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Note 10 - Credit Quality of Financing Receivables and Allowance for Credit Losses - Allowance Balances and Activity for Financing Receivables (Details) - USD ($)
3 Months Ended
Sep. 30, 2016
Sep. 30, 2015
Sep. 30, 2016
Jun. 30, 2016
Commercial Portfolio Segment [Member]        
Balance beginning of period $ 1,825,000 $ 2,592,000    
Charge-offs (1,000)    
Recoveries 3,000    
Provision for credit losses 0 200,000    
Balance end of period 1,828,000 2,791,000    
Allowance for lease and loan losses        
Allowance for lease and loan losses individually evaluated for impairment     $ 229,000 $ 37,000
Allowance for lease and loan losses collectively evaluated for impairment     1,599,000 1,788,000
Allowance for lease and loan losses 1,825,000 2,592,000 1,828,000 1,825,000
Finance receivables        
Finance receivables ndividually evaluated for impairment     3,940,000 242,000
Finance receivables collectively evaluated for impairment     167,419,000 180,996,000
Finance receivables     171,359,000 181,238,000
Education Government Non-profit Leases [Member]        
Balance beginning of period 465,000 817,000    
Charge-offs    
Recoveries    
Provision for credit losses    
Balance end of period 465,000 817,000    
Allowance for lease and loan losses        
Allowance for lease and loan losses individually evaluated for impairment     2,000 2,000
Allowance for lease and loan losses collectively evaluated for impairment     463,000 463,000
Allowance for lease and loan losses 465,000 817,000 465,000 465,000
Finance receivables        
Finance receivables ndividually evaluated for impairment     2,000 2,000
Finance receivables collectively evaluated for impairment     55,213,000 58,724,000
Finance receivables     55,215,000 58,726,000
Commercial and Industrial Loans [Member]        
Balance beginning of period 4,511,000 2,936,000    
Charge-offs    
Recoveries    
Provision for credit losses 300,000 300,000    
Balance end of period 4,811,000 3,236,000    
Allowance for lease and loan losses        
Allowance for lease and loan losses individually evaluated for impairment    
Allowance for lease and loan losses collectively evaluated for impairment     4,811,000 4,511,000
Allowance for lease and loan losses 4,511,000 2,936,000 4,811,000 4,511,000
Finance receivables        
Finance receivables ndividually evaluated for impairment    
Finance receivables collectively evaluated for impairment     420,809,000 401,629,000
Finance receivables     420,809,000 401,629,000
Commercial Real Estate Portfolio Segment [Member]        
Balance beginning of period 61,000 111,000    
Charge-offs    
Recoveries    
Provision for credit losses    
Balance end of period 61,000 111,000    
Allowance for lease and loan losses        
Allowance for lease and loan losses individually evaluated for impairment    
Allowance for lease and loan losses collectively evaluated for impairment     61,000 61,000
Allowance for lease and loan losses 61,000 111,000 61,000 61,000
Finance receivables        
Finance receivables ndividually evaluated for impairment    
Finance receivables collectively evaluated for impairment     6,569,000 6,679,000
Finance receivables     6,569,000 6,679,000
Balance beginning of period 6,862,000 6,456    
Charge-offs (1,000)    
Recoveries 3,000    
Provision for credit losses 300,000 500,000    
Balance end of period 7,165,000 6,955,000    
Allowance for lease and loan losses individually evaluated for impairment     231,000 39,000
Allowance for lease and loan losses collectively evaluated for impairment     6,934,000 6,823,000
Allowance for lease and loan losses $ 7,165,000 $ 6,456 7,165,000 6,862,000
Finance receivables ndividually evaluated for impairment     3,942,000 244,000
Finance receivables collectively evaluated for impairment     650,010,000 648,028,000
Finance receivables     $ 653,952,000 $ 648,272,000