v3.26.1
Investment Securities - Schedule of Debt Securities by Contractual Maturity (Details) - USD ($)
$ in Thousands
Mar. 31, 2026
Dec. 31, 2025
Amortized Cost    
Amortized Cost $ 419,742 $ 421,332
Fair Value    
Fair Value 418,447 420,661
U.S. Treasury and government sponsored entities    
Amortized Cost    
Within 1 year 178,702  
1-5 years 194,866  
5-10 years 9,739  
Amortized Cost 383,307 389,391
Fair Value    
Within 1 year 177,310  
1-5 years 194,828  
5-10 years 9,882  
Fair Value 382,020 388,737
U.S. Agency mortgage-backed securities    
Amortized Cost    
5-10 years 4,706  
Amortized Cost 4,706 4,797
Fair Value    
5-10 years 4,708  
Fair Value 4,708 4,798
Corporate bonds    
Amortized Cost    
Amortized Cost 5,001 5,003
1-5 years 20,001  
5-10 years 16,750  
Amortized Cost 36,751  
Fair Value    
Fair Value 4,978 4,952
1-5 years 19,978  
5-10 years 15,684  
Fair Value 35,662  
Collateralized loan obligations    
Amortized Cost    
5-10 years 7,728  
Over 10 years 19,000  
Amortized Cost 26,728 22,141
Fair Value    
5-10 years 7,739  
Over 10 years 19,002  
Fair Value $ 26,741 $ 22,174