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Deposits (Schedule Of Deposits) (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Dec. 31, 2022
Deposits [Abstract]      
Noninterest-bearing checking $ 298,008   $ 299,231
Interest-bearing checking 461,228   496,533
Money Management 544,379   569,585
Savings 124,920   128,709
Total interest-bearing checking and savings 1,130,527   1,194,827
Time deposits 73,575   57,390
Total deposits 1,502,110   1,551,448
Overdrawn deposit accounts reclassified as loans 79   $ 103
Increase (Decrease) in Deposits [Abstract]      
Change, Noninterest-Bearing checking (1,223)    
Change, Interest-bearing checking (35,305)    
Change, Money management (25,206)    
Change, Savings (3,789)    
Change, Interest-bearing Checking and Savings (64,300)    
Change, Time Deposit 16,185 $ (5,002)  
Total Deposits $ (49,338)    
Percentage change in deposits [Abstract]      
Percentage Chagne in Noninterest-bearing checking (0.40%)    
Percentage Chagne in Interest-bearing checking (7.10%)    
Percentage Chagne in Money Management (4.40%)    
Percentage Chagne in Savings (2.90%)    
Percentage Change in interest-bearing checking and savings (5.40%)    
Percentage Change in Time deposits 28.20%    
Percentage Change in Total deposits (3.20%)