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Loans Receivable and Allowance for Loan Losses - Allowance for Loan Losses to Loan Portfolio Segment (Detail) (USD $)
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Dec. 31, 2012
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period $ 5,322,070 $ 6,673,648 $ 6,015,636 $ 9,384,672 $ 9,384,672
Charge-offs (123,143) (3,997) (840,317) (197,220) (1,070,356)
Recoveries 17,143 22,080 70,537 63,106 80,543
Provision 1,000,000    970,214 (2,558,827) (2,379,223)
Balance, end of period 6,216,070 6,691,731 6,216,070 6,691,731 6,015,636
Ending balance: individually evaluated for impairment 3,156,881   3,156,881   968,414
Ending balance: collectively evaluated for impairment 3,059,189   3,059,189   5,047,222
Total Allowance for Loan Losses 6,216,070 6,691,731 6,216,070 6,691,731 6,015,636
Total Loans ending balance 435,233,055   435,233,055   464,150,482
Ending balance: individually evaluated for impairment 30,486,740   30,486,740   33,383,078
Ending balance : collectively evaluated for impairment 404,746,315   404,746,315   430,767,404
Commercial [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 1,721,688   941,456 882,062 882,062
Charge-offs (14,571)   (14,571)   (48,414)
Recoveries 1,243   3,243   10,861
Provision 1,051,322   1,829,554   96,947
Balance, end of period 2,759,682   2,759,682   941,456
Ending balance: individually evaluated for impairment 2,200,000   2,200,000   33,280
Ending balance: collectively evaluated for impairment 559,682   559,682   908,176
Total Allowance for Loan Losses 2,759,682   2,759,682   941,456
Total Loans ending balance 40,002,905   40,002,905   36,428,751
Ending balance: individually evaluated for impairment 6,109,493   6,109,493   219,509
Ending balance : collectively evaluated for impairment 33,893,412   33,893,412   36,209,242
Commercial, Real Estate [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 1,953,084   3,509,395 4,018,746 4,018,746
Charge-offs      (290,000)   (49,922)
Recoveries 14,987   44,963   66,951
Provision (166,784)   (1,463,071)   (526,380)
Balance, end of period 1,801,287   1,801,287   3,509,395
Ending balance: individually evaluated for impairment 513,112   513,112   728,607
Ending balance: collectively evaluated for impairment 1,288,175   1,288,175   2,780,788
Total Allowance for Loan Losses 1,801,287   1,801,287   3,509,395
Total Loans ending balance 223,883,646   223,883,646   247,495,321
Ending balance: individually evaluated for impairment 13,442,936   13,442,936   15,909,103
Ending balance : collectively evaluated for impairment 210,440,710   210,440,710   231,586,218
Construction [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 236,484   311,297 867,159 867,159
Charge-offs (106,764)   (129,868)   (101,391)
Recoveries      20,000     
Provision (13,502)   (85,211)   (454,471)
Balance, end of period 116,218   116,218   311,297
Ending balance: individually evaluated for impairment 116,218   116,218   120,616
Ending balance: collectively evaluated for impairment           190,681
Total Allowance for Loan Losses 116,218   116,218   311,297
Total Loans ending balance 335,000   335,000   4,997,991
Ending balance: individually evaluated for impairment 335,000   335,000   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 23,594   18,720 547,333 547,333
Charge-offs             
Recoveries             
Provision 892   5,766   (528,613)
Balance, end of period 24,486   24,486   18,720
Ending balance: individually evaluated for impairment             
Ending balance: collectively evaluated for impairment 24,486   24,486   18,720
Total Allowance for Loan Losses 24,486   24,486   18,720
Total Loans ending balance 10,225,669   10,225,669   4,851,768
Ending balance: individually evaluated for impairment 1,212,951   1,212,951   1,258,710
Ending balance : collectively evaluated for impairment 9,012,718   9,012,718   3,593,058
Residential Real Estate [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 933,961   897,368 2,550,588 2,550,588
Charge-offs      (385,117)   (84,711)
Recoveries      612     
Provision 86,114   507,212   (1,568,509)
Balance, end of period 1,020,075   1,020,075   897,368
Ending balance: individually evaluated for impairment 325,690   325,690   83,543
Ending balance: collectively evaluated for impairment 694,385   694,385   813,825
Total Allowance for Loan Losses 1,020,075   1,020,075   897,368
Total Loans ending balance 113,349,382   113,349,382   119,033,025
Ending balance: individually evaluated for impairment 8,733,016   8,733,016   13,567,175
Ending balance : collectively evaluated for impairment 104,616,366   104,616,366   105,465,850
Consumer [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 243,949   216,698 458,762 458,762
Charge-offs (1,808)   (20,761)   (785,918)
Recoveries 913   1,719   2,731
Provision (14,191)   31,207   541,123
Balance, end of period 228,863   228,863   216,698
Ending balance: individually evaluated for impairment 1,861   1,861   2,368
Ending balance: collectively evaluated for impairment 227,002   227,002   214,330
Total Allowance for Loan Losses 228,863   228,863   216,698
Total Loans ending balance 47,436,453   47,436,453   51,343,626
Ending balance: individually evaluated for impairment 653,344   653,344   566,543
Ending balance : collectively evaluated for impairment 46,783,109   46,783,109   50,777,083
Unallocated [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Balance, beginning of period 209,310   120,702 60,022 60,022
Charge-offs             
Recoveries             
Provision 56,149   144,757   60,680
Balance, end of period 265,459   265,459   120,702
Ending balance: individually evaluated for impairment             
Ending balance: collectively evaluated for impairment 265,459   265,459   120,702
Total Allowance for Loan Losses 265,459   265,459   120,702
Total Loans ending balance             
Ending balance: individually evaluated for impairment             
Ending balance : collectively evaluated for impairment