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Deposits (Details) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Deposits      
Interest bearing demand $ 462,291,000 $ 345,739,000  
Savings 101,551,000 84,795,000  
Money market 643,787,000 579,686,000  
Time deposits greater than $250,000 40,604,000 45,888,000  
Other time deposits 309,354,000 329,426,000  
Total 1,557,587,000 1,385,534,000  
Interest expense related to certificates of deposit and other time deposits in denominations of $100,000 or more 1,307,000 1,855,000 2,575,000
Scheduled maturities of time deposits      
2014 228,459,000    
2015 78,308,000    
2016 23,534,000    
2017 13,950,000    
2018 and thereafter 5,707,000    
Total 349,958,000    
Deposits of directors and their associates, including deposits of companies for which directors are principal owners, and executive officers 19,088,000 29,819,000  
Deposits accounts in overdraft status and thus have been reclassified to loans $ 986,000 $ 814,000