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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2023
Deposits [Abstract]  
Schedule of Company's interest-bearing deposits
The Company’s deposits are summarized below:
(dollars in thousands)December 31, 2023December 31, 2022
Noninterest-bearing deposits$1,072,407 $994,954 
Interest-bearing deposits:
Interest-bearing demand1,145,092 1,139,150 
Money market803,381 555,425 
Savings608,424 634,527 
Time627,253 262,968 
Brokered144,880 — 
Total interest-bearing deposits3,329,030 2,592,070 
Total deposits$4,401,437 $3,587,024 
Schedule of interest expense on deposits
The components of interest expense on deposits are as follows:
Year Ended December 31,
(dollars in thousands)202320222021
Interest-bearing demand$3,130 $607 $518 
Money market7,352 813 437 
Savings1,033 208 188 
Time10,784 883 1,329 
Brokered2,836 — — 
Total interest expense on deposits$25,135 $2,511 $2,472 
Time Deposit Maturities
At December 31, 2023, the scheduled maturities of time and brokered time deposits are as follows (dollars in thousands):
Year ended December 31,
2024$676,895 
202576,274 
202610,593 
20274,992 
20283,255 
Thereafter124 
Total$772,133