v3.25.4
FAIR VALUE MEASUREMENTS AND FAIR VALUES OF FINANCIAL INSTRUMENTS - Financial Instruments Not Recorded at Fair Value (Details) - USD ($)
$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Reported value measurement | Level 1    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Cash and cash equivalents $ 44,706 $ 123,574
Reported value measurement | Level 2    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Certificates of deposit 1,350 2,600
Restricted equity securities (included in Other Assets) 26,623 21,567
Accrued interest receivable 11,594 8,735
Short-term borrowings 28,618 2,488
Long-term borrowings - FHLB advances 120,935 165,451
Senior debt 14,970 14,899
Subordinated debt 24,949 24,831
Accrued interest payable 1,744 1,771
Reported value measurement | Level 2 | Deposits with no stated maturity    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 1,958,011 1,609,552
Reported value measurement | Level 2 | Time deposits    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 606,705 484,357
Reported value measurement | Level 3    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Loans, net 2,323,317 1,875,813
Estimate of fair value measurement | Level 1    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Cash and cash equivalents 44,706 123,574
Estimate of fair value measurement | Level 2    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Certificates of deposit 1,331 2,513
Restricted equity securities (included in Other Assets) 26,623  
Accrued interest receivable 11,594 8,735
Short-term borrowings 28,618 2,488
Long-term borrowings - FHLB advances 122,211 165,616
Senior debt 14,751 13,579
Subordinated debt 23,361 21,051
Accrued interest payable 1,744 1,771
Estimate of fair value measurement | Level 2 | Deposits with no stated maturity    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 1,958,011 1,609,552
Estimate of fair value measurement | Level 2 | Time deposits    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Deposits, fair value 603,494 484,900
Estimate of fair value measurement | Level 3    
Fair values, and carrying amounts financial instruments not recorded at fair value    
Loans, net $ 2,261,934 $ 1,789,044