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Fair Value of Financial Instruments and Fair Value Measurements (Details) (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2013
Dec. 31, 2012
Investment securities:    
Available-for-sale $ 231,986 $ 213,300
Loans, net 314,269 315,914
Loans held for sale, net 5,313 7,163
Derivative financial instruments 370 334
Financial liabilities:    
Non-maturity deposits 507,612 482,500
FHLB borrowings 35,717 38,426
Other borrowings 22,795 21,541
Derivative financial instruments 51 28
Carrying (Reported) Amount, Fair Value Disclosure [Member]
   
Financial assets:    
Cash and cash equivalents 35,942 14,920
Investment securities:    
Available-for-sale 231,986 213,300
Other securities 5,229 5,238
Loans, net 314,269 315,914
Loans held for sale, net 5,313 7,163
Mortgage servicing rights 1,790 1,679
Derivative financial instruments 370 334
Accrued interest receivable 2,719 2,589
Financial liabilities:    
Non-maturity deposits 341,377 311,565
Time deposits 166,235 170,935
FHLB borrowings 35,717 38,426
Other borrowings 22,795 21,541
Derivative financial instruments 51 28
Accrued interest payable 389 410
Estimate Of Fair Value, Fair Value Disclosure [Member]
   
Financial assets:    
Cash and cash equivalents 35,942 14,920
Investment securities:    
Available-for-sale 231,986 213,300
Other securities 5,229 5,238
Loans, net 317,453 317,335
Loans held for sale, net 5,331 7,179
Mortgage servicing rights 2,152 1,859
Derivative financial instruments 370 334
Accrued interest receivable 2,719 2,589
Financial liabilities:    
Non-maturity deposits 341,377 311,565
Time deposits 167,046 171,961
FHLB borrowings 39,484 42,904
Other borrowings 20,474 19,273
Derivative financial instruments 51 28
Accrued interest payable $ 389 $ 410