v3.26.1
Securities - Schedule of Fair Value of Investment Securities Maturity (Details)
$ in Thousands
Jun. 30, 2026
USD ($)
Schedule of Fair Value Allowance for Credit Losses [Line Items]  
Due in one year or less, Amortized Cost $ 33,332
Due in one year or less, Fair Value 33,017
Due after one year to five years, Amortized Cost 39,867
Due after one year to five years, Fair Value 39,804
Due after five years to ten years, Amortized Cost 32,981
Due after five years to ten years, Fair Value 33,775
Due after ten years, Amortized Cost 36,280
Due after ten years, Fair Value 37,913
Sub-total, Amortized Cost 142,460
Sub-total, Fair Value 144,509
Amortized Cost 335,179
Fair Value 328,225
Residential Mortgage-Backed Securities [Member]  
Schedule of Fair Value Allowance for Credit Losses [Line Items]  
Amortized Cost 187,375
Fair Value 178,040
Residential Collateralized Mortgage Obligations [Member]  
Schedule of Fair Value Allowance for Credit Losses [Line Items]  
Amortized Cost 5,344
Fair Value $ 5,676