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Commitments and Contingencies (Tables)
12 Months Ended
Dec. 31, 2022
Commitments and Contingencies Disclosure [Abstract]  
Schedule of Commitments and Letters of Credit
The following table sets forth our commitments and letters of credit as of the dates presented:
December 31,
(dollars in thousands)20222021
Commitments to extend credit$2,713,586 $2,583,957 
Standby letters of credit64,356 87,335 
Total$2,777,942 $2,671,292 
Unfunded Loan Commitments, Allowance For Credit Loss
The activity in the unfunded loan commitments reserve is summarized as of the dates presented:
December 31,
(dollars in thousands)20222021
Balance at beginning of period$5,189 $4,467 
Provision for credit losses3,007 722 
Total$8,196 $5,189 
Significant Fixed and Determinable Contractual Obligation The following table presents as of December 31, 2022 significant fixed and determinable contractual obligations to third parties by payment date:
Payments Due In
(dollars in thousands)20232024-20252026-2027Later YearsTotal
Deposits without a stated maturity(1)
$6,285,377 $— $— $— $6,285,377 
Certificates of deposit(1)
733,285 161,343 38,711 1,254 934,593 
Short-term borrowings(1)
370,000 — — — 370,000 
Long-term borrowings(1)
464 13,461 180 636 14,741 
Junior subordinated debt securities(1)
— — — 54,453 54,453 
Operating and finance leases5,053 9,984 9,587 60,837 85,461 
Purchase obligations32,555 62,656 53,190 — 148,401 
Total$7,426,734 $247,444 $101,668 $117,180 $7,893,026 
(1)Excludes interest