Quarterly report pursuant to Section 13 or 15(d)

COMMITMENTS AND OFF BALANCE-SHEET RISK (Details)

v3.23.1
COMMITMENTS AND OFF BALANCE-SHEET RISK (Details) - USD ($)
3 Months Ended
Mar. 31, 2023
Dec. 31, 2022
Summary of the contractual amounts of financial instruments with off-balance-sheet risk [Abstract]    
Notional amount of commitments to fund mortgage loans to be sold into the secondary market $ 82,000 $ 0
Other Liabilities [Member]    
Unfunded Loan Commitments [Abstract]    
Reserve for unfunded commitments 61,000  
Commitments to Extend Credit [Member]    
Summary of the contractual amounts of financial instruments with off-balance-sheet risk [Abstract]    
Commitments to extend credit $ 115,100,000 77,384,000
Commitments to make loans at fixed rates 67.20%  
Expiration period of commitment to make variable rate loan 30 days  
Commitments to Extend Credit [Member] | SOFR [Member]    
Summary of the contractual amounts of financial instruments with off-balance-sheet risk [Abstract]    
Term of variable rate 1 month  
Letters of Credit [Member]    
Summary of the contractual amounts of financial instruments with off-balance-sheet risk [Abstract]    
Commitments to extend credit $ 11,937,000 13,455,000
Unused Lines of Credit [Member]    
Summary of the contractual amounts of financial instruments with off-balance-sheet risk [Abstract]    
Commitments to extend credit 719,013,000 745,674,000
Commitment to Sell Mortgage-Backed Securities [Member]    
Summary of the contractual amounts of financial instruments with off-balance-sheet risk [Abstract]    
Commitments to extend credit $ 1,100,000 $ 0