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Deposits (Tables)
12 Months Ended
Dec. 31, 2023
Deposits [Abstract]  
Schedule of Deposit Liabilities
The following table presents the composition of our deposits as of the dates indicated:
As of December 31,
(in thousands)20232022
Noninterest bearing deposits$897,053 $1,053,450 
Interest checking deposits1,320,435 1,624,278 
Money market deposits1,105,493 937,340 
Savings deposits650,655 664,169 
Time deposits of $250 and under973,253 686,233 
Time deposits over $250448,784 503,472 
Total deposits
$5,395,673 $5,468,942 
Schedule of Time Deposit Maturities
At December 31, 2023, the scheduled maturities of certificates of deposits were as follows:
(in thousands)
2024$1,236,794 
2025130,541 
202630,685 
202710,185 
20287,213 
Thereafter6,619 
Total$1,422,037