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Deposits (Tables)
12 Months Ended
Dec. 31, 2017
Deposits [Abstract]  
Schedule of Deposits
The following table summarizes the Corporation’s deposits as of December 31:
(Dollar amounts in thousands)
 
2017
 
2016
 
 
Weighted
 
 
 
 
 
Weighted
 
 
 
 
Type of accounts
 
average rate
 
Amount
 
%
 
average rate
 
Amount
 
%
Non-interest bearing deposits
 

 
$
126,263

 
19.3
%
 

 
$
123,717

 
21.2
%
Interest bearing demand deposits
 
0.44
%
 
357,693

 
54.6
%
 
0.21
%
 
304,265

 
52.0
%
Time deposits
 
1.58
%
 
170,687

 
26.1
%
 
1.44
%
 
156,958

 
26.8
%
 
 
0.65
%
 
$
654,643

 
100.0
%
 
0.50
%
 
$
584,940

 
100.0
%
 
 
 
 
 
 
 
 
 
 
 
 
 
Schedule Time Deposit Maturities
Scheduled maturities of time deposits for the next five years and thereafter are as follows:
(Dollar amounts in thousands)
 
Amount
 
%
2018
 
$
46,907

 
27.5
%
2019
 
39,576

 
23.2
%
2020
 
25,214

 
14.8
%
2021
 
31,122

 
18.2
%
2022
 
9,616

 
5.6
%
Thereafter
 
18,252

 
10.7
%
 
 
$
170,687

 
100.0
%
 
 
 
 
 
Schedule Time Deposit Maturities of $250,000 or More
Scheduled maturities of time deposits of $250,000 or more at December 31, 2017 are as follows:
(Dollar amounts in thousands)
 
Amount
Three months or less
 
$
1,876

Over three months to six months
 
652

Over six months to twelve months
 
2,439

Over twelve months
 
34,022

 
 
$
38,989