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Revenue from Contracts with Customers (Tables)
3 Months Ended
Mar. 31, 2026
Revenue from Contract with Customer [Abstract]  
Schedule of Disaggregation of Revenue
Service
Charges
on Deposit
Accounts
Other
Deposit
Related
Income
Interchange
Income
Investment
and
Insurance
Commissions
Total
Three months ending March 31, 2026(In thousands)
Retail
Overdraft fees$2,098 $— $— $— $2,098 
Account service charges723 — — — 723 
ATM fees— 343 — — 343 
Other— 143 — — 143 
Business    
Overdraft fees114 — — — 114 
ATM fees— 10 — — 10 
Other— 114 — — 114 
Interchange income— — 3,234 — 3,234 
Asset management revenue— — — 424 424 
Transaction based revenue— — — 385 385 
     
Total$2,935 $610 $3,234 $809 $7,588 
     
Reconciliation to interim Condensed Consolidated Statement of Operations:
  
Non-interest income - other:     
Other deposit related income    $610 
Investment and insurance commissions   809 
Bank owned life insurance (1)    322 
Other (1)
    1,210 
Total    $2,951 
(1)Excluded from the scope of ASC Topic 606.
Service
Charges
on Deposit
Accounts
Other
Deposit
Related
Income
Interchange
Income
Investment
and
Insurance
Commissions
Total
Three months ending March 31, 2025(In thousands)
Retail
Overdraft fees$2,108 $— $— $— $2,108 
Account service charges593 — — — 593 
ATM fees— 355 — — 355 
Other— 184 — — 184 
Business    
Overdraft fees113 — — — 113 
ATM fees— 10 — — 10 
Other— 99 — — 99 
Interchange income— — 3,127 — 3,127 
Asset management revenue— — — 410 410 
Transaction based revenue— — — 343 343 
     
Total$2,814 $648 $3,127 $753 $7,342 
     
Reconciliation to interim Condensed Consolidated Statement of Operations:
  
Non-interest income - other:     
Other deposit related income    $648 
Investment and insurance commissions   753 
Bank owned life insurance (1)    296 
Other (1)
    1,449 
Total    $3,146 
(1)Excluded from the scope of ASC Topic 606.