility, Maximum Borrowing Capacity $ 50,000
Description of interest rate basis Interest is at the LIBOR plus 2.24% to 3.00%
Floor rate 3.25%
Line of credit outstanding $ 39,985
Cash pledge deposit $ 500
Master Repurchase Agreement [Member] | Maximum [Member]  
Short-term Debt [Line Items]  
Interest rate, basis spread (in percent) 3.00%
Master Repurchase Agreement [Member] | Minimum [Member]  
Short-term Debt [Line Items]  
Interest rate, basis spread (in percent) 2.24%
Line of credit expiring September 30, 2021 [Member]  
Short-term Debt [Line Items]  
Line of Credit Facility, Maximum Borrowing Capacity $ 50,000
Description of interest rate basis Interest is at the LIBOR plus 2.75%
Interest rate, basis spread (in percent) 2.75%
Line of credit outstanding $ 23,541
Line of Credit Facility, Expiration Date Sep. 30, 2021