The following summarizes these financial instruments and other commitments and contingent liabilities at their contract amounts: (Details) - USD ($) $ in Thousands |
Dec. 31, 2025 |
Dec. 31, 2024 |
|---|---|---|
| Other Commitments [Line Items] | ||
| Commitments to extend credit | $ 501,300 | $ 465,400 |
| Unused lines of Credit [Member] | ||
| Other Commitments [Line Items] | ||
| Commitments to extend credit | 357,273 | 343,078 |
| Loan Commitments [Member] | ||
| Other Commitments [Line Items] | ||
| Commitments to extend credit | 38,380 | 56,183 |
| Existing construction loan agreements [Member] | ||
| Other Commitments [Line Items] | ||
| Commitments to extend credit | 53,100 | 47,398 |
| Standby Letters of Credit [Member] | ||
| Other Commitments [Line Items] | ||
| Commitments to extend credit | $ 52,534 | $ 18,773 |