XML 52 R45.htm IDEA: XBRL DOCUMENT v3.25.2
Fair Values of Financial Instruments - Schedule of Estimated Fair Values of Recognized Financial Instruments Carried at Amortized Cost (Detail) - USD ($)
$ in Thousands
Jun. 30, 2025
Dec. 31, 2024
Financial assets    
Securities held-to-maturity $ 169,744 $ 172,603
Loans held for sale 0 283
Carrying Value [Member]    
Financial assets    
Securities held-to-maturity 195,048 204,309
Loans held for sale   283
Net loans 779,819 730,046
Financial liabilities    
Deposits 1,089,344 1,044,887
Other borrowings 965 1,266
Carrying Value [Member] | Mortgage Servicing Rights [Member]    
Financial assets    
Mortgage servicing rights 631 621
Fair Value [Member]    
Financial assets    
Securities held-to-maturity 169,744 172,603
Loans held for sale   290
Net loans 747,016 691,816
Financial liabilities    
Deposits 1,091,198 1,044,047
Other borrowings 865 1,111
Fair Value [Member] | Mortgage Servicing Rights [Member]    
Financial assets    
Mortgage servicing rights 631 621
Fair Value [Member] | Level I [Member]    
Financial assets    
Loans held for sale   290
Financial liabilities    
Deposits 832,252 801,634
Fair Value [Member] | Level II [Member]    
Financial assets    
Securities held-to-maturity 169,744 172,603
Fair Value [Member] | Level III [Member]    
Financial assets    
Net loans 747,016 691,816
Financial liabilities    
Deposits 258,946 242,413
Other borrowings 865 1,111
Fair Value [Member] | Level III [Member] | Mortgage Servicing Rights [Member]    
Financial assets    
Mortgage servicing rights $ 631 $ 621