v3.21.2
FAIR VALUE MEASUREMENTS - Carrying Amounts and Estimated Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
Sep. 30, 2021
Dec. 31, 2020
ASSETS    
Cash and cash equivalents $ 783,376 $ 629,707
Securities AFS, net 891,648 807,426
Loans held for sale 501,433 505,404
Loans, net 5,287,974 4,779,599
Investment in FHLB stock 17,250 17,250
Investment in equity securities 540 338
Liabilities:    
Deposits 6,844,978 5,913,433
Borrowings 12,500 269,000
Assets Fair Value:    
Cash and cash equivalents 783,376 629,707
Securities AFS, net 891,648 807,426
Loans held for sale 506,547 510,638
Loans, net 5,342,001 4,829,258
Investment in FHLB stock 17,250 17,250
Investment in equity securities 540 338
Liabilities Fair Value:    
Deposits 6,851,021 5,913,434
Borrowings 12,500 269,000
Fair Value Measurement Level 1    
ASSETS    
Securities AFS, net 497 503
Investment in equity securities 540 338
Assets Fair Value:    
Cash and cash equivalents 783,376 629,707
Securities AFS, net 497 503
Investment in equity securities 540 338
Liabilities Fair Value:    
Deposits 6,231,505 4,934,537
Fair Value Measurement Level 2    
ASSETS    
Securities AFS, net 878,006 783,460
Investment in FHLB stock 17,250 17,250
Assets Fair Value:    
Securities AFS, net 878,006 783,460
Loans held for sale 506,547 510,638
Investment in FHLB stock 17,250 17,250
Liabilities Fair Value:    
Deposits 619,516 978,897
Borrowings   255,000
Fair Value Measurement Level 3    
ASSETS    
Securities AFS, net 13,145 23,463
Assets Fair Value:    
Securities AFS, net 13,145 23,463
Loans, net 5,342,001 4,829,258
Liabilities Fair Value:    
Borrowings $ 12,500 $ 14,000