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Deposits (Tables)
9 Months Ended
Sep. 30, 2025
Deposits  
Summary of deposit liabilities

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(in thousands)

    

September 30, 2025

    

December 31, 2024

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Balance

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Percent

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Balance

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Percent

Non-Interest-bearing deposits:

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$

429,986

    

26%

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$

426,737

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27%

Interest-bearing deposits:

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Demand

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​

386,015

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23%

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​

386,803

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25%

Money market-retail

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​

498,786

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30%

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​

447,149

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28%

Money market- brokered

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2,501

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0%

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​

1

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0%

Savings deposits

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​

158,786

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9%

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​

170,972

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11%

Time deposits- retail

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​

152,828

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9%

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143,167

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9%

Time deposits- brokered

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50,000

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3%

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—

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—

Total Deposits

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$

1,678,902

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100%

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$

1,574,829

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100%

​