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Deposits (Schedule of Time Certifcates of Deposit Maturities) (Details) - USD ($)
$ in Thousands
Dec. 31, 2021
Dec. 31, 2020
Schedule Maturity Abstract]    
Time Deposits Scheduled Maturity, Next Twelve Months $ 1,004,817  
Time Deposits Scheduled Maturity, Year Two 175,858  
Time Deposits Scheduled Maturity, Year Three 22,280  
Time Deposits Scheduled Maturity, Year Four 41,760  
Time Deposits Scheduled Maturity, Year Five 43,896  
Time Deposits Scheduled Maturity, Thereafter 0  
Time deposits [1] $ 1,288,611 $ 1,296,396
Weighted Average Rate [Abstract]    
Time Deposits Weighted Average Rate, Next Twelve Months 0.52%  
Time Deposits Weighted Average Rate, Year Two 1.17%  
Time Deposits Weighted Average Rate, Year Three 1.37%  
Time Deposits Weighted Average Rate, Year Four 1.15%  
Time Deposits Weighted Average Rate, Year Five 1.02%  
Time Deposits Weighted Average Rate, Thereafter 0.00%  
Total Time Deposits Weighted Average Rate 0.66%  
[1] Includes wholesale brokered time deposit balances of $515,228 and $591,541, respectively, as of December 31, 2021 and December 31, 2020.