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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2023
Deposits [Abstract]  
Deposit Liabilities, Type
Deposits in the accompanying consolidated balance sheets are classified as follows (in thousands):
 December 31, 2023December 31, 2022
Noninterest bearing demand deposits:  
Private accounts$1,322,793 $1,607,952 
Public accounts67,614 63,610 
Total noninterest bearing demand deposits1,390,407 1,671,562 
Interest bearing deposits:  
Private accounts:  
Savings accounts602,050 672,676 
Money market demand accounts356,506 424,676 
Platinum money market accounts421,505 421,826 
Interest bearing checking accounts1,897,017 1,496,784 
NOW demand accounts14,507 13,601 
CDs of $250,000 or more232,343 120,387 
CDs under $250,000489,584 532,409 
Total private accounts4,013,512 3,682,359 
Public accounts:  
Savings accounts2,000 1,949 
Money market demand accounts31,808 33,871 
Platinum money market accounts498,079 365,720 
Interest bearing checking accounts75,573 89,320 
NOW demand accounts370,752 234,027 
CDs of $250,000 or more161,194 113,810 
CDs under $250,0006,356 5,401 
Total public accounts1,145,762 844,098 
Total interest bearing deposits5,159,274 4,526,457 
Total deposits$6,549,681 $6,198,019 
Time Deposit Maturities
At December 31, 2023, the scheduled maturities of CDs, including public accounts, were as follows (in thousands):
2024$758,980 
2025113,907 
20266,256 
20273,627 
20286,707 
2029 and thereafter— 
$889,477