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Consolidated Balance Sheets (March 31, 2013 Unaudited) (USD $)
Mar. 31, 2013
Jun. 30, 2012
ASSETS    
Cash and due from banks $ 58,471,000 $ 56,921,000
Investments 2,739,000 3,154,000
Securities available-for-sale 51,127,000 63,597,000
Receivables 1,405,000 1,597,000
Property acquired for transactions in process 11,661,000 18,548,000
Leases and loans:    
Allowance for credit losses (5,466,000) (5,205,000)
Net investment in leases and loans 426,946,000 336,463,000
Net property on operating leases 465,000 574,000
Income taxes receivable 685,000 880,000
Other assets 1,057,000 1,162,000
Discounted lease rentals assigned to lenders 1,042,000 3,275,000
555,598,000 486,171,000
Liabilities:    
Accounts payable 9,530,000 4,386,000
Accrued liabilities 2,691,000 2,799,000
Demand and savings deposits 90,669,000 79,157,000
Time certificates of deposit 252,658,000 174,140,000
Lease deposits 1,548,000 1,915,000
Non-recourse debt 1,042,000 3,275,000
Deferred income taxes, net 18,241,000 24,060,000
376,379,000 289,732,000
Commitments and contingencies      
Stockholders' equity:    
Preferred stock; 2,500,000 shares authorized; none issued 0 0
Common stock; $.01 par value; 20,000,000 shares authorized; 10,447,227 (March 31, 2013) and 10,433,684 (June 2012) issued and outstanding 104,000 104,000
Additional paid in capital 3,212,000 3,044,000
Retained earnings 175,066,000 192,603,000
Accumulated other comprehensive income, net of tax 837,000 688,000
179,219,000 196,439,000
555,598,000 486,171,000
Leases [Member]
   
Leases and loans:    
Leases and loans 326,077,000 256,686,000
Net investment in leases and loans 322,583,000 253,553,000
Commercial Loan [Member]
   
Leases and loans:    
Leases and loans $ 106,335,000 $ 84,982,000