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DEPOSITS - Balances (Details) - USD ($)
$ in Thousands
Mar. 31, 2026
Dec. 31, 2025
Mar. 31, 2025
Deposit Liabilities      
Total interest-bearing deposits $ 4,233,693 $ 4,029,686  
Total non interest-bearing deposits 1,275,427 1,173,461  
Total deposits 5,509,120 5,203,147 $ 5,405,892
Core Bank      
Deposit Liabilities      
Demand 1,175,575 1,128,255  
Money market 1,555,972 1,497,561  
Savings 221,260 217,723  
Reciprocal money market 252,769 224,731  
Individual retirement accounts 34,762 34,349  
Time deposits, $250 and over 178,577 156,283  
Other certificates of deposit 297,236 290,087  
Reciprocal time deposits 68,689 70,729  
Wholesale brokered deposits 87,449 87,420  
Total interest-bearing deposits 3,872,289 3,707,138  
Total non interest-bearing deposits 1,164,411 1,102,041  
Total deposits 5,036,700 4,809,179 4,781,873
Republic Processing Group      
Deposit Liabilities      
Money market 24,693 22,973  
Wholesale brokered deposits 17,066 12,734  
Interest-bearing prepaid card deposits 319,645 286,841  
Total interest-bearing deposits 361,404 322,548  
Noninterest-bearing prepaid card deposits 6,919 5,228  
Other noninterest-bearing deposits 104,097 66,192  
Total non interest-bearing deposits 111,016 71,420  
Total deposits $ 472,420 $ 393,968 $ 624,019