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BORROWINGS - Schedule of subordinated debt (Details)
12 Months Ended
Dec. 31, 2024
USD ($)
BORROWINGS  
Remaining net balance $ 0
Subordinated Notes | Subordinated Notes Issued March 2020  
BORROWINGS  
Interest bearing rate (as a percent) 5.125%
Basis points 4.50%
Carrying Value $ 8,000,000
Initial Debt Issuance Costs 120,000
Remaining net balance $ 7,994,000
Subordinated Notes | Subordinated Notes Issued November 2020  
BORROWINGS  
Interest bearing rate (as a percent) 4.25%
Basis points 4.02%
Carrying Value $ 10,000,000
Initial Debt Issuance Costs 162,000
Remaining net balance $ 9,953,000
Subordinated Notes | Subordinated Notes Issued August 2021  
BORROWINGS  
Interest bearing rate (as a percent) 3.25%
Basis points 2.58%
Carrying Value $ 15,000,000
Initial Debt Issuance Costs 242,000
Remaining net balance $ 14,908,000
Subordinated Notes | Subordinated Notes Issued December 2022  
BORROWINGS  
Interest bearing rate (as a percent) 7.00%
Basis points 3.28%
Carrying Value $ 20,000,000
Initial Debt Issuance Costs 506,000
Remaining net balance $ 19,710,000