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Fair Value Of Financial Instruments (Narrative) (Details) (USD $)
9 Months Ended 12 Months Ended
Sep. 30, 2014
Dec. 31, 2013
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]    
Total recorded investment $ 8,453,000 $ 7,858,000
Recorded Investment, With no related allowance recorded 8,253,000 5,763,000
Recorded Investment, With allowance recorded 200,000 2,095,000
Impaired Financing Receivable, Related Allowance 121,000 379,000
Additional impaired financing receivable 3,300,000 3,100,000
Partial charge down 596,000 2,000,000
Total fair value of impaired loans 2,800,000 2,800,000
Other real estate owned & other repossessed property 901,000 1,096,000
OREO 837,000 1,000,000
Other Repossessed Assets 64,000 73,000
Transfers from level 1 to level 2 0  
Transfers from level 2 to level 1 0  
Brokered deposits 10,221,000  
Brokered deposits maturing in 2016 4,000,000  
Brokered deposits maturing in 2017 6,200,000  
Un-funded Loan Commitments [Member]
   
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]    
Off-balance sheet risks liability amount 98,900,000 89,400,000
Stand-by Letters Of Credit [Member]
   
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]    
Off-balance sheet risks liability amount 2,200,000 1,500,000
Fair Value [Member]
   
Fair Value, Off-balance Sheet Risks, Disclosure Information [Line Items]    
Recorded Investment, With allowance recorded 79,000 1,700,000
Additional impaired financing receivable 2,700,000 1,100,000
Brokered deposits $ 10,161,000