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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2023
Deposits [Abstract]  
Summary of Deposits
A summary of deposits at December 31, 2023 and 2022 is as follows (in thousands):
 20232022
Non-interest-bearing demand deposits$653,166 $733,329 
Interest-bearing demand deposits291,138 271,645 
Insured money market deposits 623,714 640,840 
Savings deposits249,144 279,029 
Certificates of deposits $250,000 or less365,058 272,182 
Certificates of deposits greater than $250,00076,804 31,547 
Brokered deposits 1
142,776 73,452 
Other time deposits 2
27,627 25,203 
  Total$2,429,427 $2,327,227 
1 Brokered deposits which are individually $250,000 and under.
2 Includes Individual Retirement Accounts and Christmas Club Accounts.
Scheduled Maturities of Time Deposits
Scheduled maturities of time deposits at December 31, 2023, are summarized as follows (in thousands):
YearMaturities
2024 1
$578,675 
202513,244 
20264,313 
2027 2
11,688 
20281,395 
20292,950 
  Total$612,265 
1 $133.3 million of 2024 maturities represent brokered deposits.
2 $9.5 million of 2027 maturities represent brokered deposits which are
callable by the Corporation on February 28, 2024 and monthly thereafter.