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Loans Receivable and Allowance for Loan Losses - Allowance for Loan Losses to Loan Portfolio Segment (Detail) (USD $)
3 Months Ended 6 Months Ended 12 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]          
Balance, beginning of period $ 5,717,148 $ 8,460,943 $ 6,015,636 $ 9,384,672 $ 9,384,672
Charge-offs (411,790) (90,739) (717,174) (193,223) (1,070,356)
Recoveries 16,712 16,869 53,394 41,026 80,543
Provision    (1,713,425) (29,786) (2,558,827) (2,379,223)
Balance, end of period 5,322,070 6,673,648 5,322,070 6,673,648 6,015,636
Ending balance: individually evaluated for impairment 2,186,044   2,186,044   968,414
Ending balance: collectively evaluated for impairment 3,136,026   3,136,026   5,047,222
Total Allowance for Loan Losses 5,322,070 6,673,648 5,322,070 6,673,648 6,015,636
Total Loans ending balance 452,383,006   452,383,006   464,150,482
Ending balance: individually evaluated for impairment 36,016,767   36,016,767   33,383,078
Ending balance : collectively evaluated for impairment 416,366,239   416,366,239   430,767,404
Commercial [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 1,846,315   941,456 882,062 882,062
Charge-offs           (48,414)
Recoveries 1,000   2,000   10,861
Provision (125,627)   778,232   96,947
Balance, end of period 1,721,688   1,721,688   941,456
Ending balance: individually evaluated for impairment 1,250,663   1,250,663   33,280
Ending balance: collectively evaluated for impairment 471,025   471,025   908,176
Total Allowance for Loan Losses 1,721,688   1,721,688   941,456
Total Loans ending balance 36,278,299   36,278,299   36,428,751
Ending balance: individually evaluated for impairment 6,348,925   6,348,925   219,509
Ending balance : collectively evaluated for impairment 29,929,374   29,929,374   36,209,242
Commercial, Real Estate [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 2,492,111   3,509,395 4,018,746 4,018,746
Charge-offs (275,000)   (290,000)   (49,922)
Recoveries 14,988   29,976   66,951
Provision (279,015)   (1,296,287)   (526,380)
Balance, end of period 1,953,084   1,953,084   3,509,395
Ending balance: individually evaluated for impairment 538,714   538,714   728,607
Ending balance: collectively evaluated for impairment 1,414,370   1,414,370   2,780,788
Total Allowance for Loan Losses 1,953,084   1,953,084   3,509,395
Total Loans ending balance 236,223,829   236,223,829   247,495,321
Ending balance: individually evaluated for impairment 15,614,812   15,614,812   15,909,103
Ending balance : collectively evaluated for impairment 220,609,017   220,609,017   231,586,218
Construction [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 307,198   311,297 867,159 867,159
Charge-offs (23,104)   (23,104)   (101,391)
Recoveries      20,000     
Provision (47,610)   (71,709)   (454,471)
Balance, end of period 236,484   236,484   311,297
Ending balance: individually evaluated for impairment 236,484   236,484   120,616
Ending balance: collectively evaluated for impairment           190,681
Total Allowance for Loan Losses 236,484   236,484   311,297
Total Loans ending balance 3,470,518   3,470,518   4,997,991
Ending balance: individually evaluated for impairment 3,470,518   3,470,518   1,862,038
Ending balance : collectively evaluated for impairment           3,135,953
Construction to Permanent [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 31,114   18,720 547,333 547,333
Charge-offs             
Recoveries             
Provision (7,520)   4,874   (528,613)
Balance, end of period 23,594   23,594   18,720
Ending balance: individually evaluated for impairment             
Ending balance: collectively evaluated for impairment 23,594   23,594   18,720
Total Allowance for Loan Losses 23,594   23,594   18,720
Total Loans ending balance 9,904,369   9,904,369   4,851,768
Ending balance: individually evaluated for impairment 1,228,429   1,228,429   1,258,710
Ending balance : collectively evaluated for impairment 8,675,940   8,675,940   3,593,058
Residential Real Estate [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 746,399   897,368 2,550,588 2,550,588
Charge-offs (94,733)   (385,117)   (84,711)
Recoveries 612   612     
Provision 281,683   421,098   (1,568,509)
Balance, end of period 933,961   933,961   897,368
Ending balance: individually evaluated for impairment 158,247   158,247   83,543
Ending balance: collectively evaluated for impairment 775,714   775,714   813,825
Total Allowance for Loan Losses 933,961   933,961   897,368
Total Loans ending balance 117,416,181   117,416,181   119,033,025
Ending balance: individually evaluated for impairment 8,754,261   8,754,261   13,567,175
Ending balance : collectively evaluated for impairment 108,661,920   108,661,920   105,465,850
Consumer [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 118,348   216,698 458,762 458,762
Charge-offs (18,953)   (18,953)   (785,918)
Recoveries 112   806   2,731
Provision 144,442   45,398   541,123
Balance, end of period 243,949   243,949   216,698
Ending balance: individually evaluated for impairment 1,936   1,936   2,368
Ending balance: collectively evaluated for impairment 242,013   242,013   214,330
Total Allowance for Loan Losses 243,949   243,949   216,698
Total Loans ending balance 49,089,810   49,089,810   51,343,626
Ending balance: individually evaluated for impairment 599,822   599,822   566,543
Ending balance : collectively evaluated for impairment 48,489,988   48,489,988   50,777,083
Unallocated [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 175,663   120,702 60,022 60,022
Charge-offs             
Recoveries             
Provision 33,647   88,608   60,680
Balance, end of period 209,310   209,310   120,702
Ending balance: individually evaluated for impairment             
Ending balance: collectively evaluated for impairment 209,310   209,310   120,702
Total Allowance for Loan Losses 209,310   209,310   120,702
Total Loans ending balance             
Ending balance: individually evaluated for impairment             
Ending balance : collectively evaluated for impairment