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FAIR VALUES AND MEASUREMENTS OF FINANCIAL INSTRUMENTS (Details 2) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Jun. 30, 2013
Dec. 31, 2012
Fair Values Of Financial Instruments [Line Items]        
Cash equivalents and federal funds sold, Carrying Amount $ 20,527 $ 18,119 $ 13,989 $ 22,904
Securities available for sale, Carrying Amount 13,014 13,941    
Other investment securities, Carrying Amount 2,210 2,259    
Loans, net of allowance for loan loss, Carrying Amount 271,726 265,625    
Accrued interest receivable, Carrying Amount 1,213 1,198    
Cash equivalents and federal funds sold, Estimated Fair Value 20,527 18,119    
Securities available for sale, Estimated Fair Value 13,014 13,941    
Other investment securities, Estimated Fair Value 2,210 2,259    
Loans, net of allowance for loan loss, Estimated Fair Value 282,586 268,060    
Accrued interest receivable, Estimated Fair Value 1,213 1,198    
Noninterest-bearing deposits, Carrying Amount (42,582) (48,935)    
Interest-bearing deposits, Carrying Amount (153,130) (144,733)    
Time deposits, Carrying Amount (88,438) (87,640)    
Federal Funds Purchased, Carring Amount 0 (1,757)    
FHLB advances, Carrying Amount (8,751) (1,808)    
Accrued interest payable, Carrying Amount (61) (56)    
Noninterest-bearing deposits, Estimated Fair Value (42,582) (48,935)    
Interest-bearing deposits, Estimated Fair value (153,130) (144,733)    
Time deposits, Estimated Fair Value (88,096) (85,771)    
Federal funds purchased, Estimated Fair Value   (1,757)    
FHLB Advances, Estimated Fair Value (8,543) (1,477)    
Accrued interest payable, Estimated Fair Value (61) (56)    
Fair Value, Inputs, Level 1 [Member]
       
Fair Values Of Financial Instruments [Line Items]        
Cash equivalents and federal funds sold, Estimated Fair Value 20,527 18,119    
Securities available for sale, Estimated Fair Value 0 0    
Other investment securities, Estimated Fair Value 0 0    
Loans, net of allowance for loan loss, Estimated Fair Value 0 0    
Accrued interest receivable, Estimated Fair Value 0 0    
Noninterest-bearing deposits, Estimated Fair Value (42,582) (48,935)    
Interest-bearing deposits, Estimated Fair value 0 0    
Time deposits, Estimated Fair Value 0 0    
Federal funds purchased, Estimated Fair Value   0    
FHLB Advances, Estimated Fair Value 0 0    
Accrued interest payable, Estimated Fair Value 0 0    
Fair Value, Inputs, Level 2 [Member]
       
Fair Values Of Financial Instruments [Line Items]        
Cash equivalents and federal funds sold, Estimated Fair Value 0 0    
Securities available for sale, Estimated Fair Value 13,014 13,941    
Other investment securities, Estimated Fair Value 0 0    
Loans, net of allowance for loan loss, Estimated Fair Value 0 0    
Accrued interest receivable, Estimated Fair Value 0 0    
Noninterest-bearing deposits, Estimated Fair Value 0 0    
Interest-bearing deposits, Estimated Fair value (153,130) (144,733)    
Time deposits, Estimated Fair Value (88,096) (85,771)    
Federal funds purchased, Estimated Fair Value   (1,757)    
FHLB Advances, Estimated Fair Value (8,543) (1,477)    
Accrued interest payable, Estimated Fair Value 0 0    
Fair Value, Inputs, Level 3 [Member]
       
Fair Values Of Financial Instruments [Line Items]        
Cash equivalents and federal funds sold, Estimated Fair Value 0 0    
Securities available for sale, Estimated Fair Value 0 0    
Other investment securities, Estimated Fair Value 2,210 2,259    
Loans, net of allowance for loan loss, Estimated Fair Value 282,586 268,060    
Accrued interest receivable, Estimated Fair Value 1,213 1,198    
Noninterest-bearing deposits, Estimated Fair Value 0 0    
Interest-bearing deposits, Estimated Fair value 0 0    
Time deposits, Estimated Fair Value 0 0    
Federal funds purchased, Estimated Fair Value   0    
FHLB Advances, Estimated Fair Value 0 0    
Accrued interest payable, Estimated Fair Value $ (61) $ (56)