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FAIR VALUE MEASUREMENT (Details 3) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Jun. 30, 2013
Dec. 31, 2012
Assets:        
Cash and cash equivalents $ 28,962 $ 28,583 $ 30,326 $ 42,586
Investment securities available for sale 69,495 65,919    
Loans, net of allowances for loan losses 181,451 185,982    
Accrued interest receivable 821 912    
Liabilities:        
Other borrowings 805 847    
Carrying Amount [Member]
       
Assets:        
Cash and cash equivalents    28,583    
Investment securities available for sale    65,919    
Loans, net of allowances for loan losses    185,982    
Accrued interest receivable    912    
Liabilities:        
Non-maturity deposits    116,115    
Maturity deposits    143,812    
Other borrowings    847    
Accrued interest payable    75    
Fair Value [Member]
       
Assets:        
Cash and cash equivalents    28,583    
Investment securities available for sale    65,919    
Loans, net of allowances for loan losses    189,387    
Accrued interest receivable    912    
Liabilities:        
Non-maturity deposits    116,115    
Maturity deposits    143,314    
Other borrowings    791    
Accrued interest payable    75    
Quoted Prices in Active Markets for Identical Assets (Level 1) [Member]
       
Assets:        
Cash and cash equivalents    28,583    
Investment securities available for sale          
Loans, net of allowances for loan losses         
Accrued interest receivable    912    
Liabilities:        
Non-maturity deposits    116,115    
Maturity deposits          
Other borrowings          
Accrued interest payable    75    
Significant Other Observable Inputs (Level 2) [Member]
       
Assets:        
Cash and cash equivalents          
Investment securities available for sale    65,919    
Loans, net of allowances for loan losses         
Accrued interest receivable          
Liabilities:        
Non-maturity deposits          
Maturity deposits    143,314    
Other borrowings          
Accrued interest payable          
Significant Unobservable Inputs (Level 3) [Member]
       
Assets:        
Cash and cash equivalents          
Investment securities available for sale          
Loans, net of allowances for loan losses    189,387    
Accrued interest receivable         
Liabilities:        
Non-maturity deposits          
Maturity deposits          
Other borrowings    791    
Accrued interest payable