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FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
6 Months Ended
Jun. 30, 2025
FAIR VALUE OF FINANCIAL INSTRUMENTS  
Schedule of assets and liabilities measured at fair value on a recurring and non-recurring basis

Assets and liabilities measured at fair value on a recurring and non-recurring basis are summarized below (in thousands):

Fair Value Measurement using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

    

Amount

    

Assets (Level 1)

    

Inputs (Level 2)

    

Inputs (Level 3)

At June 30, 2025

Recurring Fair Value Measurements:

Assets

U.S. Government agency securities

$

65,103

$

$

65,103

$

U.S. State and Municipal securities

9,443

9,443

Residential mortgage securities

430,377

430,377

Commercial mortgage securities

43,641

43,641

Asset-backed securities

2,465

2,465

CRA Mutual Fund

5,276

5,276

Derivative assets

1,094

1,094

Liabilities

Derivative liabilities

4,215

4,215

Non-Recurring Fair Value Measurements:

Assets

Collateral dependent loans

21,600

21,600

Fair Value Measurement using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

    

Amount

    

Assets (Level 1)

    

Inputs (Level 2)

    

Inputs (Level 3)

At December 31, 2024

Recurring Fair Value Measurements:

Assets

U.S. Government agency securities

$

63,752

$

$

63,752

$

U.S. State and Municipal securities

9,500

9,500

Residential mortgage securities

363,068

363,068

Commercial mortgage securities

43,128

43,128

Asset-backed securities

2,637

2,637

CRA Mutual Fund

5,109

5,109

Derivative assets

919

919

Liabilities

Derivative liabilities

1,539

1,539

Schedule of assets and liabilities not measured at fair value

Carrying amounts and estimated fair values of financial instruments not carried at fair value were as follows (in thousands):

Fair Value Measurement Using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

Total Fair

At June 30, 2025

    

Amount

    

Assets (Level 1)

    

Inputs (Level 2)

    

Inputs (Level 3)

    

Value

Financial Assets:

Cash and due from banks

$

13,577

$

13,577

$

$

$

13,577

Overnight deposits

138,876

138,876

138,876

Securities held-to-maturity

387,901

336,694

336,694

Loans, net

6,538,718

6,605,670

6,605,670

Other investments

FRB Stock

11,410

N/A

N/A

N/A

N/A

FHLB Stock

13,889

N/A

N/A

N/A

N/A

Disability Fund

1,500

1,500

1,500

Time deposits at banks

498

498

498

Accrued interest receivable

33,948

2,258

31,690

33,948

Financial Liabilities:

Non-interest-bearing demand deposits

$

1,427,439

$

1,427,439

$

$

$

1,427,439

Money market and savings deposits

5,240,511

5,240,511

5,240,511

Time deposits

123,356

123,118

123,118

Federal funds purchased

50,000

50,000

50,000

Federal Home Loan Bank of New York advances

150,000

150,063

150,063

Trust preferred securities

20,620

20,001

20,001

Accrued interest payable

3,335

941

2,058

336

3,335

Secured and other borrowings

17,366

17,366

17,366

Fair Value Measurement Using:

Quoted Prices

in Active

Significant

Markets

Other

Significant

Carrying

For Identical

Observable

Unobservable

Total Fair

At December 31, 2024

    

Amount

    

Assets (Level 1)

    

Inputs (Level 2)

    

Inputs (Level 3)

    

Value

Financial Assets:

Cash and due from banks

$

13,078

$

13,078

$

$

$

13,078

Overnight deposits

187,190

187,190

187,190

Securities held-to-maturity

428,557

366,719

366,719

Loans, net

5,970,803

5,878,582

5,878,582

Other investments

FRB Stock

11,410

N/A

N/A

N/A

N/A

FHLB Stock

17,228

N/A

N/A

N/A

N/A

Disability Fund

1,500

1,500

1,500

Time deposits at banks

498

498

498

Accrued interest receivable

33,209

2,105

31,104

33,209

Financial Liabilities:

Non-interest-bearing demand deposits

$

1,334,054

$

1,334,054

$

$

$

1,334,054

Money market and savings deposits

4,523,522

4,523,522

4,523,522

Time deposits

125,397

125,288

125,288

Federal funds purchased

210,000

210,000

210,000

Federal Home Loan Bank of New York advances

240,000

240,000

240,000

Trust preferred securities

20,620

20,024

20,024

Accrued interest payable

1,809

12

1,436

361

1,809

Secured and other borrowings

7,441

7,441

7,441