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DEPOSITS (Tables)
12 Months Ended
Sep. 30, 2018
Deposits [Abstract]  
Schedule of deposits by type of account

A summary of deposits by type of account follows:

 

   September 30, 
   2018   2017 
   (In thousands) 
         
Demand accounts  $104,745   $98,728 
Savings accounts   81,373    107,362 
NOW accounts   46,336    43,556 
Money market accounts   167,340    137,527 
Certificate of deposit   112,014    108,740 
Retirement accounts   18,329    19,288 
 Total deposits  $530,137   $515,201 
Schedule of contractual maturities of certificates of deposit

At September 30, 2018, certificates of deposit (including retirement accounts and brokered certificate deposit accounts) have contractual maturities as follows (in thousands):

 

Year Ending September 30,    
2019  $65,984 
2020   39,334 
2021   13,979 
2022   3,381 
2023 and after   7,665 
 Total  $130,343