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FAIR VALUE DISCLOSURES (Details) - Schedule of the Carrying Amount, Fair Value, and Placement in the Fair Value Hierarchy - USD ($)
$ in Thousands
Sep. 30, 2024
Sep. 30, 2023
Financial instruments - assets    
Loan receivable net allowance for credit losses $ 3,900 $ 5,100
Fair Value, Inputs, Level 1 [Member]    
Financial instruments - assets    
Investment securities held-to-maturity
Loan receivable net allowance for credit losses
Financial instruments - liabilities    
Certificates of deposit including retirement certificates
Borrowings
Fair Value, Inputs, Level 2 [Member]    
Financial instruments - assets    
Investment securities held-to-maturity 72,617 73,728
Loan receivable net allowance for credit losses
Financial instruments - liabilities    
Certificates of deposit including retirement certificates 159,582 101,216
Borrowings 28,151 28,177
Fair Value, Inputs, Level 3 [Member]    
Financial instruments - assets    
Investment securities held-to-maturity
Loan receivable net allowance for credit losses 766,822 664,331
Financial instruments - liabilities    
Certificates of deposit including retirement certificates
Borrowings
Carrying Value [Member]    
Financial instruments - assets    
Investment securities held-to-maturity 79,816 85,835
Loan receivable net allowance for credit losses 772,614 689,070
Financial instruments - liabilities    
Certificates of deposit including retirement certificates 159,652 104,668
Borrowings 28,568 29,515
Fair Value [Member]    
Financial instruments - assets    
Investment securities held-to-maturity 72,617 73,728
Loan receivable net allowance for credit losses 766,822 664,331
Financial instruments - liabilities    
Certificates of deposit including retirement certificates 159,582 101,216
Borrowings $ 28,151 $ 28,177