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Deposits
12 Months Ended
Dec. 31, 2022
Deposit Liabilities [Abstract]  
Deposits Deposits    The following table sets forth the details of total deposits.
(dollars in thousands)December 31, 2022December 31, 2021
Balance% of TotalBalance% of Total
Noninterest-bearing demand$2,113,289 24.7 %$1,732,452 24.9 %
Interest-bearing checking3,079,249 35.9 %2,219,658 31.9 %
Money market1,192,353 13.9 %1,577,385 22.6 %
Savings974,403 11.4 %677,101 9.7 %
Certificates of deposit $250 thousand and under901,505 10.5 %623,393 8.9 %
Certificates of deposit over $250 thousand306,672 3.6 %135,834 2.0 %
Total deposits$8,567,471 100.0 %$6,965,823 100.0 %
At December 31, 2022, the schedule of maturities of certificates of deposit is as follows:
(in thousands) 
2023$909,914 
2024238,086 
202546,783 
202611,745 
20271,649 
Total$1,208,177 
At December 31, 2022 and 2021, certificates of deposit obtained through brokers totaled $33.1 million and $114.3 million, respectively.
Interest expense on deposits is as follows:
(in thousands)202220212020
Checking accounts$21,899 $4,591 $9,095 
Money market accounts11,084 6,226 8,301 
Savings2,410 334 325 
Certificates of deposit8,860 5,642 14,338 
Total$44,253 $16,793 $32,059