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NOTE 14 - FAIR VALUE MEASUREMENTS - (Table 5) (Detail) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2013
Dec. 31, 2012
Deposits:    
Other borrowed funds $ 22,025  
Carrying (Reported) Amount, Fair Value Disclosure [Member]
   
FINANCIAL ASSETS    
Cash and due from banks 21,431 22,654
Federal funds sold   15,865
Time deposits at other financial institutions 2,219 2,219
FHLB, FRB and other securities 8,402 8,313
Securities:    
Available-for-sale 306,300 285,815
Held-to-maturity 6 6
Loans 494,747 481,753
Accrued interest receivable 2,257 2,217
Deposits:    
Nonmaturity deposits 607,135 596,204
Time deposits 157,920 172,376
Other borrowed funds 22,025  
Subordinated debentures 21,651 21,651
Accrued interest payable 123 136
Level 1
   
FINANCIAL ASSETS    
Cash and due from banks 21,431 22,654
Federal funds sold   15,865
Deposits:    
Nonmaturity deposits 607,135 596,204
Other borrowed funds 22,025  
Accrued interest payable 4 2
Level 2
   
FINANCIAL ASSETS    
Time deposits at other financial institutions 2,219 2,219
Securities:    
Available-for-sale 306,300 285,815
Held-to-maturity 6 6
Accrued interest receivable 794 767
Deposits:    
Time deposits 158,090 172,805
Accrued interest payable 42 54
Level 3
   
Securities:    
Loans 503,363 500,689
Accrued interest receivable 1,463 1,450
Deposits:    
Subordinated debentures 8,081 9,018
Accrued interest payable 77 80
Total
   
FINANCIAL ASSETS    
Cash and due from banks 21,431 22,654
Federal funds sold   15,865
Time deposits at other financial institutions 2,219 2,219
Securities:    
Available-for-sale 306,300 285,815
Held-to-maturity 6 6
Loans 503,363 500,689
Accrued interest receivable 2,257 2,217
Deposits:    
Nonmaturity deposits 607,135 596,204
Time deposits 158,090 172,805
Other borrowed funds 22,025  
Subordinated debentures 8,081 9,018
Accrued interest payable $ 123 $ 136