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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2012
DEPOSITS [Abstract]  
Schedule of Balances of Deposits
         
    AT DECEMBER 31,
     2012   2011
     (IN THOUSANDS)
Demand:
                 
Non-interest bearing   $ 156,223     $ 141,982  
Interest bearing     61,774       62,568  
Savings     86,135       82,899  
Money market     215,870       195,410  
Certificates of deposit in denominations of $100,000 or more     35,339       43,762  
Other time     280,393       289,799  
Total deposits   $ 835,734     $ 816,420  
Schedule of Interest Expense on Deposits
           
    YEAR ENDED DECEMBER 31,
     2012   2011   2010
     (IN THOUSANDS)
Interest bearing demand   $ 116     $ 153     $ 176  
Savings     181       256       397  
Money market     895       1,063       1,622  
Certificates of deposit in denominations of $100,000 or more     435       637       834  
Other time     4,875       6,226       7,916  
Total interest expense   $ 6,502     $ 8,335     $ 10,945  
Schedule of Maturity of Balances of Other Time Deposits and Certificates of Deposit of $100,000 or More
       
YEAR:   OTHER TIME DEPOSITS   CERTIFICATES OF DEPOSIT OF $100,000 OR MORE
     (IN THOUSANDS)
2013   $ 150,998     $ 27,941  
2014     35,120       6,203  
2015     29,222       795  
2016     10,021       400  
2017     10,125       -  
2018 and after     44,907       -  
Total   $ 280,393     $ 35,339  
Schedule of Maturity of Certificates of Deposits of $100,000 or More
     
MATURING IN:   (IN THOUSANDS)
Three months or less   $ 4,235  
Over three through six months     15,867  
Over six through twelve months     7,839  
Over twelve months     7,398  
Total   $ 35,339