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Deposit (Schedule of deposit liabilities) (Details) - USD ($)
$ in Thousands
Dec. 31, 2024
Dec. 31, 2023
Non-interest bearing deposits $ 426,737 $ 427,670
Non-Interest bearing deposits, percentage 27.00% 28.00%
Interest bearing deposits $ 1,148,092 $ 1,123,307
Total deposits $ 1,574,829 $ 1,550,977
Non-Interest and Interest bearing deposits, percentage 100.00% 100.00%
Demand    
Interest bearing deposits $ 386,803 $ 350,860
Interest bearing deposits, percentage 25.00% 22.00%
Money market-retail    
Interest bearing deposits $ 447,149 $ 385,649
Interest bearing deposits, percentage 28.00% 25.00%
Money market-brokered    
Interest bearing deposits $ 1  
Interest bearing deposits, percentage 0.00%  
Savings deposits    
Interest bearing deposits $ 170,972 $ 191,265
Interest bearing deposits, percentage 11.00% 12.00%
Time deposits- retail    
Interest bearing deposits $ 143,167 $ 165,533
Interest bearing deposits, percentage 9.00% 11.00%
Time deposits- brokered    
Interest bearing deposits   $ 30,000
Interest bearing deposits, percentage   2.00%