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DEPOSITS - Balances (Details) - USD ($)
$ in Thousands
Mar. 31, 2024
Dec. 31, 2023
Deposit Liabilities    
Total interest-bearing deposits $ 4,061,133 $ 3,376,165
Total non interest-bearing deposits 1,359,516 1,676,998
Total deposits 5,420,649 5,053,163
Core Banking Activities    
Deposit Liabilities    
Demand 1,179,771 1,158,051
Money market accounts 1,078,549 1,007,356
Savings 355,260 263,238
Reciprocal money market 221,779 188,078
Individual retirement accounts 34,208 33,793
Time deposits, $250 and over 113,096 101,787
Other certificates of deposit 239,258 225,614
Reciprocal time deposits 90,857 90,857
Wholesale brokered deposits 349,298 88,767
Total interest-bearing deposits 3,662,076 3,157,541
Total non interest-bearing deposits 1,180,237 1,239,466
Total deposits 4,842,313 4,397,007
Republic Processing Group    
Deposit Liabilities    
Money market accounts 19,380 18,664
Interest-bearing prepaid card deposits 379,677  
Wholesale brokered deposits   199,960
Total interest-bearing deposits 399,057 218,624
Non-interest Bearing Prepaid Card Deposits   318,769
Other noninterest-bearing deposits 179,279 118,763
Total non interest-bearing deposits 179,279 437,532
Total deposits $ 578,336 $ 656,156