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BUSINESS COMBINATIONS (Tables)
3 Months Ended
Jun. 30, 2017
Business Combinations [Abstract]  
Schedule of estimated fair values of assets acquired and liabilities assumed
  
At February 17, 2017
 
  
Book
Value
  
Fair Value
Adjustment
  
Estimated
Fair Value
 
          
Cash consideration transferred
       
$
12,080
 
           
Recognized amounts of identifiable assets acquired and liabilities assumed
          
Identifiable assets acquired
          
Cash and cash equivalents
 
$
27,196
  
$
-
  
$
27,196
 
Loans receivable
  
115,283
   
(3,258
)
  
112,025
 
CDI
  
-
   
1,363
   
1,363
 
Premises and equipment
  
1,769
   
399
   
2,168
 
BOLI
  
2,113
   
-
   
2,113
 
Accrued interest receivable and other assets
  
431
   
90
   
521
 
Total identifiable assets acquired
  
146,792
   
(1,406
)
  
145,386
 
             
Liabilities assumed
            
Deposits
  
130,572
   
235
   
130,807
 
Junior subordinated debentures
  
5,155
   
(1,468
)
  
3,687
 
Accrued expenses and other liabilities
  
293
   
23
   
316
 
Total liabilities assumed
  
136,020
   
(1,210
)
  
134,810
 
Total identifiable net assets
 
$
10,772
  
$
(196
)
  
10,576
 
Goodwill recognized
         
$
1,504