Quarterly report pursuant to Section 13 or 15(d)

LOANS AND ALLOWANCE FOR LOAN LOSSES (Allowance for Loan Loss Activity, by Portfolio Segment, Balances for Allowance for Credit Losses, and Loans Based on Impairment Methodology) (Details)

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LOANS AND ALLOWANCE FOR LOAN LOSSES (Allowance for Loan Loss Activity, by Portfolio Segment, Balances for Allowance for Credit Losses, and Loans Based on Impairment Methodology) (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2021
Sep. 30, 2020
Sep. 30, 2021
Sep. 30, 2020
Allowance for loan losses:        
Balance, beginning of period $ 118,261 $ 169,977 $ 160,540 $ 42,294
Impact of ASC 326 adoption on non-PCD loans       45,098
Impact of ASC 326 adoption on PCD loans       2,386
Impact of ASC 326 adoption       47,484
Loans charged off (2,266) (2,978) (7,852) (14,806)
Recoveries credited to allowance 2,153 1,566 6,498 5,137
Financing Receivable, Allowance for Credit Losses 101,798 174,122 101,798 174,122
Provision charged to operations (16,350) 5,557 (57,388) 94,013
Balance, end of period 101,798 174,122 101,798 174,122
Commercial Portfolio        
Allowance for loan losses:        
Balance, beginning of period 89,837 111,954 117,403 30,941
Impact of ASC 326 adoption on non-PCD loans       4,432
Impact of ASC 326 adoption on PCD loans       1,752
Impact of ASC 326 adoption       6,184
Loans charged off (967) (995) (3,832) (5,553)
Recoveries credited to allowance 1,281 718 3,929 2,580
Financing Receivable, Allowance for Credit Losses 74,978 126,655 74,978 126,655
Provision charged to operations (15,173) 14,978 (42,522) 92,503
Balance, end of period 74,978 126,655 74,978 126,655
Consumer Portfolio        
Allowance for loan losses:        
Balance, beginning of period 28,424 58,023 43,137 11,353
Impact of ASC 326 adoption on non-PCD loans       40,666
Impact of ASC 326 adoption on PCD loans       634
Impact of ASC 326 adoption       41,300
Loans charged off (1,299) (1,983) (4,020) (9,253)
Recoveries credited to allowance 872 848 2,569 2,557
Financing Receivable, Allowance for Credit Losses 26,820 47,467 26,820 47,467
Provision charged to operations (1,177) (9,421) (14,866) 1,510
Balance, end of period $ 26,820 $ 47,467 $ 26,820 $ 47,467