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Ameris Bancorp – ‘10-Q’ for 6/30/22 – ‘EX-32.2’

On:  Friday, 8/5/22, at 4:52pm ET   ·   For:  6/30/22   ·   Accession #:  351569-22-17   ·   File #:  1-13901

Previous ‘10-Q’:  ‘10-Q’ on 5/6/22 for 3/31/22   ·   Next:  ‘10-Q’ on 11/7/22 for 9/30/22   ·   Latest:  ‘10-Q’ on 11/8/23 for 9/30/23   ·   9 References:   

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  As Of               Filer                 Filing    For·On·As Docs:Size

 8/05/22  Ameris Bancorp                    10-Q        6/30/22   85:19M

Quarterly Report   —   Form 10-Q

Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-Q        Quarterly Report                                    HTML   4.98M 
 2: EX-10.1     Material Contract                                   HTML    150K 
 3: EX-10.2     Material Contract                                   HTML     26K 
 4: EX-31.1     Certification -- §302 - SOA'02                      HTML     30K 
 5: EX-31.2     Certification -- §302 - SOA'02                      HTML     30K 
 6: EX-32.1     Certification -- §906 - SOA'02                      HTML     26K 
 7: EX-32.2     Certification -- §906 - SOA'02                      HTML     26K 
13: R1          Cover                                               HTML     77K 
14: R2          Consolidated Balance Sheets                         HTML    132K 
15: R3          Consolidated Balance Sheets (Parenthetical)         HTML     51K 
16: R4          Consolidated Statements of Income and               HTML    150K 
                Comprehensive Income (Unaudited)                                 
17: R5          Consolidated Statements of Income and               HTML     27K 
                Comprehensive Income (Unaudited) (Parenthetical)                 
18: R6          Consolidated Statements of Shareholders? Equity     HTML    104K 
                (Unaudited)                                                      
19: R7          Consolidated Statements of Shareholders? Equity     HTML     26K 
                (Unaudited) (Parenthetical)                                      
20: R8          Consolidated Statements of Cash Flows (Unaudited)   HTML    186K 
21: R9          Basis of Presentation and Accounting Policies       HTML     37K 
22: R10         Investment Securities                               HTML    209K 
23: R11         Loans and Allowance for Credit Losses               HTML    819K 
24: R12         Securities Sold Under Agreements to Repurchase      HTML     31K 
25: R13         Other Borrowings                                    HTML     52K 
26: R14         Accumulated Other Comprehensive Income              HTML     55K 
27: R15         Weighted Average Shares Outstanding                 HTML     41K 
28: R16         Fair Value Measures                                 HTML    218K 
29: R17         Commitments and Contingencies                       HTML     53K 
30: R18         Segment Reporting                                   HTML    218K 
31: R19         Loan Servicing Rights                               HTML    133K 
32: R20         Basis of Presentation and Accounting Policies       HTML     44K 
                (Policies)                                                       
33: R21         Investment Securities (Tables)                      HTML    217K 
34: R22         Loans and Allowance for Credit Losses (Tables)      HTML    818K 
35: R23         Securities Sold Under Agreements to Repurchase      HTML     30K 
                (Tables)                                                         
36: R24         Other Borrowings (Tables)                           HTML     47K 
37: R25         Accumulated Other Comprehensive Income (Tables)     HTML     54K 
38: R26         Weighted Average Shares Outstanding (Tables)        HTML     40K 
39: R27         Fair Value Measures (Tables)                        HTML    223K 
40: R28         Commitments and Contingencies (Tables)              HTML     46K 
41: R29         Segment Reporting (Tables)                          HTML    214K 
42: R30         Loan Servicing Rights (Tables)                      HTML    123K 
43: R31         BASIS OF PRESENTATION AND ACCOUNTING POLICIES -     HTML     29K 
                Narrative (Details)                                              
44: R32         INVESTMENT SECURITIES - Amortized Cost and          HTML     66K 
                Estimated Fair Value of Investment Securities                    
                Available for Sale (Details)                                     
45: R33         INVESTMENT SECURITIES - Amortized Cost and          HTML     42K 
                Estimated Fair Value of Securities                               
                Held-to-Maturity (Details)                                       
46: R34         INVESTMENT SECURITIES - Amortized Cost and Fair     HTML     95K 
                Value of Available for Sale Securities by                        
                Contractual Maturity (Details)                                   
47: R35         INVESTMENT SECURITIES - Narrative (Details)         HTML     78K 
48: R36         INVESTMENT SECURITIES - Schedule of Gross           HTML     70K 
                Unrealized Losses and Fair Value of Securities                   
                (Details)                                                        
49: R37         INVESTMENT SECURITIES - Schedule of                 HTML     49K 
                Held-to-Maturity Securities with Unrealized Losses               
                (Details)                                                        
50: R38         INVESTMENT SECURITIES - Schedule of Investments     HTML     31K 
                Available-for-sale, Allowance for Credit Loss                    
                (Details)                                                        
51: R39         INVESTMENT SECURITIES - Schedule of Gain on         HTML     31K 
                Securities (Details)                                             
52: R40         LOANS AND ALLOWANCE FOR CREDIT LOSSES - Loans       HTML     48K 
                Receivable (Details)                                             
53: R41         LOANS AND ALLOWANCE FOR CREDIT LOSSES - Narrative   HTML     43K 
                (Details)                                                        
54: R42         LOANS AND ALLOWANCE FOR CREDIT LOSSES - Loans       HTML     45K 
                Accounted for on a Nonaccrual Basis (Details)                    
55: R43         LOANS AND ALLOWANCE FOR CREDIT LOSSES - Analysis    HTML    117K 
                of Past-Due Loans (Details)                                      
56: R44         LOANS AND ALLOWANCE FOR CREDIT LOSSES - Summary of  HTML     41K 
                Information Pertaining to Impaired Loans (Details)               
57: R45         LOANS AND ALLOWANCE FOR CREDIT LOSSES - Loans by    HTML    193K 
                Risk Grade (Details)                                             
58: R46         LOANS AND ALLOWANCE FOR CREDIT LOSSES - Loans by    HTML     99K 
                Class Modified as Troubled Debt Restructurings                   
                (Details)                                                        
59: R47         LOANS AND ALLOWANCE FOR CREDIT LOSSES - Allowance   HTML     74K 
                for Loan Losses (Details)                                        
60: R48         Securities Sold Under Agreements to Repurchase      HTML     28K 
                (Details)                                                        
61: R49         OTHER BORROWINGS - Schedule of Other Borrowings     HTML     85K 
                (Details)                                                        
62: R50         OTHER BORROWINGS - Narrative (Details)              HTML     32K 
63: R51         Accumulated Other Comprehensive Income (Details)    HTML     41K 
64: R52         Weighted Average Shares Outstanding (Details)       HTML     40K 
65: R53         FAIR VALUE MEASURES - Loans Held for Sale Under     HTML     31K 
                the Fair Value Option (Details)                                  
66: R54         FAIR VALUE MEASURES - Narrative (Details)           HTML     29K 
67: R55         FAIR VALUE MEASURES - Difference Between Fair       HTML     40K 
                Value and Principal Balance of Loans Held for Sale               
                Measured at Fair Value (Details)                                 
68: R56         FAIR VALUE MEASURES - Fair Value Measurements of    HTML    101K 
                Assets and Liabilities Measured on Recurring Basis               
                (Details)                                                        
69: R57         FAIR VALUE MEASURES - Fair Value Measurements of    HTML     52K 
                Assets Measured at Fair Value on Non-Recurring                   
                Basis (Details)                                                  
70: R58         FAIR VALUE MEASURES - Significant Unobservable      HTML     80K 
                Inputs Used in Fair Value Measurement of Level 3                 
                Assets and Liabilities (Details)                                 
71: R59         FAIR VALUE MEASURES - Carrying Amount and           HTML     75K 
                Estimated Fair Value of Financial Instruments                    
                (Details)                                                        
72: R60         COMMITMENTS AND CONTINGENCIES - Schedule of         HTML     31K 
                Guarantor Obligations (Details)                                  
73: R61         COMMITMENTS AND CONTINGENCIES - Allowance for       HTML     34K 
                Unfunded Commitments (Details)                                   
74: R62         COMMITMENTS AND CONTINGENCIES - Narrative           HTML     28K 
                (Details)                                                        
75: R63         SEGMENT REPORTING - Narrative (Details)             HTML     26K 
76: R64         SEGMENT REPORTING - Schedule of Segment Reporting,  HTML    134K 
                by Reportable Business Segments (Details)                        
77: R65         LOAN SERVICING RIGHTS - Schedule of Carrying Value  HTML     33K 
                of Loan Servicing Rights Assets (Details)                        
78: R66         LOAN SERVICING RIGHTS - Narrative (Details)         HTML     33K 
79: R67         LOAN SERVICING RIGHTS - Schedule of Activity of     HTML     52K 
                Servicing Rights (Details)                                       
80: R68         LOAN SERVICING RIGHTS - Schedule of Sensitivity of  HTML     64K 
                Fair Value to Adverse Changes in Model Inputs                    
                and/or Assumptions (Details)                                     
83: XML         IDEA XML File -- Filing Summary                      XML    153K 
81: XML         XBRL Instance -- abcb-20220630_htm                   XML   7.13M 
82: EXCEL       IDEA Workbook of Financial Reports                  XLSX    201K 
 9: EX-101.CAL  XBRL Calculations -- abcb-20220630_cal               XML    260K 
10: EX-101.DEF  XBRL Definitions -- abcb-20220630_def                XML    702K 
11: EX-101.LAB  XBRL Labels -- abcb-20220630_lab                     XML   1.80M 
12: EX-101.PRE  XBRL Presentations -- abcb-20220630_pre              XML   1.15M 
 8: EX-101.SCH  XBRL Schema -- abcb-20220630                         XSD    191K 
84: JSON        XBRL Instance as JSON Data -- MetaLinks              429±   690K 
85: ZIP         XBRL Zipped Folder -- 0000351569-22-000017-xbrl      Zip    694K 


‘EX-32.2’   —   Certification — §906 – SOA’02


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Exhibit 32.2
 
SECTION 1350 CERTIFICATION
 
I, Nicole S. Stokes, Executive Vice President and Chief Financial Officer of Ameris Bancorp (the “Company”), do hereby certify, in accordance with 18 U.S.C. § 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to my knowledge:
1.The Quarterly Report on Form 10-Q of the Company for the period ending June 30, 2022 (the “Periodic Report”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and
2.The information contained in the Periodic Report fairly presents, in all material respects, the financial condition and results of operations of the Company.
 
Dated: August 5, 2022/s/ Nicole S. Stokes
 Nicole S. Stokes,
 Chief Financial Officer
 (principal accounting and financial officer)
 

 



Dates Referenced Herein

This ‘10-Q’ Filing    Date    Other Filings
Filed on:8/5/22None on these Dates
For Period end:6/30/22
 List all Filings 


3 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 2/28/24  Ameris Bancorp                    10-K       12/31/23  150:27M
 2/28/23  Ameris Bancorp                    10-K       12/31/22  152:30M
11/07/22  Ameris Bancorp                    10-Q        9/30/22   80:19M


6 Previous Filings that this Filing References

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 8/10/20  Ameris Bancorp                    10-Q        6/30/20  100:27M
 6/01/11  Ameris Bancorp                    8-K:5,8,9   6/01/11    2:32K                                    Donnelley … Solutions/FA
11/21/08  Ameris Bancorp                    8-K:1      11/21/08    6:854K
12/01/05  Ameris Bancorp                    8-K:5,9    12/01/05    2:22K                                    Donnelley … Solutions/FA
 3/31/03  Ameris Bancorp                    10-K       12/31/02   10:2.6M                                   Donnelley Fin’l S… 10/FA
 3/26/99  Ameris Bancorp                    10-K405    12/31/98    5:241K                                   Donnelley Fin’l S… 10/FA
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Filing Submission 0000351569-22-000017   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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