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Deposits (Tables)
12 Months Ended
Dec. 31, 2020
Deposits:  
Schedule of Deposit Liabilities
Deposits at December 31, are summarized as follows: 
(Dollars in thousands)20202019
Non-interest checking$1,164,908 $794,583 
Interest-bearing checking599,630 467,988 
Savings256,347 203,236 
Money market1,210,414 1,009,972 
CDs $250,000 or less 176,895 220,751 
CDs greater than $250,00068,074 90,200 
Total customer deposits
3,476,268 2,786,730 
Brokered deposits(1)
74,995 — 
Total deposits
$3,551,263 $2,786,730 
__________________________________________ 
(1) Brokered CDs which are individually $250,000 and under.
Schedule of Maturities of Time Deposits
The following table shows the scheduled maturities of CDs (December 31, 2020 includes brokered CDs with weighted average remaining lives of less than six months): 
(Dollars in thousands)20202019
Due in less than twelve months$265,833 $229,616 
Due in over one year through two years37,908 69,357 
Due in over two years through three years12,305 8,847 
Due in over three years through four years3,365 2,101 
Due in over four years through five years515 806 
Due in over five years38 224 
     Total CDs$319,964 $310,951