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Deposits
12 Months Ended
Dec. 31, 2019
Deposits [Abstract]  
Deposits

Note 14—Deposits

The following is a summary of the Company’s deposits as of December 31, 2019 and 2018:

 

 

 

2019

 

 

2018

 

Non-interest-bearing demand deposits

 

$

1,279,641

 

 

$

1,192,873

 

Interest-bearing checking accounts

 

 

338,185

 

 

 

296,339

 

Money market demand accounts

 

 

881,387

 

 

 

640,401

 

Other savings

 

 

475,839

 

 

 

476,418

 

Time deposits (below $250,000)

 

 

916,723

 

 

 

911,603

 

Time deposits ($250,000 and above)

 

 

255,802

 

 

 

232,282

 

Total deposits

 

$

4,147,577

 

 

$

3,749,916

 

 

Time deposits of $250,000 or more included $41.0 million and $50.0 million of brokered deposits at December 31, 2019 and 2018, respectively.

At December 31, 2019, the scheduled maturities of time deposits were as follows:

 

 

 

Scheduled Maturities

 

2020

 

$

1,091,183

 

2021

 

 

60,398

 

2022

 

 

12,324

 

2023

 

 

6,661

 

2024

 

 

1,959

 

Total

 

$

1,172,525