v3.25.1
LOANS AND LEASES (Summary of Information Related to Modification) (Details)
$ in Thousands
3 Months Ended
Mar. 31, 2025
USD ($)
Significant Payment Delay [Member]  
Amortized Cost Basis at Period End $ 19,287
% of Total Class of Financing Receivable 1.18%
Significant Payment Delay and Term Extension [Member]  
Amortized Cost Basis at Period End $ 416
% of Total Class of Financing Receivable 0.03%
Interest Rate Reduction and Significant Payment Delay [Member]  
Amortized Cost Basis at Period End $ 9,307
% of Total Class of Financing Receivable 0.52%
Interest Rate Reduction and Term Extension [Member]  
Amortized Cost Basis at Period End $ 12,311
% of Total Class of Financing Receivable 0.96%
Residential Portfolio Segment [Member] | Significant Payment Delay [Member] | Primary Residential Mortgages [Member]  
Amortized Cost Basis at Period End $ 295
% of Total Class of Financing Receivable 0.05%
Residential Portfolio Segment [Member] | Significant Payment Delay [Member] | Multifamily Property [Member]  
Amortized Cost Basis at Period End $ 8,303
% of Total Class of Financing Receivable 0.47%
Residential Portfolio Segment [Member] | Interest Rate Reduction and Significant Payment Delay [Member] | Multifamily Property [Member]  
Amortized Cost Basis at Period End $ 9,307
% of Total Class of Financing Receivable 0.52%
Commercial Portfolio Segment [Member] | Significant Payment Delay [Member] | Commercial and Industrial [Member]  
Amortized Cost Basis at Period End $ 10,689
% of Total Class of Financing Receivable 0.66%
Commercial Portfolio Segment [Member] | Significant Payment Delay and Term Extension [Member] | Commercial and Industrial [Member]  
Amortized Cost Basis at Period End $ 416
% of Total Class of Financing Receivable 0.03%
Commercial Portfolio Segment [Member] | Interest Rate Reduction and Term Extension [Member] | Commercial and Industrial [Member]  
Amortized Cost Basis at Period End $ 12,311
% of Total Class of Financing Receivable 0.96%