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Deposits (Tables)
6 Months Ended
Jun. 30, 2023
Statistical Disclosure for Banks [Abstract]  
Schedule of Composition of Deposits
The composition of our deposits is as follows as of:
June 30,
2023
December 31,
2022
Noninterest-bearing demand deposit accounts$1,667,247 $1,820,490 
Interest-bearing deposit accounts:
Interest-bearing demand accounts379,779 212,357 
Savings accounts and money market accounts2,441,349 2,759,969 
NOW accounts48,270 50,224 
Certificate of deposit accounts:
Less than $100783,159 241,322 
$100 through $250455,254 270,790 
Greater than $250375,360 409,910 
Total interest-bearing deposit accounts4,483,171 3,944,572 
Total deposits$6,150,418 $5,765,062 
Schedule of Interest Expense Incurred on Deposits
The following table summarizes the interest expense incurred on our deposits:
For the three months ended June 30,
For the six months ended
 June 30,
2023202220232022
Interest-bearing deposit accounts:
Interest-bearing demand accounts$2,045 $190 $3,220 $284 
Savings accounts and money market accounts6,365 1,305 11,878 2,236 
NOW accounts79 39 138 69 
Certificate of deposit accounts12,240 638 19,672 1,157 
Total interest-bearing deposit accounts$20,729 $2,172 $34,908 $3,746 
Schedule of Remaining Maturity on Certificate of Deposit Accounts
The remaining maturity on certificate of deposit accounts is as follows as of:
June 30,
2023
Remainder of 2023$574,330 
2024910,138 
2025110,916 
20269,773 
20274,204 
20281,518 
Thereafter2,894 
Total certificate of deposit accounts$1,613,773