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LOANS (Details 3) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Dec. 31, 2019
Sep. 30, 2019
Jun. 30, 2019
Mar. 31, 2019
Dec. 31, 2018
Sep. 30, 2018
Jun. 30, 2018
Mar. 31, 2018
Dec. 31, 2017
Sep. 30, 2017
Jun. 30, 2017
Mar. 31, 2017
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Activity in the allowance for loan losses                              
Balance at the beginning of the period       $ 6,263       $ 5,797       $ 5,214 $ 6,263 $ 5,797 $ 5,214
Charge-offs                         (145) (164) (173)
Recoveries                         370 284 226
Provisions $ 25 $ 9 105 $ 94 $ 20 $ 30 202 $ 170 $ 166 $ 78 116 139 346 530
Balance at end of the period 6,627       6,263       5,797       6,627 6,263 5,797
Allowance for loan losses                              
Individually evaluated for impairment 6       14       27       6 14 27
Collectively evaluated for impairment 6,621       6,249       5,770       6,621 6,249 5,770
Loans receivable:                              
Ending balance-total 737,028       718,462       646,805       737,028 718,462 646,805
Individually evaluated for impairment 3,997       4,381       5,155       3,997 4,381 5,155
Collectively evaluated for impairment 733,031       714,081       641,650       733,031 714,081 641,650
Commercial Financial and Agricultural Loans [Member]                              
Activity in the allowance for loan losses                              
Balance at the beginning of the period       430       221       145 430 221 145
Charge-offs                         (12) (5)
Recoveries                         3 3 5
Provisions                         6 206 76
Balance at end of the period 427       430       221       427 430 221
Allowance for loan losses                              
Individually evaluated for impairment                  
Collectively evaluated for impairment 427       430       221       427 430 221
Loans receivable:                              
Ending balance-total 51,805       53,933       51,040       51,805 53,933 51,040
Individually evaluated for impairment 400                   400
Collectively evaluated for impairment 51,405       53,933       51,040       51,405 53,933 51,040
Real Estate Construction Loans [Member]                              
Activity in the allowance for loan losses                              
Balance at the beginning of the period       89       101       104 89 101 104
Charge-offs                        
Recoveries                        
Provisions                         22 (12) (3)
Balance at end of the period 111       89       101       111 89 101
Allowance for loan losses                              
Individually evaluated for impairment                  
Collectively evaluated for impairment 111       89       101       111 89 101
Loans receivable:                              
Ending balance-total 73,512       58,440       45,401       73,512 58,440 45,401
Individually evaluated for impairment                  
Collectively evaluated for impairment 73,512       58,440       45,401       73,512 58,440 45,401
Real estate Mortgage-residential [Member]                              
Activity in the allowance for loan losses                              
Balance at the beginning of the period       431       461       438 431 461 438
Charge-offs                         (12) (1)
Recoveries                         4 5
Provisions                         (52) (33) 18
Balance at end of the period 367       431       461       367 431 461
Allowance for loan losses                              
Individually evaluated for impairment             2       2
Collectively evaluated for impairment 367       431       459       367 431 459
Loans receivable:                              
Ending balance-total 45,357       52,764       46,901       45,357 52,764 46,901
Individually evaluated for impairment 392       322       413       392 322 413
Collectively evaluated for impairment 44,965       52,442       46,488       44,965 52,442 46,488
Real estate Mortgage-commercial [Member]                              
Activity in the allowance for loan losses                              
Balance at the beginning of the period       4,318       3,077       2,793 4,318 3,077 2,793
Charge-offs                         (30)
Recoveries                         307 210 172
Provisions                         (23) 1,031 142
Balance at end of the period 4,602       4,318       3,077       4,602 4,318 3,077
Allowance for loan losses                              
Individually evaluated for impairment 6       14       25       6 14 25
Collectively evaluated for impairment 4,596       4,304       3,052       4,596 4,304 3,052
Loans receivable:                              
Ending balance-total 527,447       513,833       460,276       527,447 513,833 460,276
Individually evaluated for impairment 3,135       4,030       4,742       3,135 4,030 4,742
Collectively evaluated for impairment 524,312       509,803       455,534       524,312 509,803 455,534
Consumer Home Equity Line of Credit [Member]                              
Activity in the allowance for loan losses                              
Balance at the beginning of the period       261       308       153 261 308 153
Charge-offs                         (1) (23) (7)
Recoveries                         15 6 24
Provisions                         (35) (30) 138
Balance at end of the period 240       261       308       240 261 308
Allowance for loan losses                              
Individually evaluated for impairment                  
Collectively evaluated for impairment 240       261       308       240 261 308
Loans receivable:                              
Ending balance-total 28,891       29,583       32,451       28,891 29,583 32,451
Individually evaluated for impairment 70       29             70 29
Collectively evaluated for impairment 28,821       29,554       32,451       28,821 29,554 32,451
Consumer Other Financing Receivable [Member]                              
Activity in the allowance for loan losses                              
Balance at the beginning of the period       88       35       127 88 35 127
Charge-offs                         (120) (140) (131)
Recoveries                         45 61 20
Provisions                         84 132 19
Balance at end of the period 97       88       35       97 88 35
Allowance for loan losses                              
Individually evaluated for impairment                  
Collectively evaluated for impairment 97       88       35       97 88 35
Loans receivable:                              
Ending balance-total 10,016       9,909       10,736       10,016 9,909 10,736
Individually evaluated for impairment                  
Collectively evaluated for impairment 10,016       9,909       10,736       10,016 9,909 10,736
Unallocated Financing Receivables [Member]                              
Activity in the allowance for loan losses                              
Balance at the beginning of the period       $ 646       $ 1,594       $ 1,454 646 1,594 1,454
Charge-offs                        
Recoveries                        
Provisions                         137 (948) 140
Balance at end of the period 783       646       1,594       783 646 1,594
Allowance for loan losses                              
Individually evaluated for impairment                  
Collectively evaluated for impairment 783       646       1,594       783 646 1,594
Loans receivable:                              
Ending balance-total                  
Individually evaluated for impairment                  
Collectively evaluated for impairment