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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2021
DEPOSITS.  
Schedule of company's deposits

The following table sets forth the balance of the Company’s deposits:

AT  DECEMBER 31, 

    

2021

    

2020

(IN THOUSANDS)

Demand:

 

  

 

  

Non-interest bearing

$

211,106

$

177,533

Interest bearing

 

235,582

 

200,969

Savings

 

133,163

 

112,353

Money market

 

267,202

 

219,919

Certificates of deposit

 

292,325

 

344,146

Total deposits

$

1,139,378

$

1,054,920

Schedule of time deposit maturities

The following table sets forth the balance of certificates of deposit as of December 31, 2021 maturing in the periods presented:

 

CERTIFICATES OF

 

YEAR:

    

DEPOSIT 

    

 

(IN THOUSANDS)

2022

$

182,694

2023

 

55,286

2024

 

19,827

2025

 

13,542

2026

 

8,330

2027 and after

 

12,646

Total

$

292,325