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LOANS (Details 2) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Mar. 31, 2020
Mar. 31, 2019
Dec. 31, 2019
Activity in the allowance for loan losses      
Balance at the beginning of the period $ 6,627 $ 6,263 $ 6,263
Charge-offs (23) (33) (145)
Recoveries 15 19 370
Provisions 1,075 105 139
Balance at end of the period 7,694 6,354 6,627
Allowance for loan losses      
Individually evaluated for impairment 5 14 6
Collectively evaluated for impairment 7,689 6,340 6,621
Loans receivable:      
Ending balance-total 749,529 718,420 737,028
Individually evaluated for impairment 3,374 4,633 3,997
Collectively evaluated for impairment 746,155 713,787 733,031
Commercial Financial and Agricultural Loans [Member]      
Activity in the allowance for loan losses      
Balance at the beginning of the period 427 430 430
Charge-offs (2) (12)
Recoveries 3
Provisions 62 (10) 6
Balance at end of the period 489 418 427
Allowance for loan losses      
Individually evaluated for impairment
Collectively evaluated for impairment 489 418 427
Loans receivable:      
Ending balance-total 50,313 52,289 51,805
Individually evaluated for impairment 400
Collectively evaluated for impairment 50,313 52,289 51,405
Real Estate Construction Loans [Member]      
Activity in the allowance for loan losses      
Balance at the beginning of the period 111 89 89
Charge-offs
Recoveries
Provisions 37 7 22
Balance at end of the period 148 96 111
Allowance for loan losses      
Individually evaluated for impairment
Collectively evaluated for impairment 148 96 111
Loans receivable:      
Ending balance-total 83,547 56,234 73,512
Individually evaluated for impairment
Collectively evaluated for impairment 83,547 56,234 73,512
Real estate Mortgage-residential [Member]      
Activity in the allowance for loan losses      
Balance at the beginning of the period 367 431 431
Charge-offs (12)
Recoveries
Provisions 73 (19) (52)
Balance at end of the period 440 412 367
Allowance for loan losses      
Individually evaluated for impairment
Collectively evaluated for impairment 440 412 367
Loans receivable:      
Ending balance-total 46,471 50,732 45,357
Individually evaluated for impairment 340 409 392
Collectively evaluated for impairment 46,131 50,323 44,965
Real estate Mortgage-commercial [Member]      
Activity in the allowance for loan losses      
Balance at the beginning of the period 4,602 4,318 4,318
Charge-offs
Recoveries 6 10 307
Provisions 923 18 (23)
Balance at end of the period 5,531 4,346 4,602
Allowance for loan losses      
Individually evaluated for impairment 5 14 6
Collectively evaluated for impairment 5,526 4,332 4,596
Loans receivable:      
Ending balance-total 530,180 519,420 527,447
Individually evaluated for impairment 2,966 4,162 3,135
Collectively evaluated for impairment 527,214 515,258 524,312
Consumer Home Equity Line of Credit [Member]      
Activity in the allowance for loan losses      
Balance at the beginning of the period 240 261 261
Charge-offs (1) (1)
Recoveries 1 15
Provisions 36 8 (35)
Balance at end of the period 277 268 240
Allowance for loan losses      
Individually evaluated for impairment
Collectively evaluated for impairment 277 268 240
Loans receivable:      
Ending balance-total 28,641 30,092 28,891
Individually evaluated for impairment 68 57 70
Collectively evaluated for impairment 28,573 30,035 28,821
Consumer Other Financing Receivable [Member]      
Activity in the allowance for loan losses      
Balance at the beginning of the period 97 88 88
Charge-offs (23) (30) (120)
Recoveries 8 9 45
Provisions 30 22 84
Balance at end of the period 112 89 97
Allowance for loan losses      
Individually evaluated for impairment
Collectively evaluated for impairment 112 89 97
Loans receivable:      
Ending balance-total 10,377 9,653 10,016
Individually evaluated for impairment 5
Collectively evaluated for impairment 10,377 9,648 10,016
Unallocated Financing Receivables [Member]      
Activity in the allowance for loan losses      
Balance at the beginning of the period 783 646 646
Charge-offs
Recoveries
Provisions (86) 79 137
Balance at end of the period 697 725 783
Allowance for loan losses      
Individually evaluated for impairment
Collectively evaluated for impairment 697 725 783
Loans receivable:      
Ending balance-total
Individually evaluated for impairment
Collectively evaluated for impairment