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Deposits (Schedule of Deposit Balances by Type) (Details) - USD ($)
Jun. 30, 2023
Dec. 31, 2022
Deposits [Abstract]    
Demand Deposit Accounts $ 404,012,000 $ 520,226,000
NOW 111,701,000 145,533,000
Regular savings 159,940,000 141,802,000
Money market deposits 530,964,000 318,417,000
Certificate accounts of $250,000 or more 20,869,000 11,449,000
Certificate accounts less than $250,000 220,600,000 142,155,000
Total interest-bearing 1,044,074,000 759,356,000
Total deposits 1,448,086,000 1,279,582,000
Banking as a service, noninterest-bearing deposits 37,800,000 25,300,000
Banking as a Service, interest-Bearing deposits 197,900,000 0
Digital Asset Deposits, Noninterest Bearing Deposits 20,800,000 55,200,000
Digital Asset Deposits, Interest Bearing Deposits $ 4,400,000 $ 22,200,000
Percentage of FDIC insured deposits 53.00% 55.00%
Percentage of DIF deposits 47.00% 45.00%