COMMITMENTS (Details) - USD ($) $ in Thousands |
12 Months Ended | |
|---|---|---|
Dec. 31, 2016 |
Dec. 31, 2015 |
|
| Commitments to make loans | Maximum | ||
| Commitments | ||
| Period of commitments to make loans | 60 days | |
| Commitments to extend credit and unused lines of credit at fixed rate | ||
| Commitments | ||
| Financial instruments whose contract amount represents credit risk | $ 91,076 | $ 42,754 |
| Commitments to extend credit and unused lines of credit at variable rate | ||
| Commitments | ||
| Financial instruments whose contract amount represents credit risk | $ 809,004 | 658,291 |
| Fixed Rate | Minimum | ||
| Commitments | ||
| Interest rates on commitments (as a percent) | 1.50% | |
| Maturity period of commitments | 1 year | |
| Fixed Rate | Maximum | ||
| Commitments | ||
| Interest rates on commitments (as a percent) | 19.80% | |
| Maturity period of commitments | 33 years | |
| Variable Rate | ||
| Commitments | ||
| Financial instruments whose contract amount represents credit risk | $ 6,575 | $ 5,739 |