v3.25.1
Deposits (Tables)
3 Months Ended
Mar. 31, 2025
Banking and Thrift, Interest [Abstract]  
Schedule of Deposit Liabilities
Deposits are summarized as follows as of the periods indicated:
(Dollars in thousands)March 31, 2025December 31, 2024
Non-interest checking$1,028,326 $1,077,998 
Interest-bearing checking715,517 699,671 
Savings284,960 270,367 
Money market1,437,907 1,454,443 
CDs $250,000 or less 393,890 377,958 
CDs greater than $250,000290,068 307,261 
Total customer deposits
4,150,668 4,187,698 
Brokered deposits(1)
149,975 — 
Deposits$4,300,643 $4,187,698 
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(1)Brokered CDs which are individually $250,000 and under.