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Deposits (Schedule Of Deposits) (Details) - USD ($)
$ in Thousands
Mar. 31, 2023
Dec. 31, 2022
Deposits, by Type [Abstract]    
Non-interest-bearing deposits $ 599,763 $ 630,120
Noninterest bearing deposit liabilities, percent 27.84% 30.17%
Interest-bearing deposit, Amount    
Demand $ 697,312 $ 638,876
Money market deposits 305,329 347,872
Savings 121,007 124,533
Certificates of deposit 430,912 347,062
Total interest-bearing 1,554,560 1,458,343
Total deposits $ 2,154,323 $ 2,088,463
Interest-bearing deposit, percent    
Demand 32.37% 30.59%
Money market deposits 14.17% 16.66%
Savings 5.62% 5.96%
Certificates of deposit 20.00% 16.62%
Total interest-bearing 72.16% 69.83%
Total Deposits 100.00% 100.00%