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Deposits (Tables)
12 Months Ended
Jun. 30, 2015
Banking and Thrift [Abstract]  
Schedule of Deposits
Deposits at June 30, 2015 and 2014 consisted of the following:
 
(Dollars in Thousands)
June 30, 2015
June 30, 2014
Interest Rate
Amount
Interest Rate
Amount
Checking deposits – non interest-bearing
$
67,538

$
58,654

Checking deposits – interest-bearing(1)
0% - 0.35%
224,090

0% - 0.35%
202,769

Savings deposits(1)
0% - 1.00%
255,090

0% - 1.00%
239,429

Money market deposits(1)
0% - 2.00%
31,672

0% - 2.00%
26,125

Time deposits:(1)
 
 
 
 
Under $100(2)
0.00% - 3.90%
171,135

0.00% - 3.90%
184,895

$100 and over
0.10% - 2.96%
174,561

0.10% - 3.79%
185,998

Total deposits
 
$
924,086

 
$
897,870

Weighted-average interest rate on deposits
 
0.50
%
 
0.56
%

(1) 
Certain interest-bearing checking, savings, money market and time deposits require a minimum balance to earn interest.
(2) 
Includes brokered deposits of $3.0 million and $3.0 million at June 30, 2015 and 2014, respectively.
Schedule of Annual Maturities of Time Deposits
The aggregate annual maturities of time deposits at June 30, 2015 and 2014 were as follows:
 
(In Thousands)
June 30,
2015
2014
One year or less
$
174,005

$
173,519

Over one to two years
79,944

104,042

Over two to three years
20,963

52,705

Over three to four years
38,172

8,761

Over four to five years
32,612

31,711

Over five years

155

Total time deposits
$
345,696

$
370,893

Schedule of Interest Expense on Deposits
Interest expense on deposits for the periods indicated is summarized as follows:
 
(In Thousands)
Year Ended June 30,
2015
2014
2013
Checking deposits – interest-bearing
$
314

$
290

$
283

Savings deposits
641

606

578

Money market deposits
105

95

117

Time deposits
3,701

4,504

5,607

Total interest expense on deposits
$
4,761

$
5,495

$
6,585