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COMMITMENTS AND CONTINGENCIES (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 15, 2018
Mar. 23, 2016
Jun. 30, 2018
Jun. 30, 2017
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Mar. 31, 2018
Jun. 30, 2016
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Contingent obligations         $ 16,100        
Legal accruals and settlements         $ 0 $ 0 $ 989    
Pending Litigation                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Contingent obligations       $ 2,300         $ 1,200
Damages sought   $ 4,000              
Loss contingency, accrual, noncurrent       850          
Legal accruals and settlements       $ 200          
Chemung Canal Trust Company                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Contingent obligations               $ 2,300  
Legal accruals and settlements     $ 1,000            
Litigation settlement amount $ 3,300                
Minimum                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Commitments period to make fixed-rate commercial draw notes (months)         3 months        
Minimum | Fixed Rate                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Interest rate on fixed-rate commitments to make loans         2.63%        
Maturity period of fixed-rate commitments to make loans (years)         3 years        
Interest rate on fixed-rate commitments to make commercial draw notes (in hundredths)         3.50%        
Maximum                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Commitments period to make real estate and home equity loans (days)         60 days        
Commitments period to make fixed-rate commercial draw notes (months)         24 months        
Off-balance sheet financial instruments, standard term         12 months        
Maximum | Fixed Rate                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Interest rate on fixed-rate commitments to make loans         5.50%        
Maturity period of fixed-rate commitments to make loans (years)         30 years        
Interest rate on fixed-rate commitments to make commercial draw notes (in hundredths)         6.25%        
Commitments to make loans | Fixed Rate                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Contractual amounts of financial instruments with off-balance sheet risk         $ 28,459 15,560      
Commitments to make loans | Variable Rate                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Contractual amounts of financial instruments with off-balance sheet risk         39,056 25,233      
Unused lines of credit | Fixed Rate                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Contractual amounts of financial instruments with off-balance sheet risk         1,300 1,062      
Unused lines of credit | Variable Rate                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Contractual amounts of financial instruments with off-balance sheet risk         268,075 229,137      
Standby letters of credit | Fixed Rate                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Contractual amounts of financial instruments with off-balance sheet risk         0 0      
Standby letters of credit | Variable Rate                  
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]                  
Contractual amounts of financial instruments with off-balance sheet risk         $ 16,094 $ 16,272