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Loans Receivable - Summary of Allowance for Loan Losses On Loans Receivables (Detail) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Sep. 30, 2025
Sep. 30, 2024
Allowance for loan losses:        
Beginning balance $ 21,014 $ 18,464 $ 23,657 $ 18,492
Purchased non-credit deteriorated loans   3,152 [1]   3,152 [2]
Purchased credit deteriorated loans   154   154
Provision (reversal) (658) [3] 1,536 [1] 6,516 [4] 1,669 [2]
Charge-offs 0 (278) (10,033) (645)
Recoveries 85 172 301 378
Total 20,441 23,200 20,441 23,200
Commercial real estate [Member]        
Allowance for loan losses:        
Beginning balance 18,050 16,623 20,821 16,047
Purchased non-credit deteriorated loans   2,106 [1]   2,106 [2]
Purchased credit deteriorated loans   110   110
Provision (reversal) (1,057) [3] 1,482 [1] 6,105 [4] 2,219 [2]
Charge-offs 0 (1) (9,950) (236)
Recoveries 62 3 79 79
Total 17,055 20,325 17,055 20,325
Commercial and industrial [Member]        
Allowance for loan losses:        
Beginning balance 1,016 377 1,173 488
Purchased non-credit deteriorated loans   15 [1]   15 [2]
Purchased credit deteriorated loans   4   4
Provision (reversal) (62) [3] 867 [1] (335) [4] 756 [2]
Charge-offs 0 (279) (83) (409)
Recoveries 23 134 222 264
Total 977 1,118 977 1,118
Construction [Member]        
Allowance for loan losses:        
Beginning balance 429 744 609 1,145
Purchased non-credit deteriorated loans   546 [1]   546 [2]
Purchased credit deteriorated loans   11   11
Provision (reversal) (65) [3] (699) [1] (245) [4] (1,100) [2]
Charge-offs 0 0 0 0
Recoveries 0 35 0 35
Total 364 637 364 637
Residential first-lien mortgage [Member]        
Allowance for loan losses:        
Beginning balance 1,358 660 893 725
Purchased non-credit deteriorated loans   271 [1]   271 [2]
Purchased credit deteriorated loans   13   13
Provision (reversal) 514 [3] 8 [1] 979 [4] (57) [2]
Charge-offs 0 0 0 0
Recoveries 0 0 0 0
Total 1,872 952 1,872 952
Home equity/consumer [Member]        
Allowance for loan losses:        
Beginning balance 161 60 161 87
Purchased non-credit deteriorated loans   214 [1]   214 [2]
Purchased credit deteriorated loans   16   16
Provision (reversal) 12 [3] (122) [1] 12 [4] (149) [2]
Charge-offs 0 0 0 0
Recoveries 0 0 0 0
Total $ 173 $ 168 $ 173 $ 168
[1] The provision for credit losses on the Consolidated Statement of Income is $4.6 million comprising of an increase of $3.2 million related to purchased non-credit deteriorated loans acquired, $1.5 million increase to the allowance for loan loss and a $87 thousand reduction to the reserve for unfunded liabilities.
[2] The provision for credit losses on the Consolidated Statement of Income is $4.7 million comprising of an increase of $3.2 million related to purchased non-credit deteriorated loans acquired, $1.7 million increase to the allowance for loan loss and a $152 thousand reduction to the reserve for unfunded liabilities.
[3] The reversal of credit losses on the Consolidated Statement of Income is $672 thousand comprising of a decrease of $658 thousand to the allowance for loan loss and a $14 thousand decrease to the reserve for unfunded liabilities.
[4] The provision for credit losses on the Consolidated Statement of Income is $6.6 million comprising of an increase of $6.5 million increase to the allowance for loan loss and a $36 thousand increase to the reserve for unfunded liabilities.