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DEPOSITS
6 Months Ended
Jun. 30, 2022
DEPOSITS  
DEPOSITS

NOTE 7 - DEPOSITS

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

June 30, 

December 31, 

    

2022

    

2021

Money market deposit accounts

$

1,033,739

$

1,056,669

Time deposits

 

147,623

 

170,491

Negotiable order of withdrawal accounts

 

287,195

 

309,940

Savings accounts

 

33,099

 

32,299

Total interest-bearing deposits

$

1,501,656

$

1,569,399

Aggregate time deposits of $250 or greater

$

70,492

$

75,747

Overdraft balances classified as loans totaled $0.1 million and an immaterial amount as of June 30, 2022 and December 31, 2021, respectively.

The following presents the scheduled maturities of all time deposits for each of the next five years and total amounts thereafter (dollars in thousands):

Year ending December 31,

    

Time Deposits

2022(1)

$

64,114

2023

 

46,252

2024

 

17,812

2025

 

3,029

2026

 

10,337

Thereafter

 

6,079

Total

$

147,623

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