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Note 8 - Allowance Balances and Activity for Financing Receivables (Details) - USD ($)
$ in Thousands
12 Months Ended
Jun. 30, 2016
Jun. 30, 2015
Jun. 30, 2016
Jun. 30, 2015
Commercial Portfolio Segment [Member]        
Allowance for credit losses at beginning of year $ 2,592 $ 2,510    
Charge-off of leases (1,118) (19)    
Recoveries 1 1    
Provision for credit losses 350 100    
Allowance for credit losses at end of year 1,825 2,592    
Individually evaluated for impairment     $ 37 $ 563
Collectively evaluated for impairment     1,788 2,029
2,592 2,592 1,825 2,592
Individually evaluated for impairment     242 5,449
Collectively evaluated for impairment     180,996 225,894
Total ending finance receivable balance     181,238 231,343
Education Government Non-profit Leases [Member]        
Allowance for credit losses at beginning of year 817 817    
Charge-off of leases (2)    
Recoveries 50    
Provision for credit losses (400)    
Allowance for credit losses at end of year 465 817    
Individually evaluated for impairment     2 58
Collectively evaluated for impairment     463 759
817 817 465 817
Individually evaluated for impairment     2 221
Collectively evaluated for impairment     58,724 70,169
Total ending finance receivable balance     58,726 70,390
Commercial and Industrial Loans [Member]        
Allowance for credit losses at beginning of year 2,936 1,761    
Charge-off of leases    
Recoveries    
Provision for credit losses 1,575 1,175    
Allowance for credit losses at end of year 4,511 2,936    
Individually evaluated for impairment    
Collectively evaluated for impairment     4,511 2,936
2,936 2,936 4,511 2,936
Individually evaluated for impairment    
Collectively evaluated for impairment     401,629 238,986
Total ending finance receivable balance     401,629 238,986
Commercial Real Estate Portfolio Segment [Member]        
Allowance for credit losses at beginning of year 111 211    
Charge-off of leases    
Recoveries    
Provision for credit losses (50) (100)    
Allowance for credit losses at end of year 61 111    
Individually evaluated for impairment    
Collectively evaluated for impairment     61 111
111 111 61 111
Individually evaluated for impairment    
Collectively evaluated for impairment     6,679 7,523
Total ending finance receivable balance     6,679 7,523
Allowance for credit losses at beginning of year 6,456 5,299    
Charge-off of leases (1,120) (19)    
Recoveries 51 1    
Provision for credit losses 1,475 1,175    
Allowance for credit losses at end of year 6,862 6,456    
Individually evaluated for impairment     39 621
Collectively evaluated for impairment     6,823 5,835
$ 6,862 $ 6,456 6,862 6,456
Individually evaluated for impairment     244 5,670
Collectively evaluated for impairment     648,028 542,572
Total ending finance receivable balance     $ 648,272 $ 548,242