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DEPOSITS - Balances (Details) - USD ($)
$ in Thousands
Sep. 30, 2023
Dec. 31, 2022
Deposit Liabilities    
Total interest-bearing deposits $ 3,090,603 $ 2,629,077
Total non interest-bearing deposits 1,702,979 1,908,768
Total deposits 4,793,582 4,537,845
Core Banking Activities    
Deposit Liabilities    
Demand 1,233,328 1,336,082
Money market accounts 939,499 707,272
Savings 263,249 323,015
Reciprocal money market 206,347 28,635
Individual retirement accounts 33,823 38,640
Time deposits, $250 and over 94,521 54,855
Other certificates of deposit 207,481 129,324
Reciprocal time deposits 94,629 7,405
Wholesale brokered deposits 805  
Total interest-bearing deposits 3,073,682 2,625,228
Total non interest-bearing deposits 1,269,643 1,464,493
Total deposits 4,343,325 4,089,721
Republic Processing Group    
Deposit Liabilities    
Money market accounts 16,921 3,849
Total interest-bearing deposits 16,921 3,849
Brokered prepaid cards deposits 326,505 328,655
Other noninterest-bearing deposits 106,831 115,620
Total non interest-bearing deposits 433,336 444,275
Total deposits $ 450,257 $ 448,124