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CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
CASH FLOWS FROM OPERATING ACTIVITIES:      
Net Income $ 37,195 $ 28,044 $ 22,720
Adjustments to reconcile net income to net cash provided by operating activities:      
Net (accretion) amortization on securities 274 (840) (2,442)
Provision for loan losses 5,755 9,200 11,870
Securities impairment loss recognized in earnings 110 4,260 10,769
Securities (gains) losses (6) (1,321) (4)
Depreciation and amortization 3,897 4,643 4,199
Provision for deferred income taxes 624 (5,940) (2,043)
Net change in accrued interest receivable 500 797 1,076
Contribution of shares to ESOP 1,558 1,347 971
Gain on sale of mortgage loans (1,957) (2,206) (2,291)
Loss on sale of student loans     399
Gain on sale of credit card loans     (2,549)
Gain on purchase of business unit     (5,057)
Loss on sales of other real estate 370 283 196
Other, net (7,739) 10,293 (8,424)
NET CASH FROM OPERATING ACTIVITIES 40,581 48,560 29,390
CASH FLOWS FROM INVESTING ACTIVITIES:      
Sales of securities available-for-sale 25 12,248  
Calls, maturities and principal reductions on securities available-for-sale 139,179 223,862 128,349
Purchases of securities available-for-sale (134,770) (211,062) (88,532)
Loans made to customers, net of payments (106,012) (132,997) (265,976)
Net change in federal funds sold 1,044 16,472 (12,046)
Purchase of Bank Owned Life Insurance (4,500)    
Redemption of restricted stock 4,952 2,527  
Cash received from sale of mortgage loans 86,601 116,462 146,625
Cash received from sale of student loans     13,347
Cash received from sale of credit card loans     14,689
Cash received (disbursed) from purchase of business unit 14,849 (609) 30,977
Sale of other real estate 4,573 3,727 2,448
Additions to premises and equipment (1,476) (2,406) (6,655)
NET CASH FROM INVESTING ACTIVITIES 4,465 28,224 (36,774)
CASH FLOWS FROM FINANCING ACTIVITIES:      
Net change in deposits 10,202 113,180 80,359
Net change in other short-term borrowings 36,746 3,670 8,936
Dividends paid (12,231) (11,940) (11,806)
Purchases of treasury stock   (610) (616)
Proceeds from other borrowings   2,000 120,000
Repayments on other borrowings (3,994) (208,944) (172,416)
NET CASH FROM FINANCING ACTIVITIES 30,723 (102,644) 24,457
NET CHANGE IN CASH AND CASH EQUIVALENTS 75,769 (25,860) 17,073
CASH AND CASH EQUIVALENTS, BEGINNING OF YEAR 58,511 84,371 67,298
CASH AND CASH EQUIVALENTS, END OF YEAR 134,280 58,511 84,371
Cash paid for the year for:      
Interest 17,358 28,051 40,005
Income Taxes $ 16,565 $ 15,713 $ 13,485