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FAIR VALUE (Details 2) - USD ($)
Mar. 31, 2016
Dec. 31, 2015
Mar. 31, 2015
Dec. 31, 2014
Financial assets - Carrying Amount        
Cash and cash equivalents $ 20,618,000 $ 12,371,000 $ 17,441,000 $ 13,280,000
Loans receivable, net 254,791,000 259,637,000    
Cash value of life insurance 9,411,064      
Financial liabilities - Carrying Amount        
Deposits 339,055,000 335,191,000    
Long-term debt 20,000,000      
Financial assets - Fair Value        
Cash and cash equivalents 20,617,846      
Loans receivable, net 248,480,000 252,239,000    
Cash value of life insurance 9,411,064      
Financial liabilities - Fair Value        
Deposits 316,354,000 307,924,000    
Long-term debt $ 20,774,000 $ 20,688,000    
Level 1 | Fair Value        
Financial assets - Fair Value        
Cash and cash equivalents      
Loans receivable, net      
Cash value of life insurance      
Financial liabilities - Fair Value        
Deposits $ 201,923,000      
Long-term debt      
Level 2 | Fair Value        
Financial assets - Fair Value        
Cash and cash equivalents $ 20,617,846      
Loans receivable, net      
Cash value of life insurance $ 9,411,064      
Financial liabilities - Fair Value        
Deposits 114,431,000      
Long-term debt $ 20,774,000      
Level 3 | Fair Value        
Financial assets - Fair Value        
Cash and cash equivalents      
Loans receivable, net $ 248,480,000      
Cash value of life insurance      
Financial liabilities - Fair Value        
Deposits      
Long-term debt