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Note 8 - Credit Quality Of Financing Receivables: (Detail) - Allowance Balances and Activity for Financing Receivables: (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Allowance for lease and loan losses    
Balance beginning of period $ 4,968 $ 4,091
Balance end of period 5,124 4,968
Charge-offs (51) (241)
Recoveries 207 143
Provision   975
Individually evaluated for impairment - Allowance for lease and loan losses 441 695
Collectively evaluated for impairment - Allowance for lease and loan losses 4,683 4,273
Total ending allowance balance 5,124 4,968
Finance receivables    
Individually evaluated for impairment - Finance Receivables 2,482 4,785
Collectively evaluated for impairment - Finance Receivables 324,379 301,973
Total Balance - Finance Receivables 326,861 306,758
Commercial Portfolio Segment [Member]
   
Allowance for lease and loan losses    
Balance beginning of period 2,019 1,772
Balance end of period 2,175 2,019
Charge-offs (51) (192)
Recoveries 207 14
Provision   425
Individually evaluated for impairment - Allowance for lease and loan losses 236 591
Collectively evaluated for impairment - Allowance for lease and loan losses 1,939 1,428
Total ending allowance balance 2,175 2,019
Finance receivables    
Individually evaluated for impairment - Finance Receivables 1,751 4,004
Collectively evaluated for impairment - Finance Receivables 156,588 122,787
Total Balance - Finance Receivables 158,339 126,791
Education Government Non Profit Leases [Member]
   
Allowance for lease and loan losses    
Balance beginning of period   797
Balance end of period 877 877
Charge-offs   (49)
Recoveries   129
Individually evaluated for impairment - Allowance for lease and loan losses 205 104
Collectively evaluated for impairment - Allowance for lease and loan losses 672 773
Total ending allowance balance 877 877
Finance receivables    
Individually evaluated for impairment - Finance Receivables 731 781
Collectively evaluated for impairment - Finance Receivables 82,809 83,389
Total Balance - Finance Receivables 83,540 84,170
Commercial And Industrial Loans [Member]
   
Allowance for lease and loan losses    
Balance beginning of period   1,321
Balance end of period 1,561 1,561
Provision   240
Collectively evaluated for impairment - Allowance for lease and loan losses 1,561 1,561
Total ending allowance balance 1,561 1,561
Finance receivables    
Collectively evaluated for impairment - Finance Receivables 71,501 79,417
Total Balance - Finance Receivables 71,501 79,417
Commercial Real Estate Portfolio Segment [Member]
   
Allowance for lease and loan losses    
Balance beginning of period   201
Balance end of period 511 511
Provision   310
Collectively evaluated for impairment - Allowance for lease and loan losses 511 511
Total ending allowance balance 511 511
Finance receivables    
Collectively evaluated for impairment - Finance Receivables 13,481 16,380
Total Balance - Finance Receivables $ 13,481 $ 16,380