XML 100 R75.htm IDEA: XBRL DOCUMENT v3.8.0.1
DEPOSITS (FY) (Tables)
12 Months Ended
Dec. 31, 2016
DEPOSITS [Abstract]  
Summary of interest expense on deposits

A summary of interest expense on deposits for the years ended December 31 follows:

2016
2015
2014
(In thousands)
Savings and interest bearing checking
$
1,115
 
$
1,056
 
$
1,064
 
Time deposits under $100,000
 
1,628
 
 
1,586
 
 
2,467
 
Time deposits of $100,000 or more
 
2,198
 
 
1,367
 
 
1,436
 
Total
$
4,941
 
$
4,009
 
$
4,967
 
Summary of maturity of time deposits

A summary of the maturity of time deposits at December 31, 2016, follows:

(In thousands)
2017
$
363,382
 
2018
 
74,019
 
2019
 
19,838
 
2020
 
11,341
 
2021
 
15,685
 
2022 and thereafter
 
853
 
Total
$
485,118
 
Summary of reciprocal deposits

A summary of reciprocal deposits at December 31 follows:

2016
2015
(In thousands)
Demand
$
3,055
 
$
3,436
 
Money market
 
4,350
 
 
8,340
 
Time
 
31,252
 
 
38,431
 
Total
$
38,657
 
$
50,207