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Deposits (Tables)
12 Months Ended
Dec. 31, 2017
Deposits [Abstract]  
Schedule of components of deposits
  2017  2016 
  (In Thousands) 
       
Non-interest bearing $8,385  $8,423 
NOW accounts  31,807   29,725 
Regular savings, tax escrow and demand clubs  25,413   26,655 
Money market  37,772   30,123 
Individual retirement accounts  7,069   6,975 
Certificates of deposit  106,245   81,033 
         
  $216,691  $182,934 
Schedule of individual retirement accounts and certificates of deposit have scheduled maturities
As of December 31, 2017, individual retirement accounts and certificates of deposit have scheduled maturities as follows (in thousands):
 
2018 $55,737 
2019  31,514 
2020  20,067 
2021  4,136 
2022  1,860 
     
  $113,314 
Schedule of interest expense on deposits
  2017  2016 
  (In Thousands) 
       
NOW accounts $89  $74 
Regular savings and demand clubs  103   102 
Money market  284   100 
Individual retirement accounts  75   64 
Certificates of deposit  1,260   1,096 
         
  $1,811  $1,436