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Note 4 - Allowance for Loan Losses, Nonperforming Assets and Impaired Loans (Details) - Allowance Roll-forward and Related Loan Balance by Portfolio Segments (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2013
Jun. 30, 2012
Jun. 30, 2013
Jun. 30, 2012
Dec. 31, 2012
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning Balance $ 8,291 $ 8,063 $ 8,349 $ 8,068  
Charge-offs (730) (1,028) (1,484) (1,728)  
Recoveries 36 29 61 52  
Provision for loan losses 355 1,104 1,026 1,776  
Ending Balance 7,952 8,168 7,952 8,168  
Allowance for Loan Losses, Individually evaluated for impairment 273   273   554
Allowance for Loan Losses, Collectively evaluated for impairment 7,679   7,679   7,795
Allowance for Loan Losses, Total 7,952 8,168 7,952 8,168  
Loans, Individually evaluated for impairment 17,395   17,395   18,456
Loans, Collectively evaluated for impairment 571,569   571,569   574,659
Loans, Total 588,964   588,964   593,115
Real Estate Construction [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning Balance 1,173 674 1,070 1,079  
Charge-offs 0 (589) (184) (589)  
Recoveries 0 13 0 13  
Provision for loan losses (141) 1,298 146 893  
Ending Balance 1,032 1,396 1,032 1,396  
Allowance for Loan Losses, Individually evaluated for impairment 0   0   0
Allowance for Loan Losses, Collectively evaluated for impairment 1,032   1,032   1,070
Allowance for Loan Losses, Total 1,032 1,396 1,032 1,396  
Loans, Individually evaluated for impairment 2,992   2,992   6,643
Loans, Collectively evaluated for impairment 53,314   53,314   43,670
Loans, Total 56,306   56,306   50,313
Consumer Real Estate [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning Balance 1,846 2,252 2,263 1,245  
Charge-offs (46) (150) (99) (245)  
Recoveries 1 2 1 2  
Provision for loan losses (131) (194) (495) 908  
Ending Balance 1,670 1,910 1,670 1,910  
Allowance for Loan Losses, Individually evaluated for impairment 10   10   43
Allowance for Loan Losses, Collectively evaluated for impairment 1,660   1,660   2,220
Allowance for Loan Losses, Total 1,670 1,910 1,670 1,910  
Loans, Individually evaluated for impairment 915   915   864
Loans, Collectively evaluated for impairment 140,982   140,982   142,398
Loans, Total 141,897   141,897   143,262
Commercial Real Estate [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning Balance 3,289 3,220 3,442 3,515  
Charge-offs 0 (200) (35) (737)  
Recoveries 4 0 4 0  
Provision for loan losses (264) 237 (382) 479  
Ending Balance 3,029 3,257 3,029 3,257  
Allowance for Loan Losses, Individually evaluated for impairment 261   261   273
Allowance for Loan Losses, Collectively evaluated for impairment 2,768   2,768   3,169
Allowance for Loan Losses, Total 3,029 3,257 3,029 3,257  
Loans, Individually evaluated for impairment 13,227   13,227   10,329
Loans, Collectively evaluated for impairment 286,835   286,835   293,979
Loans, Total 300,062   300,062   304,308
Commercial Non Real Estate [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning Balance 1,276 1,126 959 1,473  
Charge-offs (556) (5) (960) (5)  
Recoveries 0 5 16 1  
Provision for loan losses 761 (213) 1,466 (560)  
Ending Balance 1,481 909 1,481 909  
Allowance for Loan Losses, Individually evaluated for impairment 1   1   231
Allowance for Loan Losses, Collectively evaluated for impairment 1,480   1,480   728
Allowance for Loan Losses, Total 1,481 909 1,481 909  
Loans, Individually evaluated for impairment 236   236   574
Loans, Collectively evaluated for impairment 34,821   34,821   36,775
Loans, Total 35,057   35,057   37,349
Public Sector and IDA [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning Balance 110 85 142 232  
Charge-offs 0 0 0 0  
Recoveries 0 0 0 0  
Provision for loan losses 1 26 (31) (121)  
Ending Balance 111 111 111 111  
Allowance for Loan Losses, Individually evaluated for impairment 0   0   0
Allowance for Loan Losses, Collectively evaluated for impairment 111   111   142
Allowance for Loan Losses, Total 111 111 111 111  
Loans, Individually evaluated for impairment 0   0   0
Loans, Collectively evaluated for impairment 26,306   26,306   26,169
Loans, Total 26,306   26,306   26,169
Consumer Non Real Estate [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning Balance 585 482 424 403  
Charge-offs (128) (84) (206) (152)  
Recoveries 31 13 40 36  
Provision for loan losses 25 11 255 135  
Ending Balance 513 422 513 422  
Allowance for Loan Losses, Individually evaluated for impairment 1   1   7
Allowance for Loan Losses, Collectively evaluated for impairment 512   512   417
Allowance for Loan Losses, Total 513 422 513 422  
Loans, Individually evaluated for impairment 25   25   46
Loans, Collectively evaluated for impairment 29,311   29,311   31,668
Loans, Total 29,336   29,336   31,714
Unallocated [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning Balance 12 224 49 121  
Charge-offs 0 0 0 0  
Recoveries 0 0 0 0  
Provision for loan losses 104 (61) 67 42  
Ending Balance 116 163 116 163  
Allowance for Loan Losses, Individually evaluated for impairment 0   0   0
Allowance for Loan Losses, Collectively evaluated for impairment 116   116   49
Allowance for Loan Losses, Total 116 163 116 163  
Loans, Individually evaluated for impairment 0   0   0
Loans, Collectively evaluated for impairment 0   0   0
Loans, Total $ 0   $ 0   $ 0