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NOTE 10 - DEPOSITS
12 Months Ended
Dec. 31, 2021
NOTE 10 - DEPOSITS

NOTE 10 - DEPOSITS

Scheduled maturities of time certificates of deposit are as follows as of December 31, 2021:

December 31, (in thousands)  CD maturities
 2022   $87,034 
 2023    15,403 
 2024    9,690 
 2025    4,138 
 2026    2,685 
 Thereafter    59 
 Total   $119,009 

 

The total amount and scheduled maturities of time certificates of deposit in denominations of $250 thousand or more are as follows:

December 31, (in thousands)    2021      2020  
Within three months  $8,642   $4,045 
After three through six months   1,010    17,218 
After six through twelve months   4,938    4,851 
Over one year   3,286    12,581 
Total  $17,876   $38,695 

 

Included in certificates of deposit at December 31, 2021 and 2020 are brokered and reciprocal deposits of approximately $34.7 million and $25.4 million, respectively. Included in money market funds at December 31, 2021 and 2020 are approximately $73.3 million and $51.5 million, respectively of brokered money market accounts.