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Debt (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Schedule of Short-term Debt
Schedule of Borrowings:
20252024
Balances at December 31:
FHLBNY Overnight Advances— — 
FHLBNY Term Advances4,265 8,600 
Total Borrowings$4,265 $8,600 
Maximum Borrowing Capacity at December 31:
Federal Funds Purchased$23,000 $23,000 
Federal Home Loan Bank of New York756,968 654,890 
Federal Reserve Bank of New York707,839 571,107 
Available Borrowing Capacity at December 31:
Federal Funds Purchased$23,000 $23,000 
Federal Home Loan Bank of New York722,703 616,290 
Federal Reserve Bank of New York707,839 571,107 
Schedule of Maturities of Long-term Debt
Maturity Schedule of FHLBNY Term Advances:
BalancesWeighted Average Rate
Final Maturity2025202420252024
First Year$— $6,900 — %5.34 %
Second Year4,265 — 4.32 %— %
Third Year— 1,700 — %4.85 %
Total$4,265 $8,600 4.32 %5.24 %
Schedule of Long-term Debt Instruments
Schedule of Guaranteed Preferred Beneficial Interests in Corporation's Junior Subordinated Debentures

20252024
ACST II
Balance at December 31,$10,000 $10,000 
Period End:
     Variable Interest Rate 7.08 %7.74 %
     Fixed Interest Rate resulting from cash flow hedge agreement 4.00 %4.00 %
ACST III
Balance at December 31,$10,000 $10,000 
Period End:
     Variable Interest Rate5.93 %6.59 %
     Fixed Interest Rate resulting from cash flow hedge agreement2.86 %2.86 %