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Regulatory Capital (Tables)
12 Months Ended
Dec. 31, 2023
Regulatory Capital Disclosure [Abstract]  
Schedule of Compliance with Regulatory Capital
The following table summarizes regulatory capital information at December 31, 2023 and 2022 for Synovus and Synovus Bank.
Actual Capital
Minimum Requirement For Capital Adequacy(1)
To Be Well-Capitalized Under Prompt Corrective Action Provisions(2)
(dollars in thousands)202320222023202220232022
Synovus Financial Corp.
CET1 capital$5,206,521 $4,926,194 $2,291,552 $2,302,824 N/AN/A
Tier 1 risk-based capital5,743,666 5,463,339 3,055,403 3,070,432 N/AN/A
Total risk-based capital6,654,224 6,415,681 4,073,871 4,093,909 N/AN/A
CET1 capital ratio10.22 %9.63 %4.50 %4.50 %N/AN/A
Tier 1 risk-based capital ratio 11.28 10.68 6.00 6.00 N/AN/A
Total risk-based capital ratio13.07 12.54 8.00 8.00 N/AN/A
Leverage ratio9.49 9.07 4.00 4.00 N/AN/A
Synovus Bank
CET1 capital$5,559,624 $5,446,703 $2,288,092 $2,300,126 $3,305,022 $3,322,404 
Tier 1 risk-based capital5,559,624 5,446,703 3,050,789 3,066,835 4,067,719 4,089,113 
Total risk-based capital6,249,947 6,079,152 4,067,719 4,089,113 5,084,649 5,111,391 
CET1 capital ratio10.93 %10.66 %4.50 %4.50 %6.50 %6.50 %
Tier 1 risk-based capital ratio10.93 10.66 6.00 6.00 8.00 8.00 
Total risk-based capital ratio12.29 11.89 8.00 8.00 10.00 10.00 
Leverage ratio9.21 9.06 4.00 4.00 5.00 5.00 
(1)    The additional capital conservation buffer in effect is 2.5%.
(2)    The prompt corrective action provisions are applicable at the bank level only.