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Loans, Part VI (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
segment
loan
Sep. 30, 2013
Dec. 31, 2013
Financing Receivable, Allowance for Credit Losses [Line Items]          
Number of loan portfolio segment     11    
Number of loans entity experienced losses over past twelve quarters     7    
Summarizes activity in allowance for credit losses by loan category [Roll Forward]          
Beginning balance $ 11,048 $ 11,157 $ 10,988 $ 11,784  
Provision for credit losses 39 (1,150) (101) (1,120)  
Charge-offs (97) (474) (384) (1,201)  
Recoveries 125 1,019 612 1,089  
Net recoveries 28 545 228 (112)  
Ending balance 11,115 10,552 11,115 10,552  
Period-end amount allocated to [Abstract]          
Loans individually evaluated for impairment 719 941 719 941  
Loans collectively evaluated for impairment 10,396 9,611 10,396 9,611  
Ending balance 11,115 10,552 11,115 10,552  
Loans Individually Evaluated for Impairment 14,386   14,386   18,132
Loans Collectively Evaluated for Impairment 433,050   433,050   377,185
Total Loans 447,436   447,436   395,317
Total Commercial and Industrial [Member]
         
Summarizes activity in allowance for credit losses by loan category [Roll Forward]          
Beginning balance 1,396 2,665 2,340 1,614  
Provision for credit losses 149 (390) (877) 972  
Charge-offs (93) (193) (183) (542)  
Recoveries 9 125 181 163  
Net recoveries (84) (68) (2) (379)  
Ending balance 1,461 2,207 1,461 2,207  
Period-end amount allocated to [Abstract]          
Loans individually evaluated for impairment 47 739 47 739  
Loans collectively evaluated for impairment 1,414 1,468 1,414 1,468  
Ending balance 1,461 2,207 1,461 2,207  
Loans Individually Evaluated for Impairment 1,008   1,008   677
Loans Collectively Evaluated for Impairment 68,317   68,317   70,009
Total Loans 69,325   69,325   70,686
Commercial and Business Loans [Member]
         
Period-end amount allocated to [Abstract]          
Loans Individually Evaluated for Impairment 967   967   677
Loans Collectively Evaluated for Impairment 66,398   66,398   67,783
Total Loans 67,365   67,365   68,460
Government Program Loans [Member]
         
Period-end amount allocated to [Abstract]          
Loans Individually Evaluated for Impairment 41   41   0
Loans Collectively Evaluated for Impairment 1,919   1,919   2,226
Total Loans 1,960   1,960   2,226
Total Real Estate Mortgage [Member]
         
Period-end amount allocated to [Abstract]          
Loans Individually Evaluated for Impairment 7,603   7,603   15,573
Loans Collectively Evaluated for Impairment 209,711   209,711   181,792
Total Loans 217,314   217,314   197,365
Commercial Real Estate Loans [Member]
         
Period-end amount allocated to [Abstract]          
Loans Individually Evaluated for Impairment 3,243   3,243   10,189
Loans Collectively Evaluated for Impairment 151,166   151,166   133,730
Total Loans 154,409   154,409   143,919
Residential Mortgages [Member]
         
Period-end amount allocated to [Abstract]          
Loans Individually Evaluated for Impairment 4,360   4,360   5,384
Loans Collectively Evaluated for Impairment 57,359   57,359   46,652
Total Loans 61,719   61,719   52,036
Home Improvement and Home Equity Loans [Member]
         
Period-end amount allocated to [Abstract]          
Loans Individually Evaluated for Impairment 0   0   0
Loans Collectively Evaluated for Impairment 1,186   1,186   1,410
Total Loans 1,186   1,186   1,410
Real Estate - Mortgage [Member]
         
Summarizes activity in allowance for credit losses by loan category [Roll Forward]          
Beginning balance 1,688 1,679 1,862 1,292  
Provision for credit losses 106 383 55 983  
Charge-offs 0 (49) (131) (265)  
Recoveries 5 3 13 6  
Net recoveries 5 (46) (118) (259)  
Ending balance 1,799 2,016 1,799 2,016  
Period-end amount allocated to [Abstract]          
Loans individually evaluated for impairment 670 109 670 109  
Loans collectively evaluated for impairment 1,129 1,907 1,129 1,907  
Ending balance 1,799 2,016 1,799 2,016  
RE Construction and Development Loans [Member]
         
Summarizes activity in allowance for credit losses by loan category [Roll Forward]          
Beginning balance 6,452 2,972 5,533 2,814  
Provision for credit losses (505) 1,696 253 1,854  
Charge-offs 0 0 (60) 0  
Recoveries 98 738 319 738  
Net recoveries 98 738 259 738  
Ending balance 6,045 5,406 6,045 5,406  
Period-end amount allocated to [Abstract]          
Loans individually evaluated for impairment 0 0 0 0  
Loans collectively evaluated for impairment 6,045 5,406 6,045 5,406  
Ending balance 6,045 5,406 6,045 5,406  
Loans Individually Evaluated for Impairment 5,695   5,695   1,789
Loans Collectively Evaluated for Impairment 110,888   110,888   85,215
Total Loans 116,583   116,583   87,004
Total Agricultural Loans [Member]
         
Summarizes activity in allowance for credit losses by loan category [Roll Forward]          
Beginning balance 494 243 582 352  
Provision for credit losses 16 181 (76) 208  
Charge-offs 0 0 0 (136)  
Recoveries 2 129 6 129  
Net recoveries 2 129 6 (7)  
Ending balance 512 553 512 553  
Period-end amount allocated to [Abstract]          
Loans individually evaluated for impairment 0 88 0 88  
Loans collectively evaluated for impairment 512 465 512 465  
Ending balance 512 553 512 553  
Loans Individually Evaluated for Impairment 35   35   45
Loans Collectively Evaluated for Impairment 32,835   32,835   30,887
Total Loans 32,870   32,870   30,932
Installment and Other [Member]
         
Summarizes activity in allowance for credit losses by loan category [Roll Forward]          
Beginning balance 288 315 276 288  
Provision for credit losses 88 235 64 259  
Charge-offs 0 (232) 0 (258)  
Recoveries 11 24 47 53  
Net recoveries 11 (208) 47 (205)  
Ending balance 387 342 387 342  
Period-end amount allocated to [Abstract]          
Loans individually evaluated for impairment 2 0 2 0  
Loans collectively evaluated for impairment 385 342 385 342  
Ending balance 387 342 387 342  
Total Installment Loans [Member]
         
Period-end amount allocated to [Abstract]          
Loans Individually Evaluated for Impairment 45   45   48
Loans Collectively Evaluated for Impairment 11,299   11,299   9,282
Total Loans 11,344   11,344   9,330
Commercial Lease Financing [Member]
         
Summarizes activity in allowance for credit losses by loan category [Roll Forward]          
Beginning balance 0 0 0 1  
Provision for credit losses 0 0 (46) (1)  
Charge-offs 0 0 0 0  
Recoveries 0 0 46 0  
Net recoveries 0 0 46 0  
Ending balance 0 0 0 0  
Period-end amount allocated to [Abstract]          
Loans individually evaluated for impairment 0 0 0 0  
Loans collectively evaluated for impairment 0 0 0 0  
Ending balance 0 0 0 0  
Unallocated [Member]
         
Summarizes activity in allowance for credit losses by loan category [Roll Forward]          
Beginning balance 730 3,283 395 5,423  
Provision for credit losses 185 (3,255) 526 (5,395)  
Charge-offs (4) 0 (10) 0  
Recoveries 0 0 0 0  
Net recoveries (4) 0 (10) 0  
Ending balance 911 28 911 28  
Period-end amount allocated to [Abstract]          
Loans individually evaluated for impairment 0 5 0 5  
Loans collectively evaluated for impairment 911 23 911 23  
Ending balance $ 911 $ 28 $ 911 $ 28  
Consumer Loan [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Number of segments     3