v3.25.2
Deposits (Tables)
6 Months Ended
Jun. 30, 2025
Deposits [Abstract]  
Schedule Of Total Deposits

(In thousands)

June 30, 2025

December 31, 2024

Interest-bearing checking

$

1,087,621

$

993,219

Savings

3,654

3,052

Money market

396,195

335,526

Time, $250,000 or more

38,052

51,009

Other time

8,718

23,459

Non-reciprocal brokered (1)

25,001

70,763

Total interest-bearing deposits

1,559,241

1,477,028

Noninterest-bearing deposits

443,540

414,327

Total deposits

$

2,002,781

$

1,891,355

(1) FDIC regulations impose a general cap on reciprocal deposits that may be exempt from brokered deposits classification equal to 20% of the Bank's total liabilities. As of June 30, 2025 and December 31, 2024, an additional $495.4 million and $470.0 million of our deposits were considered brokered deposits by the FDIC due to being in excess of the general cap, respectively.

Schedule Of Maturities Of Time Deposits

(In thousands)

2025

$

36,596

2026

8,991

2027

51

2028

2029 and after

1,132

Total time deposits

$

46,770

Interest Expense Recognized On Interest-Bearing Deposits

Three Months Ended June 30,

Six Months Ended June 30,

(In thousands)

2025

2024

2025

2024

Interest-bearing checking

$

9,483

$

8,032

$

18,013

$

15,471

Savings

10

12

19

25

Money market

3,084

2,586

5,946

4,843

Time, $250,000 or more

324

422

671

691

Other time

76

613

287

899

Non-reciprocal brokered

692

1,829

1,560

3,599

Total interest-bearing deposits

$

13,669

$

13,494

$

26,496

$

25,528