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Fair Value of Assets and Liabilities - Summary of Financial Instruments Not Required to be Measured at Fair Value (Details) - USD ($)
$ in Thousands
Mar. 31, 2024
Dec. 31, 2023
Mar. 31, 2023
Dec. 31, 2022
Assets:        
Carrying Amount $ 679,744 $ 683,895    
Fair Value 602,112 612,022    
Loans and leases, net of deferred fees and costs, carrying amount [1] 6,202,827 6,159,196    
Liabilities:        
Debt securities held to maturity, allowance for credit loss 238 238    
Allowance for credit losses (on PCD loans) 64,822 62,011 $ 53,303 $ 53,162
Carrying Amount        
Assets:        
Carrying Amount 679,744 683,895    
Federal Home Loan Bank ("FHLB") stock 28,426 29,949    
Federal Reserve Bank ("FRB") stock 27,114 26,896    
Total other investment securities at cost 55,540 56,845    
Total other investment securities 62,506 62,992    
Carrying Amount | Level 1        
Assets:        
Cash and cash equivalents 429,720 426,722    
Carrying Amount | Level 2        
Assets:        
Bank owned life insurance 141,568 140,554    
Liabilities:        
Deposits 7,326,556 7,152,297    
Short-term borrowings 513,496 601,121    
Long-term borrowings 236,283 216,241    
Carrying Amount | Level 3        
Assets:        
Loans and leases, net of deferred fees and costs, carrying amount 6,202,827 6,159,196 [1]    
Fair Value        
Assets:        
Fair Value 602,112 612,022    
Federal Home Loan Bank ("FHLB") stock 28,426 29,949    
Federal Reserve Bank ("FRB") stock 27,114 26,896    
Total other investment securities at cost 55,540 56,845    
Total other investment securities 62,506 62,992    
Fair Value | Level 1        
Assets:        
Cash and cash equivalents 429,720 426,722    
Fair Value | Level 2        
Assets:        
Bank owned life insurance 141,568 140,554    
Liabilities:        
Deposits 6,410,812 6,319,885    
Short-term borrowings 527,408 619,999    
Long-term borrowings 242,685 222,743    
Fair Value | Level 3        
Assets:        
Loans and leases, net of deferred fees and costs, fair value 6,059,878 6,064,999    
U.S. government sponsored agencies        
Assets:        
Carrying Amount 188,423 188,475    
Fair Value 179,645 180,825    
Liabilities:        
Debt securities held to maturity, allowance for credit loss 0 0    
U.S. government sponsored agencies | Carrying Amount | Level 2        
Assets:        
Carrying Amount 188,423 188,475    
U.S. government sponsored agencies | Fair Value | Level 2        
Assets:        
Fair Value 179,645 180,825    
States and political subdivisions        
Assets:        
Carrying Amount 144,315 144,496    
Fair Value 113,075 114,288    
Liabilities:        
Debt securities held to maturity, allowance for credit loss 238 238    
States and political subdivisions | Carrying Amount | Level 2        
Assets:        
Carrying Amount 144,315 144,496    
States and political subdivisions | Fair Value | Level 2        
Assets:        
Fair Value   114,288    
Residential mortgage-backed securities        
Assets:        
Carrying Amount 246,579 248,559    
Fair Value 225,621 231,620    
Liabilities:        
Debt securities held to maturity, allowance for credit loss 0 0    
Residential mortgage-backed securities | Carrying Amount | Level 2        
Assets:        
Carrying Amount 246,579 248,559    
Residential mortgage-backed securities | Fair Value | Level 2        
Assets:        
Fair Value 225,621 231,620    
Commercial mortgage-backed securities        
Assets:        
Carrying Amount 100,427 102,365    
Fair Value 83,771 85,289    
Liabilities:        
Debt securities held to maturity, allowance for credit loss 0 0    
Commercial mortgage-backed securities | Carrying Amount | Level 2        
Assets:        
Carrying Amount 100,427 102,365    
Commercial mortgage-backed securities | Fair Value | Level 2        
Assets:        
Fair Value 83,771 85,289    
Nonqualified Plan | Carrying Amount | Level 1        
Assets:        
Total other investment securities 3,890 3,162    
Nonqualified Plan | Fair Value | Level 1        
Assets:        
Total other investment securities 3,890 3,162    
Other investment securities | Carrying Amount | Level 2        
Assets:        
Total other investment securities 3,076 2,985    
Other investment securities | Fair Value | Level 2        
Assets:        
Total other investment securities $ 3,076 $ 2,985    
[1] Also referred to throughout this Quarterly Report on Form 10-Q as "total loans" and "loans held for investment."