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Fair Value Measurements - Carrying Values and Fair Values of Financial Instruments (Details) - USD ($)
$ in Thousands
Jun. 30, 2025
Dec. 31, 2024
ASSETS    
Securities available for sale $ 1,021,183 $ 987,591
Portfolio loans, net 7,835,854 7,641,464
Derivative financial assets 39,907 60,890
LIABILITIES    
Junior subordinated debt securities 49,448 49,418
Derivative financial liabilities 44,931 70,860
Carrying Value    
ASSETS    
Cash and due from banks, including interest-bearing deposits 203,118 244,820
Securities available for sale 1,021,183 987,591
Portfolio loans, net 7,835,854 7,641,464
Collateral receivable 602 2,034
Securities held in a deferred compensation plan 13,041 10,876
Mortgage servicing rights 5,316 5,646
LIABILITIES    
Deposits 7,920,920 7,783,117
Collateral payable 32,880 52,516
Short-term borrowings 150,000 150,000
Long-term borrowings 50,856 50,896
Junior subordinated debt securities 49,448 49,418
Carrying Value | Interest rate swaps - commercial loans    
ASSETS    
Derivative financial assets   60,890
Carrying Value | Interest rate swap contracts - commercial loans    
ASSETS    
Derivative financial assets 39,907  
LIABILITIES    
Derivative financial liabilities 40,245 61,271
Carrying Value | Interest rate swap contracts - cash flow hedge    
LIABILITIES    
Derivative financial liabilities 4,686 9,589
Fair Value Measurements    
ASSETS    
Cash and due from banks, including interest-bearing deposits 203,118 244,820
Securities available for sale 1,021,183 987,591
Portfolio loans, net 7,625,921 7,362,898
Collateral receivable 602 2,034
Securities held in a deferred compensation plan 13,041 10,876
Mortgage servicing rights 7,846 8,533
LIABILITIES    
Deposits 7,915,269 7,778,740
Collateral payable 32,880 52,516
Short-term borrowings 150,000 150,000
Long-term borrowings 50,816 50,652
Junior subordinated debt securities 49,448 49,418
Fair Value Measurements | Interest rate swaps - commercial loans    
ASSETS    
Derivative financial assets   60,890
Fair Value Measurements | Interest rate swap contracts - commercial loans    
ASSETS    
Derivative financial assets 39,907  
LIABILITIES    
Derivative financial liabilities 40,245 61,271
Fair Value Measurements | Interest rate swap contracts - cash flow hedge    
LIABILITIES    
Derivative financial liabilities 4,686 9,589
Fair Value Measurements | Level 1    
ASSETS    
Cash and due from banks, including interest-bearing deposits 203,118 244,820
Securities available for sale 95,156 93,944
Portfolio loans, net 0 0
Collateral receivable 602 2,034
Securities held in a deferred compensation plan 13,041 10,876
Mortgage servicing rights 0 0
LIABILITIES    
Deposits 6,036,149 5,916,154
Collateral payable 32,880 52,516
Short-term borrowings 0 0
Long-term borrowings 0 0
Junior subordinated debt securities 0 0
Fair Value Measurements | Level 1 | Interest rate swaps - commercial loans    
ASSETS    
Derivative financial assets   0
Fair Value Measurements | Level 1 | Interest rate swap contracts - commercial loans    
ASSETS    
Derivative financial assets 0  
LIABILITIES    
Derivative financial liabilities 0  
Fair Value Measurements | Level 1 | Interest rate swap contracts - cash flow hedge    
LIABILITIES    
Derivative financial liabilities 0 0
Fair Value Measurements | Level 2    
ASSETS    
Cash and due from banks, including interest-bearing deposits 0 0
Securities available for sale 926,027 893,647
Portfolio loans, net 0 0
Collateral receivable 0 0
Securities held in a deferred compensation plan 0 0
Mortgage servicing rights 0 0
LIABILITIES    
Deposits 1,879,120 1,862,586
Collateral payable   0
Short-term borrowings 150,000 150,000
Long-term borrowings 50,816 50,652
Junior subordinated debt securities 49,448 49,418
Fair Value Measurements | Level 2 | Interest rate swaps - commercial loans    
ASSETS    
Derivative financial assets   60,890
Fair Value Measurements | Level 2 | Interest rate swap contracts - commercial loans    
ASSETS    
Derivative financial assets 39,907  
LIABILITIES    
Derivative financial liabilities 40,245 61,271
Fair Value Measurements | Level 2 | Interest rate swap contracts - cash flow hedge    
LIABILITIES    
Derivative financial liabilities 4,686 9,589
Fair Value Measurements | Level 3    
ASSETS    
Cash and due from banks, including interest-bearing deposits 0 0
Securities available for sale 0 0
Portfolio loans, net 7,625,921 7,362,898
Collateral receivable 0 0
Securities held in a deferred compensation plan 0 0
Mortgage servicing rights 7,846 8,533
LIABILITIES    
Deposits 0 0
Collateral payable   0
Short-term borrowings 0 0
Long-term borrowings 0 0
Junior subordinated debt securities 0 0
Fair Value Measurements | Level 3 | Interest rate swaps - commercial loans    
ASSETS    
Derivative financial assets   0
Fair Value Measurements | Level 3 | Interest rate swap contracts - commercial loans    
ASSETS    
Derivative financial assets 0  
LIABILITIES    
Derivative financial liabilities 0  
Fair Value Measurements | Level 3 | Interest rate swap contracts - cash flow hedge    
LIABILITIES    
Derivative financial liabilities $ 0 $ 0