XML 57 R39.htm IDEA: XBRL DOCUMENT v3.19.2
Deposits (Tables)
12 Months Ended
Jun. 30, 2019
Banking and Thrift [Abstract]  
Schedule of Deposits
    June 30, 2019     June 30, 2018  
(Dollars in Thousands)   Interest Rate     Amount     Interest Rate     Amount  
Checking deposits – non interest-bearing         $ 90,184           $ 86,174  
Checking deposits – interest-bearing(1)     0% - 0.30 %     257,909       0% - 0.30 %     259,372  
Savings deposits(1)     0% - 1.29 %     264,387       0% - 1.29 %     289,791  
Money market deposits(1)     0% - 2.00 %     35,646       0% - 2.00 %     34,633  
Time deposits:(1)                                
Under $100(2)     0.00% - 2.13 %     94,200       0.00% - 3.90 %     116,454  
$100 and over     0.15% - 2.52 %     98,945       0.15% - 2.13 %     121,174  
Total deposits           $ 841,271             $ 907,598  
Weighted-average interest rate on deposits             0.37 %             0.39 %

 

(1) Certain interest-bearing checking, savings, money market and time deposits require a minimum balance to earn interest.
(2) Includes brokered deposits of $0 and $1.6 million at June 30, 2019 and 2018, respectively.
Schedule of Annual Maturities of Time Deposits
    June 30,  
(In Thousands)   2019     2018  
One year or less   $ 106,080     $ 116,333  
Over one to two years     37,117       65,200  
Over two to three years     26,334       26,163  
Over three to four years     15,135       13,890  
Over four to five years     7,784       14,227  
Over five years     695       1,815  
Total time deposits   $ 193,145     $ 237,628  
Schedule of Interest Expense on Deposits
    Year Ended June 30,  
(In Thousands)   2019     2018  
Checking deposits – interest-bearing   $ 305     $ 293  
Savings deposits     572       595  
Money market deposits     123       114  
Time deposits     2,381       2,493  
Total interest expense on deposits   $ 3,381     $ 3,495