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DEPOSITS
12 Months Ended
Dec. 31, 2023
Deposits [Abstract]  
DEPOSITS
Deposits consist of the following at December 31, 2023 and 2022 (in thousands):
 December 31
 20232022
Non-interest-bearing checking$4,792,369 $6,176,998 
Interest-bearing checking2,098,526 1,811,153 
Regular savings accounts2,980,530 2,710,090 
Money market accounts1,680,605 2,198,288 
Total interest-bearing transaction and savings accounts6,759,661 6,719,531 
Certificates of deposit:  
Certificates of deposit greater than or equal to $250,000473,124 178,324 
Certificates of deposit less than $250,0001,004,343 545,206 
Total certificates of deposit1,477,467 723,530 
Total deposits$13,029,497 $13,620,059 
Included in total deposits:  
Public fund transaction accounts$356,615 $392,859 
Public fund interest-bearing certificates52,048 26,810 
Total public deposits$408,663 $419,669 
Total brokered deposits$108,058 $— 

Deposits at December 31, 2023 and 2022 included deposits from the Company’s directors, executive officers and related entities totaling $9.2 million and $9.7 million, respectively.
Scheduled maturities and weighted average interest rates of certificates of deposits at December 31, 2023 are as follows (dollars in thousands):
 December 31, 2023
 AmountWeighted Average Rate
Maturing in one year or less$1,399,873 3.66 %
Maturing after one year through two years49,579 2.02 
Maturing after two years through three years19,824 0.67 
Maturing after three years through four years3,574 0.35 
Maturing after four years through five years3,922 0.72 
Maturing after five years695 0.72 
Total certificates of deposit$1,477,467 3.55 %