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DEPOSITS
6 Months Ended
Jun. 30, 2021
Deposits [Abstract]  
DEPOSITS

NOTE 6 - DEPOSITS

The following presents the Company’s interest-bearing deposits at the dates noted (in thousands):

June 30, 

December 31, 

    

2021

    

2020

Money market deposit accounts

$

840,073

$

847,430

Time deposits

 

137,499

 

172,682

Negotiable order of withdrawal accounts

 

141,076

 

113,052

Savings accounts

 

5,299

 

5,289

Total interest-bearing deposits

$

1,123,947

$

1,138,453

Aggregate time deposits of $250,000 or greater

$

64,360

$

73,401

Deposits acquired through acquisitions during the year ended 2020 totaled $63.1 million.

Overdraft balances classified as loans totaled $0.1 million as of June 30, 2021 and December 31, 2020.

The following presents the scheduled maturities of all time deposits for the next five years ending June 30 (in thousands):

Year Ending December 31,

    

Time Deposits

2021(1)

$

69,580

2022

 

39,732

2023

 

23,155

2024

 

2,263

2025

 

1,540

Thereafter

 

1,229

Total

$

137,499

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(1) Amount represents the remaining six months of year.