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Deposits (Details) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Summary of deposits [Abstract]    
Demand accounts $ 57,243,718 $ 57,049,348
Interest checking accounts 43,690,689 45,861,199
Money market accounts 63,357,096 66,007,160
Savings accounts 20,229,614 20,922,112
Time deposits of $100,000 and over 94,245,516 113,332,481
Other time deposits 111,861,678 133,150,662
Total deposits 390,628,311 436,322,962
Time deposit fiscal year maturity [Abstract]    
2014 90,177,233  
2015 39,509,414  
2016 45,202,039  
2017 13,906,893  
2018 17,311,615  
Time Deposits 206,107,194  
Deposit held by officer and directors (in hundredths) 5.00%  
Deposit held by related party 8,481,000 6,310,000
Less Than $100,000 [Member]
   
Time deposit fiscal year maturity [Abstract]    
2014 46,386,723  
2015 23,149,674  
2016 23,477,291  
2017 7,385,433  
2018 11,462,557  
Time Deposits 111,861,678  
Greater than or Equal to $100,000 [Member]
   
Time deposit fiscal year maturity [Abstract]    
2014 43,790,510  
2015 16,359,740  
2016 21,724,748  
2017 6,521,460  
2018 5,849,058  
Time Deposits $ 94,245,516