Annual report pursuant to Section 13 and 15(d)

INVESTMENT SECURITIES (Schedule of Investment Securities with Maturity Distribution Based on Contractual Maturities) (Details)

v3.24.2
INVESTMENT SECURITIES (Schedule of Investment Securities with Maturity Distribution Based on Contractual Maturities) (Details) - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Amortized Cost    
Due in one year or less $ 28,545  
Due after one through five years 138,299  
Due after five through ten years 39,090  
Total Investment Securities 367,747 $ 455,232
Fair Value    
Due in one year or less 27,854  
Due after one through five years 127,843  
Due after five through ten years 33,420  
Total Investment Securities 337,902 413,294
Amortized Cost    
Due in one year or less 90,119  
Due after one through five years 367,562  
Total Investment Securities 625,022 660,744
Fair Value    
Due in one year or less 88,588  
Due after one through five years 352,601  
Total Investment Securities 591,751 612,701
Mortgage-Backed Securities [Member]    
Amortized Cost    
Due without single maturity date 73,015  
Total Investment Securities 73,015 80,829
Fair Value    
Due without single maturity date 63,303  
Total Investment Securities 63,303 69,405
Amortized Cost    
Due without single maturity date 167,341  
Total Investment Securities 167,341 203,370
Fair Value    
Due without single maturity date 150,562  
Total Investment Securities 150,562 180,968
U.S. Government Agency [Member]    
Amortized Cost    
Due without single maturity date 80,547  
Total Investment Securities 152,983 198,888
Fair Value    
Due without single maturity date 77,231  
Total Investment Securities 145,034 186,052
Other Securities [Member]    
Amortized Cost    
Due without single maturity date 8,251  
Total Investment Securities 8,251 7,222
Fair Value    
Due without single maturity date 8,251  
Total Investment Securities $ 8,251 $ 7,222