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Deposits (Tables)
3 Months Ended
Mar. 31, 2023
Deposits  
Schedule of deposits

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March 31, 

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December 31,

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2023

    

2022

Non-interest bearing demand deposits

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$

269,743

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$

283,563

Interest bearing accounts:

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NOW

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140,396

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156,285

Savings

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169,296

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176,916

Money market

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229,988

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296,787

Time certificates of deposit

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284,101

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216,382

Total interest bearing accounts

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823,781

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846,370

Total deposits

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$

1,093,524

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$

1,129,933

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Schedule of contractual maturities of time certificates of deposit

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March 31, 

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2023

Within 1 year

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$

240,967

1 – 2 years

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37,879

2 – 3 years

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2,983

3 – 4 years

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1,259

4 – 5 years

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1,013

Total

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$

284,101