v3.3.0.814
Fair Value Measurements - Carrying Amounts and Estimated Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
Sep. 30, 2015
Dec. 31, 2014
Sep. 30, 2014
Dec. 31, 2013
ASSETS        
Cash and cash equivalents $ 206,338 $ 29,692 $ 28,842 $ 56,954
Securities available-for-sale (“AFS”) 360,559 138,270    
Loans 1,524,705 1,156,242    
Loans held for sale 108,903      
Investment in FHLB stock 17,820 12,361    
Liabilities:        
Deposits 1,321,527 962,954    
Borrowings 660,000 282,886    
Assets Fair Value:        
Cash and cash equivalents 206,338 29,692    
Securities available-for-sale (“AFS”) 360,559 138,270    
Loans 1,557,574 1,186,408    
Loans held for sale 110,809      
Investment in FHLB stock 17,820 12,361    
Liabilities Fair Value:        
Deposits 1,320,054 962,848    
Borrowings 660,000 282,886    
Fair Value Measurement Level 1        
ASSETS        
Securities available-for-sale (“AFS”) 300 300    
Investment in FHLB stock 17,820 12,361    
Assets Fair Value:        
Cash and cash equivalents 206,338 29,692    
Securities available-for-sale (“AFS”) 300 300    
Investment in FHLB stock 17,820 12,361    
Liabilities Fair Value:        
Deposits 960,672 709,604    
Fair Value Measurement Level 2        
ASSETS        
Securities available-for-sale (“AFS”) 360,259 137,970    
Assets Fair Value:        
Securities available-for-sale (“AFS”) 360,259 137,970    
Liabilities Fair Value:        
Deposits 359,382 253,244    
Borrowings 660,000 263,000    
Fair Value Measurement Level 3        
Assets Fair Value:        
Loans 1,557,574 1,186,408    
Loans held for sale $ 110,809      
Liabilities Fair Value:        
Borrowings   $ 19,886