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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
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Assets:      
Carrying Amount $ 775,037 $ 683,895  
Fair Value 692,499 612,022  
Loans and leases, net of deferred fees and costs [1] 6,358,003 6,159,196  
Financial liabilities:      
Debt securities held to maturity, allowance for credit loss 237 238  
Allowance for credit loss 63,348 62,011 $ 53,162
Carrying Amount      
Assets:      
Carrying Amount 775,037 683,895  
Federal Home Loan Bank (“FHLB”) stock 24,606 29,949  
Federal Reserve Bank (“FRB”) stock 27,114 26,896  
Total other investment securities at cost 51,720 56,845  
Total other investment securities at fair value 59,691 62,992  
Carrying Amount | Level 1      
Assets:      
Cash and cash equivalents 217,664 426,722  
Carrying Amount | Level 2      
Assets:      
Bank owned life insurance 143,710 140,554  
Financial liabilities:      
Deposits 7,590,205 7,102,921  
Short-term borrowings 193,474 650,497  
Long-term borrowings 238,073 216,241  
Carrying Amount | Level 3      
Assets:      
Loans and leases, net of deferred fees and costs 6,358,003 6,159,196  
Fair Value      
Assets:      
Fair Value 692,499 612,022  
Federal Home Loan Bank (“FHLB”) stock 24,606 29,949  
Federal Reserve Bank (“FRB”) stock 27,114 26,896  
Total other investment securities at cost 51,720 56,845  
Total other investment securities at fair value 59,691 62,992  
Fair Value | Level 1      
Assets:      
Cash and cash equivalents 217,664 426,722  
Fair Value | Level 2      
Assets:      
Bank owned life insurance 143,710 140,554  
Financial liabilities:      
Deposits 6,713,360 6,270,496  
Short-term borrowings 204,577 668,956  
Long-term borrowings 251,736 222,376  
Fair Value | Level 3      
Assets:      
Loans and leases, net of deferred fees and costs, fair value 6,240,751 6,064,999  
U.S. government sponsored agencies      
Assets:      
Carrying Amount 233,302 188,475  
Fair Value 223,294 180,825  
Financial liabilities:      
Debt securities held to maturity, allowance for credit loss 0 0  
U.S. government sponsored agencies | Carrying Amount | Level 2      
Assets:      
Carrying Amount 233,302 188,475  
U.S. government sponsored agencies | Fair Value | Level 2      
Assets:      
Fair Value 223,294 180,825  
States and political subdivisions      
Assets:      
Carrying Amount 142,691 144,496  
Fair Value 110,848 114,288  
Financial liabilities:      
Debt securities held to maturity, allowance for credit loss 237 238  
States and political subdivisions | Carrying Amount | Level 2      
Assets:      
Carrying Amount 142,691 144,496  
States and political subdivisions | Fair Value | Level 2      
Assets:      
Fair Value 110,848 114,288  
Residential mortgage-backed securities      
Assets:      
Carrying Amount 300,290 248,559  
Fair Value 276,278 231,620  
Financial liabilities:      
Debt securities held to maturity, allowance for credit loss 0 0  
Residential mortgage-backed securities | Carrying Amount | Level 2      
Assets:      
Carrying Amount 300,290 248,559  
Residential mortgage-backed securities | Fair Value | Level 2      
Assets:      
Fair Value 276,278 231,620  
Commercial mortgage-backed securities      
Assets:      
Carrying Amount 98,754 102,365  
Fair Value 82,079 85,289  
Financial liabilities:      
Debt securities held to maturity, allowance for credit loss 0 0  
Commercial mortgage-backed securities | Carrying Amount | Level 2      
Assets:      
Carrying Amount 98,754 102,365  
Commercial mortgage-backed securities | Fair Value | Level 2      
Assets:      
Fair Value 82,079 85,289  
Nonqualified Plan | Carrying Amount | Level 1      
Assets:      
Total other investment securities at fair value 4,898 3,162  
Nonqualified Plan | Fair Value | Level 1      
Assets:      
Total other investment securities at fair value 4,898 3,162  
Other investment securities | Carrying Amount | Level 2      
Assets:      
Total other investment securities at fair value 3,073 2,985  
Other investment securities | Fair Value | Level 2      
Assets:      
Total other investment securities at fair value $ 3,073 $ 2,985  
[1] Also referred to throughout this Form 10-K as “total loans” and “loans held for investment.”