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DEPOSITS (Details) - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Summary of deposits [Abstract]    
Non-interest-bearing demand deposits $ 653,166 $ 733,329
Interest-bearing demand deposits 291,138 271,645
Insured money market deposits 623,714 640,840
Savings deposits 249,144 279,029
Certificates of deposits $250,000 or less 365,058 272,182
Certificates of deposits greater than $250,000 76,804 31,547
Brokered deposits 142,776 73,452
Other time deposits 27,627 25,203
Total deposits 2,429,427 $ 2,327,227
Scheduled maturities of time deposits [Abstract]    
2024 578,675  
2025 13,244  
2026 4,313  
2027 11,688  
2028 1,395  
2029 2,950  
Total 612,265  
Brokered deposit maturities in year one 133,300  
Brokered deposit maturities in year four $ 9,500