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Revenue from Contracts with Customers Revenue from Contracts with Customers (Schedule of Deposit Account Charges and Other Fees) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Deposit Account Charges and Other Fees [Line Items]      
Deposit account charges and other fees $ 100,336 $ 90,992 $ 94,381
Corporate Cash Management [Member]      
Deposit Account Charges and Other Fees [Line Items]      
Deposit account charges and other fees 64,838 56,291 52,501
Overdraft and Return Item [Member]      
Deposit Account Charges and Other Fees [Line Items]      
Deposit account charges and other fees 11,511 11,607 19,938
Other Deposit Account Charges [Member]      
Deposit Account Charges and Other Fees [Line Items]      
Deposit account charges and other fees $ 23,987 $ 23,094 $ 21,942