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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2021
DEPOSITS  
Schedule of Company's interest-bearing deposits

December 31, 2021

    

December 31, 2020

(dollars in thousands)

Noninterest-bearing deposits

$

1,087,659

$

882,939

Interest-bearing deposits:

Interest-bearing demand

1,105,949

968,592

Money market

583,198

462,056

Savings

633,171

517,473

Time

328,208

299,474

Total interest-bearing deposits

2,650,526

2,247,595

Total deposits

$

3,738,185

$

3,130,534

Scheduled maturities of time deposits

Year ended December 31, 

    

2022

$

235,100

2023

64,106

2024

13,179

2025

9,042

2026

6,562

Thereafter

219

Total

$

328,208

Schedule of interest expense on deposits

Year Ended December 31, 

    

2021

2020

    

2019

(dollars in thousands)

Interest-bearing demand

$

518

$

647

$

1,474

Money market

437

697

1,837

Savings

188

196

278

Time

1,329

2,681

4,343

Total interest expense on deposits

$

2,472

$

4,221

$

7,932