Note 17 - Deposits
The table below shows the breakdown of deposits:
12/31/2017 | 12/31/2016 | |||||||||||||||||||||||
Current | Non-current | Total | Current | Non-current | Total | |||||||||||||||||||
Interest-bearing deposits |
204,363 | 129,599 | 333,962 | 187,882 | 80,399 | 268,281 | ||||||||||||||||||
Time deposits |
82,718 | 129,082 | 211,800 | 75,913 | 80,361 | 156,274 | ||||||||||||||||||
Interbank deposits |
1,665 | 517 | 2,182 | 3,719 | 38 | 3,757 | ||||||||||||||||||
Savings deposits |
119,980 | — | 119,980 | 108,250 | — | 108,250 | ||||||||||||||||||
Non-interest bearing deposits |
68,976 | — | 68,976 | 61,133 | — | 61,133 | ||||||||||||||||||
Demand deposits |
68,973 | — | 68,973 | 61,133 | — | 61,133 | ||||||||||||||||||
Others Deposits |
3 | — | 3 | — | — | — | ||||||||||||||||||
Total |
273,339 | 129,599 | 402,938 | 249,015 | 80,399 | 329,414 |