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Deposits (Tables)
12 Months Ended
Dec. 31, 2015
Deposit [Abstract]  
Summary of deposits
 
        2015         2014
Non-interest bearing $ 13,010,209 $ 11,016,882
Interest bearing:
       NOW accounts 8,894,408 7,335,360
       Money market accounts 33,164,973 35,077,304
       Savings 1,034,438 767,668
       Time, less than $100,000 5,756,202 6,695,936
       Time, $100,000 and over 21,707,095 21,981,513
       Brokered time deposits, less than $100,000
       Brokered time deposits, $100,000 and over
Total deposits $ 83,567,325 $ 82,874,663
 
Scheduled maturities of certificates of deposit (including brokered time deposits
 
2016         $ 16,380,255
2017 6,581,652
2018 711,477
2019 3,026,300
2020 763,614
$ 27,463,298