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Loans Receivable and Allowance for Loan Losses (Allowance for Loan Losses and Recorded Investment in Financing Receivables) (Details) (USD $)
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Dec. 31, 2011
Financing Receivable, Allowance for Credit Losses [Line Items]          
Individually evaluated for impairment $ 11,394,000   $ 11,394,000   $ 12,384,000
Loans acquired with deteriorated credit quality 1,228,000   1,228,000   1,246,000
Collectively evaluated for impairment 467,377,000   467,377,000   444,699,000
Total Loans 479,999,000   479,999,000   458,329,000
Beginning balance, 5,775,000 5,267,000 5,458,000 5,616,000  
Charge Offs (1,350,000) (384,000) (1,794,000) (1,417,000)  
Recoveries 16,000 37,000 27,000 71,000  
Provision for loan losses 900,000 425,000 1,650,000 1,075,000  
Ending balance, 5,341,000 5,345,000 5,341,000 5,345,000  
Ending balance individually evaluated for impairment 89,000 1,322,000 89,000 1,322,000  
Ending balance collectively evaluated for impairment 5,252,000 4,023,000 5,252,000 4,023,000  
Loan Losses in Hospitality Industry     0    
Gross Realized Gains on Loans 88,000 81,000 163,000 240,000  
Gross Realized Losses on Loans 0 21,000 0 21,000  
Proceeds from Sale of Residential Mortgage Loans 2,200,000 2,200,000 4,500,000 9,000,000  
Residential Real Estate Loans [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Loans acquired with deteriorated credit quality 271,000   271,000   343,000
Collectively evaluated for impairment 147,785,000   147,785,000   147,805,000
Total Loans 148,056,000   148,056,000   148,148,000
Beginning balance, 1,559,000 1,096,000 1,257,000 1,167,000  
Charge Offs (94,000) (146,000) (402,000) (372,000)  
Recoveries 5,000 18,000 6,000 25,000  
Provision for loan losses 227,000 185,000 836,000 333,000  
Ending balance, 1,697,000 1,153,000 1,697,000 1,153,000  
Ending balance collectively evaluated for impairment 1,697,000 1,153,000 1,697,000 1,153,000  
Commercial Real Estate Loans [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Individually evaluated for impairment 11,157,000   11,157,000   11,786,000
Loans acquired with deteriorated credit quality 957,000   957,000   903,000
Collectively evaluated for impairment 261,967,000   261,967,000   249,787,000
Total Loans 274,081,000   274,081,000   262,476,000
Beginning balance, 3,691,000 3,675,000 3,838,000 3,976,000  
Charge Offs (1,220,000) (199,000) (1,316,000) (963,000)  
Recoveries 1,000   1,000    
Provision for loan losses 645,000 319,000   782,000  
Ending balance, 3,117,000 3,795,000 3,117,000 3,795,000  
Ending balance individually evaluated for impairment 89,000 1,322,000 89,000 1,322,000  
Ending balance collectively evaluated for impairment 3,028,000 2,473,000 3,028,000 2,473,000  
Construction Real Estate Loans [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Collectively evaluated for impairment 14,819,000   14,819,000   11,087,000
Total Loans 14,819,000   14,819,000   11,087,000
Beginning balance, 87,000 91,000 72,000 110,000  
Charge Offs     (7,000)    
Provision for loan losses (12,000) (10,000) 10,000 (29,000)  
Ending balance, 75,000 81,000 75,000 81,000  
Ending balance collectively evaluated for impairment 75,000 81,000 75,000 81,000  
Commercial Loans [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Individually evaluated for impairment 237,000   237,000   598,000
Collectively evaluated for impairment 28,291,000   28,291,000   22,086,000
Total Loans 28,528,000   28,528,000   22,684,000
Beginning balance, 263,000 258,000 147,000 171,000  
Charge Offs (23,000)   (23,000) (2,000)  
Recoveries       5,000  
Provision for loan losses 42,000 (104,000) 158,000 (20,000)  
Ending balance, 282,000 154,000 282,000 154,000  
Ending balance collectively evaluated for impairment 282,000 154,000 282,000 154,000  
Consumer Loans [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Collectively evaluated for impairment 14,515,000   14,515,000   13,934,000
Total Loans 14,515,000   14,515,000   13,934,000
Beginning balance, 175,000 147,000 144,000 192,000  
Charge Offs (13,000) (39,000) (46,000) (80,000)  
Recoveries 10,000 19,000 20,000 41,000  
Provision for loan losses (2,000) 35,000 52,000 9,000  
Ending balance, 170,000 162,000 170,000 162,000  
Ending balance collectively evaluated for impairment $ 170,000 $ 162,000 $ 170,000 $ 162,000