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Deposits (Tables)
12 Months Ended
Dec. 31, 2025
Deposits  
Summary of deposit liabilities

(in thousands)

  ​ ​ ​

2025

  ​ ​ ​

2024

Balance

Percent

Balance

Percent

Non-Interest-bearing deposits:

$

453,036

  ​ ​ ​

26%

$

426,737

  ​ ​ ​

27%

Interest-bearing deposits:

Demand

392,823

23%

386,803

25%

Money market- retail

529,870

30%

447,149

28%

Money market- brokered

1

0%

1

0%

Savings deposits

158,461

9%

170,972

11%

Time deposits- retail

150,958

9%

143,167

9%

Time deposits- brokered

50,000

3%

Total Deposits

$

1,735,149

100%

$

1,574,829

100%

Summary of Scheduled Maturities of All Time Deposits

The following is a summary of the scheduled maturities of all time deposits maturing within the following years ended  December 31:

(in thousands)

Time deposits- brokered

Time deposits- retail

2026

$

50,000

$

132,040

2027

14,263

2028

3,971

2029

309

2030

375

Total

$

50,000

$

150,958