v3.26.1
BORROWINGS
3 Months Ended
Mar. 31, 2026
Debt Disclosure [Abstract]  
BORROWINGS BORROWINGS
The following summarizes the Company's borrowings as presented on the consolidated statements of condition as of the dates indicated:
(In thousands)March 31,
2026
December 31,
2025
Short-term borrowings:
    
FHLBB borrowings(1)
$250,000 $327,000 
Customer repurchase agreements
263,429 254,780 
Total short-term borrowings
$513,429 $581,780 
Long-term borrowings:
FHLBB borrowings
$1,000 $1,000 
Total long-term borrowings
$1,000 $1,000 
Junior subordinated debentures:
    
CCTA(1)
$36,083 $36,083 
UBCT(1)
8,248 8,248 
NCT III(1)
8,630 8,592 
NCT IV(1)
8,629 8,592 
Total junior subordinated debentures
$61,590 $61,515 
(1)    The Company has interest rate swap contracts on certain borrowings and junior subordinated debentures. Refer to Note 8 for further discussion of derivative instruments.