v3.26.1
Regulatory Capital Matters (Details)
$ / shares in Units, $ in Thousands, shares in Millions
1 Months Ended
Sep. 30, 2025
USD ($)
Jun. 30, 2025
USD ($)
$ / shares
shares
Mar. 31, 2026
USD ($)
Dec. 31, 2025
USD ($)
Compliance with Regulatory Capital Requirements under Banking Regulations        
Capital conservation buffer ratio     0.025  
Number of shares sold | shares   2.0    
Stock offering with gross proceeds   $ 46,000    
Stock offering with net proceeds   43,600    
Amount of capital transferred to the bank   $ 41,000    
Shares of common stock | $ / shares   $ 23.25    
Total capital to risk weighted assets        
Total capital to risk weighted assets, Actual amount     $ 373,538 $ 364,506
Total capital to risk weighted assets, Actual ratio     0.1891 0.1858
Total capital to risk weighted assets, For Capital Adequacy Purposes     $ 158,022 $ 156,926
Total capital to risk weighted assets, For Capital Adequacy Purposes Ratio     0.08 0.08
Total capital to risk weighted assets, For Capital Adequacy Purposes with Capital Buffer     $ 195,059 $ 193,706
Total capital to risk weighted assets, For Capital Adequacy Purposes with Capital Buffer Ratio     0.09875 0.09875
Total capital to risk weighted assets, To be Well Capitalized under Prompt Corrective Action Provisions     $ 197,528 $ 196,158
Total capital to risk weighted assets, To be Well Capitalized under Prompt Corrective Action Provisions Ratio     0.10 0.10
Tier 1 (Core) capital to risk weighted assets        
Tier 1 (Core) capital to risk weighted assets, Actual amount     $ 348,803 $ 339,939
Tier 1 (Core) capital to risk weighted assets, Actual ratio     0.1766 0.1733
Tier 1 (Core) capital to risk weighted assets, For Capital Adequacy Purposes     $ 118,517 $ 117,695
Tier 1 (Core) capital to risk weighted assets, For Capital Adequacy Purposes Ratio     0.06 0.06
Tier 1 (Core) capital to risk weighted assets, For Capital Adequacy Purposes with Capital Buffer     $ 155,553 $ 154,474
Tier 1 (Core) capital to risk weighted assets, For Capital Adequacy Purposes with Capital Buffer Ratio     0.07875 0.07875
Tier 1 (Core) capital to risk weighted assets, To be Well Capitalized under Prompt Corrective Action Provisions     $ 158,022 $ 156,926
Tier 1 (Core) capital to risk weighted assets, To be Well Capitalized under Prompt Corrective Action Provisions Ratio     0.08 0.08
Common Tier 1 (CET1) to risk weighted assets        
Common Tier 1 (CET1) to risk weighted assets, Actual amount     $ 348,803 $ 339,939
Common Tier 1 (CET1) to risk weighted assets, Actual ratio     0.1766 0.1733
Common Tier 1 (CET1) to risk weighted assets, For Capital Adequacy Purposes     $ 88,887 $ 88,271
Common Tier 1 (CET1) to risk weighted assets, For Capital Adequacy Purposes Ratio     0.045 0.045
Common Tier 1 (CET1) to risk weighted assets, For Capital Adequacy Purposes with Capital Buffer     $ 125,924 $ 125,051
Common Tier 1 (CET1) to risk weighted assets, For Capital Adequacy Purposes with Capital Buffer Ratio     0.06375 0.06375
Common Tier 1 (CET1) to risk weighted assets, To be Well Capitalized under Prompt Corrective Action Provisions     $ 128,393 $ 127,503
Common Tier 1 (CET1) to risk weighted assets, To be Well Capitalized under Prompt Corrective Action Provisions Ratio     0.065 0.065
Tier 1 (Core) Capital to average assets        
Tier 1 (Core) Capital to average assets, Actual amount     $ 348,803 $ 339,939
Tier 1 (Core) Capital to average assets, Actual ratio     0.128 0.1267
Tier 1 (Core) Capital to average assets, For Capital Adequacy Purposes     $ 109,029 $ 107,326
Tier 1 (Core) Capital to average assets, For Capital Adequacy Purposes Ratio     0.04 0.04
Tier 1 (Core) Capital to average assets, To be Well Capitalized under Prompt Corrective Action Provisions     $ 136,286 $ 134,158
Tier 1 (Core) Capital to average assets, To be Well Capitalized under Prompt Corrective Action Provisions Ratio     0.05 0.05
2025 Notes        
Compliance with Regulatory Capital Requirements under Banking Regulations        
Principal amount $ 25,000      
Interest rate 6.50%      
Basis points 3.205%      
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration] us-gaap:SecuredOvernightFinancingRateSofrMember