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Deposit (Schedule of deposit liabilities) (Details) - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Non-interest bearing deposits $ 427,670 $ 506,613
Non-Interest bearing deposits, percentage 28.00% 32.00%
Interest bearing deposits $ 1,123,307 $ 1,064,120
Total deposits $ 1,550,977 $ 1,570,733
Non-Interest and Interest bearing deposits, percentage 100.00% 100.00%
Demand Deposit Liability [Member]    
Interest bearing deposits $ 350,860 $ 327,685
Interest bearing deposits, percentage 22.00% 21.00%
Money Market Liability [Member]    
Interest bearing deposits $ 385,649 $ 365,192
Interest bearing deposits, percentage 25.00% 23.00%
Savings Deposit Liability [Member]    
Interest bearing deposits $ 191,265 $ 250,720
Interest bearing deposits, percentage 12.00% 16.00%
Time Deposit Retail Liability [Member]    
Interest bearing deposits $ 165,533 $ 120,523
Interest bearing deposits, percentage 11.00% 8.00%
Time Deposit Brokered Liability [Member]    
Interest bearing deposits $ 30,000  
Interest bearing deposits, percentage 2.00% 0.00%