v3.25.4
FAIR VALUE MEASUREMENTS AND FAIR VALUES OF FINANCIAL INSTRUMENTS - Assets Measured at Fair Value (Details) - USD ($)
Dec. 31, 2025
Dec. 31, 2024
Assets Measured at Fair Value    
Total, fair value $ 506,575,000 $ 402,380,000
Marketable equity security 890,000 863,000
RPA In    
Assets Measured at Fair Value    
Fair value derivative asset 0 0
Fair value of the derivative liability 5,000 2,000
Obligations of the U.S. Treasury    
Assets Measured at Fair Value    
Total, fair value 7,482,000 7,118,000
Obligations of U.S. Government agencies    
Assets Measured at Fair Value    
Total, fair value 10,749,000 9,025,000
Bank holding company debt securities    
Assets Measured at Fair Value    
Total, fair value 34,076,000 25,246,000
Obligations Of States And Political Subdivisions Tax Exempt    
Assets Measured at Fair Value    
Total, fair value 98,359,000 101,302,000
Obligations Of States And Political Subdivisions Taxable    
Assets Measured at Fair Value    
Total, fair value 44,152,000 42,506,000
Residential Passthrough Securities    
Assets Measured at Fair Value    
Total, fair value 143,921,000 94,414,000
Residential Collateralized Mortgage Obligations    
Assets Measured at Fair Value    
Total, fair value 63,707,000 49,894,000
Commercial Mortgage Backed Securities    
Assets Measured at Fair Value    
Total, fair value 92,631,000 64,501,000
Private label commercial mortgage-backed securities    
Assets Measured at Fair Value    
Total, fair value 3,489,000 8,374,000
Collateralized loan obligations    
Assets Measured at Fair Value    
Total, fair value 8,009,000  
Recurring fair value measurements    
Assets Measured at Fair Value    
Total, fair value 506,575,000 402,380,000
Marketable equity security 890,000 863,000
Servicing rights 3,893,000 2,782,000
Total asset fair value measurements 512,678,000 408,412,000
Fair value of the derivative liability 1,323,000 2,387,000
Recurring fair value measurements | Level 1    
Assets Measured at Fair Value    
Total, fair value 7,482,000 7,118,000
Marketable equity security 890,000 863,000
Servicing rights 0 0
Total asset fair value measurements 8,372,000 7,981,000
Fair value of the derivative liability 0 0
Recurring fair value measurements | Level 2    
Assets Measured at Fair Value    
Total, fair value 499,093,000 395,262,000
Marketable equity security 0 0
Servicing rights 0 0
Total asset fair value measurements 500,413,000 397,649,000
Fair value of the derivative liability 1,323,000 2,387,000
Recurring fair value measurements | Level 3    
Assets Measured at Fair Value    
Total, fair value 0 0
Marketable equity security 0 0
Servicing rights 3,893,000 2,782,000
Total asset fair value measurements 3,893,000 2,782,000
Fair value of the derivative liability 0 0
Recurring fair value measurements | RPA Out    
Assets Measured at Fair Value    
Fair value derivative asset 2,000 2,000
Recurring fair value measurements | RPA Out | Level 1    
Assets Measured at Fair Value    
Fair value derivative asset 0 0
Recurring fair value measurements | RPA Out | Level 2    
Assets Measured at Fair Value    
Fair value derivative asset 2,000 2,000
Recurring fair value measurements | RPA Out | Level 3    
Assets Measured at Fair Value    
Fair value derivative asset 0 0
Recurring fair value measurements | Interest rate swap agreements    
Assets Measured at Fair Value    
Fair value derivative asset 1,318,000 2,385,000
Fair value of the derivative liability 1,318,000 2,385,000
Recurring fair value measurements | Interest rate swap agreements | Level 1    
Assets Measured at Fair Value    
Fair value derivative asset 0 0
Fair value of the derivative liability 0 0
Recurring fair value measurements | Interest rate swap agreements | Level 2    
Assets Measured at Fair Value    
Fair value derivative asset 1,318,000 2,385,000
Fair value of the derivative liability 1,318,000 2,385,000
Recurring fair value measurements | Interest rate swap agreements | Level 3    
Assets Measured at Fair Value    
Fair value derivative asset 0 0
Fair value of the derivative liability 0 0
Recurring fair value measurements | RPA In    
Assets Measured at Fair Value    
Fair value of the derivative liability 5,000 2,000
Recurring fair value measurements | RPA In | Level 1    
Assets Measured at Fair Value    
Fair value of the derivative liability 0 0
Recurring fair value measurements | RPA In | Level 2    
Assets Measured at Fair Value    
Fair value of the derivative liability 5,000 2,000
Recurring fair value measurements | RPA In | Level 3    
Assets Measured at Fair Value    
Fair value of the derivative liability 0 0
Recurring fair value measurements | Obligations of the U.S. Treasury    
Assets Measured at Fair Value    
Total, fair value 7,482,000 7,118,000
Recurring fair value measurements | Obligations of the U.S. Treasury | Level 1    
Assets Measured at Fair Value    
Total, fair value 7,482,000 7,118,000
Recurring fair value measurements | Obligations of the U.S. Treasury | Level 2    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Obligations of the U.S. Treasury | Level 3    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Obligations of U.S. Government agencies    
Assets Measured at Fair Value    
Total, fair value 10,749,000 9,025,000
Recurring fair value measurements | Obligations of U.S. Government agencies | Level 1    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Obligations of U.S. Government agencies | Level 2    
Assets Measured at Fair Value    
Total, fair value 10,749,000 9,025,000
Recurring fair value measurements | Obligations of U.S. Government agencies | Level 3    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Bank holding company debt securities    
Assets Measured at Fair Value    
Total, fair value 34,076,000 25,246,000
Recurring fair value measurements | Bank holding company debt securities | Level 1    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Bank holding company debt securities | Level 2    
Assets Measured at Fair Value    
Total, fair value 34,076,000 25,246,000
Recurring fair value measurements | Bank holding company debt securities | Level 3    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Obligations Of States And Political Subdivisions Tax Exempt    
Assets Measured at Fair Value    
Total, fair value 98,359,000 101,302,000
Recurring fair value measurements | Obligations Of States And Political Subdivisions Tax Exempt | Level 1    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Obligations Of States And Political Subdivisions Tax Exempt | Level 2    
Assets Measured at Fair Value    
Total, fair value 98,359,000 101,302,000
Recurring fair value measurements | Obligations Of States And Political Subdivisions Tax Exempt | Level 3    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Obligations Of States And Political Subdivisions Taxable    
Assets Measured at Fair Value    
Total, fair value 44,152,000 42,506,000
Recurring fair value measurements | Obligations Of States And Political Subdivisions Taxable | Level 1    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Obligations Of States And Political Subdivisions Taxable | Level 2    
Assets Measured at Fair Value    
Total, fair value 44,152,000 42,506,000
Recurring fair value measurements | Obligations Of States And Political Subdivisions Taxable | Level 3    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Residential Passthrough Securities    
Assets Measured at Fair Value    
Total, fair value 143,921,000 94,414,000
Recurring fair value measurements | Residential Passthrough Securities | Level 1    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Residential Passthrough Securities | Level 2    
Assets Measured at Fair Value    
Total, fair value 143,921,000 94,414,000
Recurring fair value measurements | Residential Passthrough Securities | Level 3    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Residential Collateralized Mortgage Obligations    
Assets Measured at Fair Value    
Total, fair value 63,707,000 49,894,000
Recurring fair value measurements | Residential Collateralized Mortgage Obligations | Level 1    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Residential Collateralized Mortgage Obligations | Level 2    
Assets Measured at Fair Value    
Total, fair value 63,707,000 49,894,000
Recurring fair value measurements | Residential Collateralized Mortgage Obligations | Level 3    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Commercial Mortgage Backed Securities    
Assets Measured at Fair Value    
Total, fair value 92,631,000 64,501,000
Recurring fair value measurements | Commercial Mortgage Backed Securities | Level 1    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Commercial Mortgage Backed Securities | Level 2    
Assets Measured at Fair Value    
Total, fair value 92,631,000 64,501,000
Recurring fair value measurements | Commercial Mortgage Backed Securities | Level 3    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Private label commercial mortgage-backed securities    
Assets Measured at Fair Value    
Total, fair value 3,489,000 8,374,000
Recurring fair value measurements | Private label commercial mortgage-backed securities | Level 1    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Private label commercial mortgage-backed securities | Level 2    
Assets Measured at Fair Value    
Total, fair value 3,489,000 8,374,000
Recurring fair value measurements | Private label commercial mortgage-backed securities | Level 3    
Assets Measured at Fair Value    
Total, fair value 0 0
Recurring fair value measurements | Collateralized loan obligations    
Assets Measured at Fair Value    
Total, fair value 8,009,000  
Recurring fair value measurements | Collateralized loan obligations | Level 1    
Assets Measured at Fair Value    
Total, fair value 0  
Recurring fair value measurements | Collateralized loan obligations | Level 2    
Assets Measured at Fair Value    
Total, fair value 8,009,000  
Recurring fair value measurements | Collateralized loan obligations | Level 3    
Assets Measured at Fair Value    
Total, fair value 0  
Nonrecurring fair value measurements    
Assets Measured at Fair Value    
Total asset fair value measurements 2,818,000 317,000
Loans individually evaluated for credit loss, net 2,629,000 136,000
Foreclosed assets held for sale 189,000 181,000
Nonrecurring fair value measurements | Level 1    
Assets Measured at Fair Value    
Total asset fair value measurements 0 0
Loans individually evaluated for credit loss, net 0 0
Foreclosed assets held for sale 0 0
Nonrecurring fair value measurements | Level 2    
Assets Measured at Fair Value    
Total asset fair value measurements 0 0
Loans individually evaluated for credit loss, net 0 0
Foreclosed assets held for sale 0 0
Nonrecurring fair value measurements | Level 3    
Assets Measured at Fair Value    
Total asset fair value measurements 2,818,000 317,000
Loans individually evaluated for credit loss, net 2,629,000 136,000
Foreclosed assets held for sale $ 189,000 $ 181,000