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Fair Values of Financial Instruments (Fair Value, by Balance Sheet Grouping) (Details) - USD ($)
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]      
Financial assets: Cash and cash equivalents, Fair Value Disclosure $ 72,339,000 $ 66,120,000  
Financial assets: Loans receivable, net, Fair Value Disclosure 1,687,128,000 1,521,667,000  
Financial assets: Mortgage servicing rights, Fair Value Disclosure 575,000 506,000  
Financial assets: Regulatory stock, Fair Value Disclosure 13,366,000 7,318,000  
Financial assets: Bank owned life insurance, Fair Value Disclosure 46,657,000 46,439,000  
Financial assets: Accrued interest receivable, Fair Value Disclosure 8,466,000 8,123,000  
Financial liabilities: Deposits, Fair Value Disclosure 1,788,123,000 1,800,104,000  
Financial liabilities: Short-term borrowings, Fair Value Disclosure 113,069,000 74,076,000  
Financial liabilities: Other borrowings, Fair Value Disclosure 102,220,000 124,058,000  
Financial liabilities: Accrued interest payable, Fair Value Disclosure 12,615,000 10,510,000  
Off-balance sheet financial instruments: Commitments to extend credit and outstanding letters of credit, Fair Value Disclosure  
Financial assets: Cash and cash equivalents 72,339,000 66,120,000 $ 31,866,000
Financial assets: Loans receivable, net 1,693,795,000 1,584,650,000  
Financial assets: Mortgage servicing rights 199,000 188,000  
Financial assets: Regulatory stock 13,366,000 7,318,000  
Financial assets: Bank owned life insurance 46,657,000 46,439,000  
Financial assets: Accrued interest receivable 8,466,000 8,123,000  
Financial liabilities: Deposits 1,859,163,000 1,795,159,000  
Financial liabilities: Short-term borrowings 113,069,000 74,076,000  
Financial liabilities: Other borrowings 101,793,000 124,236,000  
Financial liabilities: Accrued interest payable 12,615,000 10,510,000  
Off-balance sheet financial instruments: Commitments to extend credit and outstanding letters of credit  
Fair Value, Inputs, Level 1 [Member]      
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]      
Financial assets: Cash and cash equivalents, Fair Value Disclosure 72,339,000 66,120,000  
Financial assets: Loans receivable, net, Fair Value Disclosure  
Financial assets: Mortgage servicing rights, Fair Value Disclosure  
Financial assets: Regulatory stock, Fair Value Disclosure 13,366,000 7,318,000  
Financial assets: Bank owned life insurance, Fair Value Disclosure 46,657,000 46,439,000  
Financial assets: Accrued interest receivable, Fair Value Disclosure 8,466,000 8,123,000  
Financial liabilities: Deposits, Fair Value Disclosure 1,023,619,000 1,086,050,000  
Financial liabilities: Short-term borrowings, Fair Value Disclosure 113,069,000 74,076,000  
Financial liabilities: Other borrowings, Fair Value Disclosure  
Financial liabilities: Accrued interest payable, Fair Value Disclosure 12,615,000 10,510,000  
Off-balance sheet financial instruments: Commitments to extend credit and outstanding letters of credit, Fair Value Disclosure  
Fair Value, Inputs, Level 2 [Member]      
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]      
Financial assets: Cash and cash equivalents, Fair Value Disclosure  
Financial assets: Loans receivable, net, Fair Value Disclosure  
Financial assets: Mortgage servicing rights, Fair Value Disclosure  
Financial assets: Regulatory stock, Fair Value Disclosure  
Financial assets: Bank owned life insurance, Fair Value Disclosure  
Financial assets: Accrued interest receivable, Fair Value Disclosure  
Financial liabilities: Deposits, Fair Value Disclosure  
Financial liabilities: Short-term borrowings, Fair Value Disclosure  
Financial liabilities: Other borrowings, Fair Value Disclosure  
Financial liabilities: Accrued interest payable, Fair Value Disclosure  
Off-balance sheet financial instruments: Commitments to extend credit and outstanding letters of credit, Fair Value Disclosure  
Level 3 [Member]      
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]      
Financial assets: Cash and cash equivalents, Fair Value Disclosure  
Financial assets: Loans receivable, net, Fair Value Disclosure 1,687,128,000 1,521,667,000  
Financial assets: Mortgage servicing rights, Fair Value Disclosure 575,000 506,000  
Financial assets: Regulatory stock, Fair Value Disclosure  
Financial assets: Bank owned life insurance, Fair Value Disclosure  
Financial assets: Accrued interest receivable, Fair Value Disclosure  
Financial liabilities: Deposits, Fair Value Disclosure 764,504,000 714,054,000  
Financial liabilities: Short-term borrowings, Fair Value Disclosure  
Financial liabilities: Other borrowings, Fair Value Disclosure 102,220,000 124,058,000  
Financial liabilities: Accrued interest payable, Fair Value Disclosure  
Off-balance sheet financial instruments: Commitments to extend credit and outstanding letters of credit, Fair Value Disclosure