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Note 7 - Deposits
3 Months Ended
Mar. 31, 2025
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]

NOTE 7 – DEPOSITS

 

Deposits are summarized as follows at the dates indicated:

 

    March 31,     December 31,  
   

2025

   

2024

 

Noninterest-bearing checking

  $ 659,417     $ 627,679  

Interest-bearing checking (1)

    201,469       176,561  

Savings

    160,332       154,188  

Money market (2)

    343,349       341,615  

Certificates of deposit less than $100,000 (3)

    639,947       440,257  

Certificates of deposit of $100,000 through $250,000

    450,836       455,594  

Certificates of deposit greater than $250,000

    142,512       133,045  

Escrow accounts related to mortgages serviced (4)

    17,289       10,479  

Total

  $ 2,615,151     $ 2,339,418  

 


(1)

Includes $30.1 million of brokered deposits at  March 31, 2025 and none at  December 31, 2024.

(2)

Includes $251,000 and $279,000 of brokered deposits at March 31, 2025 and December 31, 2024, respectively.

(3)

Includes $339.9 million and $143.1 million of brokered deposits at March 31, 2025 and December 31, 2024, respectively.

(4)

Noninterest-bearing accounts.

 

 

 

Scheduled maturities of time deposits at March 31, 2025 for future periods ending are as follows:

 

Maturing in 2025

  $ 926,858  

Maturing in 2026

    257,596  

Maturing in 2027

    33,418  

Maturing in 2028

    11,274  

Maturing in 2029 and thereafter

    4,149  

Total

  $ 1,233,295  

 

Interest expense by deposit category for the periods indicated is as follows:

 

   

Three Months Ended March 31,

 
   

2025

   

2024

 

Interest-bearing checking

  $ 711     $ 784  

Savings and money market

    1,925       1,661  

Certificates of deposit

    10,422       10,437  

Total

  $ 13,058     $ 12,882