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Fair Value Measurements - Summary of Carrying Values and Estimated Fair Values of Financial Instruments (Details) - USD ($)
$ in Thousands
Mar. 31, 2023
Dec. 31, 2022
Financial assets    
Securities available for sale $ 152,183 $ 153,416
Securities held to maturity 879,323 885,586
FHLB of Boston stock 12,172 6,264
Recurring Basis | Carrying Value    
Financial assets    
Cash and cash equivalents 70,766 30,719
Securities available for sale 152,183 153,416
Securities held to maturity 1,030,858 1,051,997
Loans, net 3,980,077 4,025,082
FHLB of Boston stock 12,172 6,264
Accrued interest receivable 14,129 14,118
Mortgage servicing rights 1,603 1,665
Loan level interest rate swaps 40,079 50,784
Risk participation agreements out to counterparties 27 23
Financial liabilities    
Deposits, excluding wholesale deposits 4,133,600 4,433,817
Deposits, Wholesale 523,176 381,559
Borrowings 240,997 105,212
Loan level interest rate swaps 40,079 50,784
Risk participation agreements in with counterparties 65 43
Recurring Basis | Estimated Fair Value    
Financial assets    
Cash and cash equivalents 70,766 30,719
Securities available for sale 152,183 153,416
Securities held to maturity 879,323 885,586
Loans, net 3,671,706 3,783,051
FHLB of Boston stock 12,172 6,264
Accrued interest receivable 14,129 11,155
Mortgage servicing rights 2,486 2,336
Loan level interest rate swaps 40,079 50,784
Risk participation agreements out to counterparties 27 23
Financial liabilities    
Deposits, excluding wholesale deposits 4,130,130 4,429,190
Deposits, Wholesale 522,551 381,505
Borrowings 240,987 105,202
Loan level interest rate swaps 40,079 50,784
Risk participation agreements in with counterparties 65 43
Cash Flow Hedging | Recurring Basis | Carrying Value    
Financial assets    
Interest rate contracts - cash flow hedge 2,045 1,966
Cash Flow Hedging | Recurring Basis | Estimated Fair Value    
Financial assets    
Interest rate contracts - cash flow hedge 2,045 $ 1,966
Fair Value Hedging | Recurring Basis    
Financial liabilities    
Interest rate contracts - fair value hedge 541  
Fair Value Hedging | Recurring Basis | Estimated Fair Value    
Financial liabilities    
Interest rate contracts - fair value hedge $ 541