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DEPOSITS
12 Months Ended
Dec. 31, 2022
Deposits Liabilities, Balance Sheet, Reported Amounts [Abstract]  
DEPOSITS
12. DEPOSITS
 
The following table is a summary of the Company's deposits by category:
December 31,
(Dollars in thousands)20222021
Noninterest-bearing:
Noninterest-bearing demand$5,739,647 $4,565,143 
Total noninterest-bearing$5,739,647 $4,565,143 
Interest-bearing:
Interest-bearing demand$3,346,682 $2,793,279 
Savings 2,161,858 1,970,744 
Money market3,730,778 2,906,260 
Customer time deposits1,102,013 988,974 
Brokered deposits122,591 15,662 
Total interest-bearing$10,463,922 $8,674,919 
Total deposits$16,203,569 $13,240,062 
The following table is a summary of the remaining time to maturity for customer time deposits:
December 31,
(Dollars in thousands)20222021
Certificates of deposit (not jumbo):
Less than one year$712,582 $623,762 
One year to two years163,260 161,486 
Two years to three years21,740 54,943 
Three years to four years11,303 12,116 
Over four years10,378 6,618 
Total certificates of deposit (not jumbo)$919,263 $858,925 
Jumbo certificates of deposit (1)
Less than one year$151,406 $94,955 
One year to two years26,215 22,557 
Two years to three years3,732 11,488 
Three years to four years690 322 
Over four years707 727 
Total jumbo certificates of deposit$182,750 $130,049 
Total certificates of deposit$1,102,013 $988,974 
(1)Represents certificates of deposit balances in excess of $250 thousand from individuals, businesses and municipalities.
The following table is a summary of interest expense on deposits by category:
Year Ended December 31,
(Dollars in thousands)202220212020
Interest-bearing demand$7,441 $2,262 $4,229 
Money market13,536 3,218 9,423 
Savings965 586 3,518 
Time deposits5,626 7,332 18,699 
Total customer interest expense$27,568 $13,398 $35,869 
Brokered deposits613 1,525 3,393 
Total interest expense on deposits$28,181 $14,923 $39,262