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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2015
Fair Value Measurements [Abstract]  
Schedule of Available for Sale Securities Measured at Fair Value on a Recurring Basis


      Fair Value Measurements at September 30, 2015 Using:
      Quoted Prices in   Significant Other       Significant
      Active Markets for   Observable       Unobservable
      Identical Assets   Inputs       Inputs
Description         Balance       (Level 1)     (Level 2)       (Level 3)
Assets:                            
U.S. Government agencies   $ 19,942   $   -   $ 19,942   $   -
Corporate bonds     11,139     -   11,139     -
Asset-backed securities   2,098     -   2,098     -
Mortgage-backed securities/CMOs     59,586     -   59,586     -
Municipal bonds   22,695     -   22,695     -
Total securities available for sale     $ 115,460   $   -   $ 115,460   $   -


      Fair Value Measurements at December 31, 2014 Using:
      Quoted Prices in   Significant Other       Significant
      Active Markets for   Observable       Unobservable
      Identical Assets   Inputs       Inputs
Description         Balance       (Level 1)     (Level 2)       (Level 3)
Assets:                            
U.S. Government agencies   $ 31,528   $   -   $ 31,528   $   -
Corporate bonds     21,276     -   21,276     -
Asset-backed securities   2,105     -   2,105     -
Mortgage-backed securities/CMOs     63,220     -   63,220     -
Municipal bonds   23,687     -   23,687     -
Total securities available for sale     $ 141,816   $   -   $ 141,816   $   -


Other Real Estate Owned Measured at Fair Value on a Nonrecurring Basis


      Fair Value Measurements at September 30, 2015 Using:
            Significant    
      Quoted Prices in     Other     Significant
      Active Markets for     Observable     Unobservable
          Identical Assets       Inputs     Inputs
Description     Balance       (Level 1)       (Level 2)     (Level 3)
Assets:                                 
Other Real Estate Owned         $ 540   $   -   $   -   $ 540
               
               
          Fair Value Measurements at December 31, 2014 Using:
              Significant  
          Quoted Prices in     Other   Significant
          Active Markets for     Observable   Unobservable
          Identical Assets     Inputs   Inputs
Description     Balance     (Level1   )   (Level2 )   (Level3 )
Assets:                     
Other Real Estate Owned   $ 1,177   $   -   $   -   $ 1,177


For the assets measured at fair value on a nonrecurring basis as of September 30, 2015, the following table displays quantitative information about Level 3 Fair Value Measurements (dollars in thousands):

            Weighted
Description Fair Value   Valuation Technique   Unobservable Inputs   Average
Assets:                
Other Real Estate Owned $ 540   Market comparables   Discount applied to contract price *   6.0 %


Schedule of the Carrying Values and Estimated Fair Values of the Bank's Financial Instruments


    Fair Value Measurement at September 30, 2015 using:
    Quoted Prices   Significant      
    in Active   Other   Significant  
    Markets for   Observable   Unobservable  
         Identical Assets   Inputs   Inputs  
  Carrying value   Level 1   Level 2   Level 3   Fair Value
Assets                    
Cash and cash equivalent   $ 17,464   $ 17,464   $ -   $ -   $ 17,464
Available for sale securities     115,460   -   115,460   -   115,460
Loans, net   386,585   -   -   379,167   379,167
Bank owned life insurance     13,364   -   13,364   -   13,364
Accrued interest receivable   1,299   -   467   832   1,299
Liabilities            
Demand deposits and          
     interest-bearing transaction          
     and money market accounts   $ 358,813   $ -   $ 358,813   $ -   $ 358,813
Certificates of deposit     112,832   -   115,914   -   115,914
Securities sold under          
     agreements to repurchase   19,436   -   19,436   -   19,436
Accrued interest payable     111   -   111   -   111
           
           
      Fair Value Measurement at December 31, 2014 using:      
      Quoted Prices   Significant    
      in Active   Other   Significant  
      Markets for   Observable   Unobservable  
      Identical Assets   Inputs   Inputs  
    Carrying value   Level 1   Level 2   Level 3   Fair Value
Assets            
Cash and cash equivalent   $ 54,107   $ 54,107   $ -   $ -   $ 54,107
Available for sale securities     141,816   -   141,816   -   141,816
Loans, net   310,090   -   -   310,806   310,806
Bank owned life insurance     13,034   -   13,034   -   13,034
Accrued interest receivable   1,296   -   566   730   1,296
Liabilities            
Demand deposits and          
     interest-bearing transaction          
     and money market accounts   $ 339,625   $ -   $ 339,625   $ -   $ 339,625
Certificates of deposit     117,094   -   117,189   -   117,189
Securities sold under          
     agreements to repurchase   17,995   -   17,995   -   17,995
Accrued interest payable     117   -   117   -   117