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Fair Value Of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2015
Fair Value Of Financial Instruments [Abstract]  
Summary Of The Carrying Values And Estimated Fair Values Of Financial Instruments
  Carrying     Level 1     Level 2   Level 3   Total
September 30, 2015   Value     Inputs     Inputs   Inputs   Fair Value
Financial Assets:                        
Cash and cash equivalents $ 12,336 $   12,336 $ - -- $ --- $ 12,336
Federal Home Loan Bank stock   23,593   - --     23,593   ---   23,593
Loans, net   966,913   - --     968,543   ---   968,543
Interest receivable   5,025   - --     5,025   ---   5,025
 
Financial liabilities:                        
Deposits (with no stated maturity) $ 538,664 $ - -- $   538,664 $ --- $ 538,664
Time deposits   472,230   - --     474,426   ---   474,426
Borrowings   395,606   - --     396,756   ---   396,756
Interest payable   483   - --     483   ---   483

 

    Carrying   Level 1     Level 2   Level 3   Total
December 31, 2014   Value   Inputs     Inputs   Inputs   Fair Value
Financial Assets:                      
Cash and cash equivalents $ 9,800 $ 9,800 $ - -- $ --- $ 9,800
Federal Home Loan Bank stock   21,354 - --     21,354   ---   21,354
Loans, net   910,055 - --     913,784   ---   913,784
Interest receivable   4,795 - --     4,975   ---   4,795
 
Financial liabilities:                      
Deposits (with no stated maturity) $ 479,986 $ --- $   479,986 $ --- $ 479,986
Time deposits   378,063 - --     379,132   ---   379,132
Borrowings   447,020 - --     447,637   ---   447,637
Interest payable   499 - --     499   ---   499