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Note 7 - Deposits
3 Months Ended
Mar. 31, 2020
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]
Note
7
– Deposits
 
The following table details deposits by category:
 
   
March
31
,
20
20
   
December 31,
201
9
 
   
(in thousands)
 
Non-interest bearing
  $
185,658
    $
187,551
 
Interest checking
   
157,621
     
146,038
 
Money market
   
154,851
     
160,837
 
Savings
   
92,235
     
56,015
 
Certificates of deposit
   
467,535
     
476,534
 
Total
  $
1,057,900
    $
1,026,975
 
 
Time deposits of
$250,000
or more were approximately
$64.9
million and
$51.2
million at
March 31, 2020
and
December 31, 2019,
respectively.
 
Scheduled maturities of total time deposits at
March 31, 2020
for each of the next
five
years are as follows (in thousands):
 
Year 1
  $
383,049
 
Year 2
   
47,132
 
Year 3
   
10,719
 
Year 4
   
15,232
 
Year 5
   
10,854
 
Thereafter
   
549
 
    $
467,535