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Fair Value of Financial Instruments and Fair Value Measurements (Details) (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
Mar. 31, 2013
Investment securities:      
Available-for-sale $ 301,892 $ 300,246  
Loans, net 411,551 414,016 318,688
Loans held for sale, net 9,247 7,864  
Derivative financial instruments 462 265  
Financial liabilities:      
Non-maturity deposits 678,182 687,486  
FHLB borrowings 35,680 35,689  
Other borrowings 35,863 33,055  
Derivative financial instruments 47 187  
Carrying Amount, Fair Value Disclosure [Member]
     
Financial assets:      
Cash and cash equivalents 26,337 29,735  
Investment securities:      
Available-for-sale 301,892 300,246  
Other securities 4,660 5,271  
Loans, net 411,551 414,016  
Loans held for sale, net 9,247 7,864  
Mortgage servicing rights 2,321 2,377  
Derivative financial instruments 462 265  
Accrued interest receivable 3,391 2,581  
Financial liabilities:      
Non-maturity deposits 497,267 501,291  
Time deposits 180,915 186,195  
FHLB borrowings 35,680 35,689  
Other borrowings 35,863 33,055  
Derivative financial instruments 47 78  
Accrued interest payable 316 335  
Estimate of Fair Value, Fair Value Disclosure [Member]
     
Financial assets:      
Cash and cash equivalents 26,337 29,735  
Investment securities:      
Available-for-sale 301,892 300,246  
Other securities 4,660 5,271  
Loans, net 418,241 420,475  
Loans held for sale, net 9,247 7,864  
Mortgage servicing rights 3,381 3,491  
Derivative financial instruments 462 265  
Accrued interest receivable 3,391 2,581  
Financial liabilities:      
Non-maturity deposits 497,267 501,291  
Time deposits 180,782 186,222  
FHLB borrowings 37,981 38,087  
Other borrowings 32,913 29,351  
Derivative financial instruments 47 78  
Accrued interest payable $ 316 $ 335