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DEPOSITS - Balances (Details) - USD ($)
$ in Thousands
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Deposit Liabilities      
Total interest-bearing deposits $ 4,002,782 $ 3,376,165  
Total non interest-bearing deposits 1,207,764 1,676,998  
Total deposits 5,210,546 5,053,163 $ 4,537,845
Core Banking Activities      
Deposit Liabilities      
Demand 1,166,517 1,158,051  
Money market accounts 1,295,024 1,007,356  
Savings 238,596 263,238  
Reciprocal money market 212,033 188,078  
Individual retirement accounts 34,543 33,793  
Time deposits, $250 and over 129,593 101,787  
Other certificates of deposit 239,643 225,614  
Reciprocal time deposits 80,016 90,857  
Wholesale brokered deposits 87,285 88,767  
Total interest-bearing deposits 3,483,250 3,157,541  
Total non interest-bearing deposits 1,123,208 1,239,466  
Total deposits 4,606,458 4,397,007 4,089,721
Republic Processing Group      
Deposit Liabilities      
Money market accounts 22,647 18,664  
Wholesale brokered deposits 199,964 199,960  
Interest-bearing prepaid card deposits 296,921    
Total interest-bearing deposits 519,532 218,624  
Noninterest-bearing prepaid card deposits 2,842 318,769  
Other noninterest-bearing deposits 81,714 118,763  
Total non interest-bearing deposits 84,556 437,532  
Total deposits $ 604,088 $ 656,156 $ 448,124