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Deposits - Schedule of Deposits (Details) - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Balance    
Non-interest-bearing demand $ 1,437,361 $ 1,806,152
Interest-bearing demand 1,966,463 2,592,884
Money market accounts 1,255,528 718,524
Savings and club deposits 700,348 913,738
Certificates of deposit 2,486,856 1,969,861
Total deposits $ 7,846,556 $ 8,001,159
Weighted Average Rate    
Interest-bearing demand 2.07% 0.75%
Money market accounts 3.28% 0.93%
Savings and club deposits 0.48% 0.06%
Certificates of deposit 3.91% 2.16%
Total deposits 2.31% 0.86%