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Loan Receivables and Allowance for Loan Losses - Allowance for Loan Losses to Loan Portfolio Segment (Detail) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Financing Receivable, Allowance for Credit Losses [Line Items]      
Balance, beginning of year $ 6,015,636 $ 9,384,672 $ 15,374,101
Charge-offs (1,668,386) (1,070,356) (8,252,774)
Transferred to loans held-for-sale      (6,054,660)
Recoveries 363,225 80,543 853,578
Provision 970,214 (2,379,223) 7,464,427
Balance, end of year 5,680,689 6,015,636 9,384,672
Ending balance: individually evaluated for impairment 1,890,737 968,414  
Ending balance: collectively evaluated for impairment 3,789,952 5,047,222  
Total Allowance for Loan Losses 5,680,689 6,015,636 9,384,672
Total Loans ending balance 423,058,175 464,150,482  
Ending balance: individually evaluated for impairment 21,993,399 33,383,078  
Ending balance: collectively evaluated for impairment 401,064,776 430,767,404  
Commercial [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Balance, beginning of year 941,456 882,062  
Charge-offs (62,779) (48,414)  
Transferred to loans held-for-sale       
Recoveries 3,920 10,861  
Provision 1,402,088 96,947  
Balance, end of year 2,284,685 941,456  
Ending balance: individually evaluated for impairment 1,500,000 33,280  
Ending balance: collectively evaluated for impairment 784,685 908,176  
Total Allowance for Loan Losses 2,284,685 941,456  
Total Loans ending balance 35,061,249 36,428,751  
Ending balance: individually evaluated for impairment 6,151,799 219,509  
Ending balance: collectively evaluated for impairment 28,909,450 36,209,242  
Commercial Real Estate [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Balance, beginning of year 3,509,395 4,018,746  
Charge-offs (403,124) (49,922)  
Transferred to loans held-for-sale       
Recoveries 334,951 66,951  
Provision (1,855,894) (526,380)  
Balance, end of year 1,585,328 3,509,395  
Ending balance: individually evaluated for impairment 31,097 728,607  
Ending balance: collectively evaluated for impairment 1,554,231 2,780,788  
Total Allowance for Loan Losses 1,585,328 3,509,395  
Total Loans ending balance 223,165,092 247,495,321  
Ending balance: individually evaluated for impairment 7,767,224 15,909,103  
Ending balance: collectively evaluated for impairment 215,397,868 231,586,218  
Construction [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Balance, beginning of year 311,297 867,159  
Charge-offs (204,868) (101,391)  
Transferred to loans held-for-sale       
Recoveries 20,000     
Provision 133,571 (454,471)  
Balance, end of year 260,000 311,297  
Ending balance: individually evaluated for impairment 260,000 120,616  
Ending balance: collectively evaluated for impairment    190,681  
Total Allowance for Loan Losses 260,000 311,297  
Total Loans ending balance 260,000 4,997,991  
Ending balance: individually evaluated for impairment 260,000 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 year 18,720 547,333  
Charge-offs        
Transferred to loans held-for-sale       
Recoveries        
Provision 6,659 (528,613)  
Balance, end of year 25,379 18,720  
Ending balance: individually evaluated for impairment        
Ending balance: collectively evaluated for impairment 25,379 18,720  
Total Allowance for Loan Losses 25,379 18,720  
Total Loans ending balance 11,303,002 4,851,768  
Ending balance: individually evaluated for impairment 1,197,474 1,258,710  
Ending balance: collectively evaluated for impairment 10,105,528 3,593,058  
Residential Real Estate [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Balance, beginning of year 897,368 2,550,588  
Charge-offs (918,853) (84,711)  
Transferred to loans held-for-sale       
Recoveries 612     
Provision 815,829 (1,568,509)  
Balance, end of year 794,956 897,368  
Ending balance: individually evaluated for impairment 97,829 83,543  
Ending balance: collectively evaluated for impairment 697,127 813,825  
Total Allowance for Loan Losses 794,956 897,368  
Total Loans ending balance 106,198,275 119,033,025  
Ending balance: individually evaluated for impairment 6,024,266 13,567,175  
Ending balance: collectively evaluated for impairment 100,174,009 105,465,850  
Consumer [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Balance, beginning of year 216,698 458,762  
Charge-offs (78,762) (785,918)  
Transferred to loans held-for-sale       
Recoveries 3,742 2,731  
Provision 392,117 541,123  
Balance, end of year 533,795 216,698  
Ending balance: individually evaluated for impairment 1,811 2,368  
Ending balance: collectively evaluated for impairment 531,984 214,330  
Total Allowance for Loan Losses 533,795 216,698  
Total Loans ending balance 47,070,557 51,343,626  
Ending balance: individually evaluated for impairment 592,636 566,543  
Ending balance: collectively evaluated for impairment 46,477,921 50,777,083  
Unallocated [Member]
     
Financing Receivable, Allowance for Credit Losses [Line Items]      
Balance, beginning of year 120,702 60,022  
Charge-offs        
Transferred to loans held-for-sale       
Recoveries        
Provision 75,844 60,680  
Balance, end of year 196,546 120,702  
Ending balance: individually evaluated for impairment        
Ending balance: collectively evaluated for impairment 196,546 120,702  
Total Allowance for Loan Losses 196,546 120,702  
Total Loans ending balance        
Ending balance: individually evaluated for impairment        
Ending balance: collectively evaluated for impairment