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Loans (Changes In The Allowance For Loan Losses) (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Sep. 30, 2013
Dec. 31, 2013
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance $ 27,166   $ 26,736    
Charge-offs 3,183   9,107    
Recoveries 1,246   3,736    
Provision (credit) 2,015   5,879    
Loans, Ending balance 1,876,375 1,748,626 1,876,375 1,748,626 1,802,105
Loans, Individually Evaluated for impairment 5,718 6,913 5,718 6,913  
Loans, Collectively Evaluated for impairment 1,870,657 1,741,713 1,870,657 1,741,713  
Ending balance 27,244 26,685 27,244 26,685  
Allowance for loan losses, Individually Evaluated for impairment 1,600 1,252 1,600 1,252  
Allowance for loan losses, Collectively Evaluated for impairment 25,644 25,433 25,644 25,433  
Commercial Business [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance 5,402 4,755 4,273 4,884  
Charge-offs 105 163 176 694  
Recoveries 61 59 158 301  
Provision (credit) 400 (241) 1,503 (81)  
Loans, Ending balance 275,027 253,928 275,027 253,928 265,751
Loans, Individually Evaluated for impairment 3,258 4,078 3,258 4,078  
Loans, Collectively Evaluated for impairment 271,769 249,850 271,769 249,850  
Ending balance 5,758 4,410 5,758 4,410  
Allowance for loan losses, Individually Evaluated for impairment 1,331 649 1,331 649  
Allowance for loan losses, Collectively Evaluated for impairment 4,427 3,761 4,427 3,761  
Commercial Mortgage [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance 7,633 7,125 7,743 6,581  
Charge-offs 111 35 276 144  
Recoveries 45 122 58 279  
Provision (credit) (79) 1,069 (37) 1,565  
Loans, Ending balance 470,566 450,602 470,566 450,602 470,312
Loans, Individually Evaluated for impairment 2,460 2,835 2,460 2,835  
Loans, Collectively Evaluated for impairment 468,106 447,767 468,106 447,767  
Ending balance 7,488 8,281 7,488 8,281  
Allowance for loan losses, Individually Evaluated for impairment 269 603 269 603  
Allowance for loan losses, Collectively Evaluated for impairment 7,219 7,678 7,219 7,678  
Residential Mortgage [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance 618 701 676 740  
Charge-offs 16 34 163 281  
Recoveries 5 12 34 42  
Provision (credit) (15) 50 45 228  
Loans, Ending balance 103,183 117,650 103,183 117,650 113,101
Loans, Collectively Evaluated for impairment 103,183 117,650 103,183 117,650  
Ending balance 592 729 592 729  
Allowance for loan losses, Collectively Evaluated for impairment 592 729 592 729  
Home Equity [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance 1,607 1,424 1,367 1,282  
Charge-offs 73 30 335 352  
Recoveries 7 16 47 126  
Provision (credit) 117 (27) 579 327  
Loans, Ending balance 376,062 311,521 376,062 311,521 320,658
Loans, Collectively Evaluated for impairment 376,062 311,521 376,062 311,521  
Ending balance 1,658 1,383 1,658 1,383  
Allowance for loan losses, Collectively Evaluated for impairment 1,658 1,383 1,658 1,383  
Consumer Indirect [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance 11,446 11,095 12,230 10,715  
Charge-offs 2,606 2,131 7,392 5,778  
Recoveries 1,029 666 3,129 2,230  
Provision (credit) 1,423 1,786 3,325 4,249  
Loans, Ending balance 630,441 591,242 630,441 591,242 609,390
Loans, Collectively Evaluated for impairment 630,441 591,242 630,441 591,242  
Ending balance 11,292 11,416 11,292 11,416  
Allowance for loan losses, Collectively Evaluated for impairment 11,292 11,416 11,292 11,416  
Other Consumer [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance 460 490 447 512  
Charge-offs 272 253 765 734  
Recoveries 99 96 310 304  
Provision (credit) 169 133 464 384  
Loans, Ending balance 21,096 23,683 21,096 23,683 22,893
Loans, Collectively Evaluated for impairment 21,096 23,683 21,096 23,683  
Ending balance 456 466 456 466  
Allowance for loan losses, Collectively Evaluated for impairment $ 456 $ 466 $ 456 $ 466