v3.21.2
SECURITIES - Scheduled Maturities of Securities AFS and the Related Weighted Average Yields (Details) - USD ($)
$ in Thousands
Sep. 30, 2021
Dec. 31, 2020
Schedule Of Available For Sale Securities [Line Items]    
Amortized cost, less than one year   $ 500
Amortized cost, one through five years $ 1,533 1,012
Amortized cost, five through ten years 111,028 57,000
Amortized cost, after ten years 5,000  
Amortized cost, total $ 117,561 $ 58,512
Weighted average yield, less than one year   1.83%
Weighted average yield, one through five years 2.03% 2.81%
Weighted average yield, five through ten years 4.37% 5.39%
Weighted average yield, after ten years 3.38%  
Weighted average yield, total 4.30% 5.32%
Estimated fair value, less than one year   $ 503
Estimated fair value, one through five years $ 1,619 1,107
Estimated fair value, five through ten years 113,842 58,358
Estimated fair value, after ten years 5,100  
Estimated fair value, total 120,561 59,968
Other    
Schedule Of Available For Sale Securities [Line Items]    
Amortized cost, less than one year   500
Amortized cost, one through five years 1,533 1,012
Amortized cost, five through ten years 2,028  
Amortized cost, total 3,561 1,512
Estimated fair value, less than one year   503
Estimated fair value, one through five years 1,619 1,107
Estimated fair value, five through ten years 2,031  
Estimated fair value, total 3,650 1,610
Corporate bonds    
Schedule Of Available For Sale Securities [Line Items]    
Amortized cost, five through ten years 109,000 57,000
Amortized cost, after ten years 5,000  
Amortized cost, total 114,000 57,000
Estimated fair value, five through ten years 111,811 58,358
Estimated fair value, after ten years 5,100  
Estimated fair value, total $ 116,911 $ 58,358