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Commitments and Off-balance Sheet Items (Tables)
12 Months Ended
Dec. 31, 2025
Commitments and Contingencies Disclosure [Abstract]  
Schedule of Commitments and Contingent Liabilities
Commitments and contingent liabilities are summarized as follows, at December 31:
 20252024
Fixed
Rate
Variable
Rate
Fixed
Rate
Variable
Rate
Commitments to Fund Loans:    
Consumer Lines$16,377 $971,533 $19,477 $734,821 
Commercial Operating Lines124,804 826,030 83,754 544,757 
Residential Mortgages1,897 480 13,602 525 
Total Commitments to Fund Loans$143,078 $1,798,043 $116,833 $1,280,103 
Commitments to Sell Loans:
Mandatory$7,046 $ $2,715 $— 
Non-mandatory$ $ $6,043 $— 
Standby Letters of Credit$2,152 $15,589 $2,170 $12,586