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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
Mar. 31, 2013
Mar. 31, 2012
Dec. 31, 2012
Financing Receivable, Allowance for Credit Losses [Line Items]      
Individually evaluated for impairment $ 10,035,000   $ 10,556,000
Collectively evaluated for impairment 468,108,000   465,604,000
Total Loans 479,191,000   477,229,000
Beginning balance, 5,502,000 5,458,000  
Charge Offs 582,000 196,000  
Recoveries 6,000 6,000  
Provision for loan losses 800,000 350,000  
Ending balance, 5,726,000 5,618,000  
Ending balance individually evaluated for impairment   1,073,000  
Loans acquired with deteriorated credit quality 1,049,000   1,069,000
Ending balance collectively evaluated for impairment 5,726,000 4,545,000  
Loan Losses in Hospitality Industry 0    
Gross Realized Gains on Loans 18,000 5,000  
Gross Realized Losses on Loans 7,000 0  
Proceeds from Sale of Residential Mortgage Loans 1,100,000 128,000,000,000  
Customer Concentration Risk: Hospitality Lodging Industry [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Concentration Risk, Loans Outstanding 40,200,000    
Concentration Risk, Percentage of Capital 43.30%    
Customer Concentration Risk: Property Owners Associations [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Concentration Risk, Loans Outstanding 10,800,000    
Concentration Risk, Percentage of Capital 11.60%    
Customer Concentration Risk: Bars And Restaurants [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Concentration Risk, Loans Outstanding 10,200,000    
Concentration Risk, Percentage of Capital 11.00%    
Residential Real Estate Loans [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Collectively evaluated for impairment 153,169,000   149,773,000
Total Loans     150,043,000
Beginning balance, 1,797,000 1,257,000  
Charge Offs 250,000 61,000  
Recoveries   1,000  
Provision for loan losses 427,000 2,000  
Ending balance, 1,974,000 1,199,000  
Loans acquired with deteriorated credit quality 253,000   270,000
Ending balance collectively evaluated for impairment 1,974,000 1,199,000  
Commercial Real Estate Loans [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Individually evaluated for impairment 10,035,000   10,246,000
Collectively evaluated for impairment 259,823,000   263,439,000
Total Loans 270,654,000   274,484,000
Beginning balance, 3,183,000 3,838,000  
Charge Offs 313,000 103,000  
Provision for loan losses 420,000 272,000  
Ending balance, 3,290,000 4,007,000  
Ending balance individually evaluated for impairment   1,073,000  
Loans acquired with deteriorated credit quality 796,000   799,000
Ending balance collectively evaluated for impairment 3,290,000 2,934,000  
Construction Real Estate Loans [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Collectively evaluated for impairment 14,750,000   13,435,000
Total Loans 14,750,000   13,435,000
Beginning balance, 119,000 72,000  
Provision for loan losses 5,000 3,000  
Ending balance, 124,000 75,000  
Ending balance collectively evaluated for impairment 124,000 75,000  
Commercial Loans [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Individually evaluated for impairment     310,000
Collectively evaluated for impairment 26,443,000   24,803,000
Total Loans 26,443,000   25,113,000
Beginning balance, 223,000 147,000  
Provision for loan losses (47,000) 44,000  
Ending balance, 176,000 191,000  
Ending balance collectively evaluated for impairment 176,000 191,000  
Consumer Loans [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Collectively evaluated for impairment 13,922,000   14,154,000
Total Loans 13,922,000   14,154,000
Beginning balance, 180,000 144,000  
Charge Offs 19,000 32,000  
Recoveries 6,000 5,000  
Provision for loan losses (5,000) 29,000  
Ending balance, 162,000 146,000  
Ending balance collectively evaluated for impairment $ 162,000 $ 146,000