XML 172 R143.htm IDEA: XBRL DOCUMENT v3.2.0.727
Note 6: Deposits: Schedule of Deposit Liabilities (Details) - USD ($)
$ in Thousands
Jun. 30, 2015
Jun. 30, 2014
Noninterest-bearing Deposit Liabilities $ 117,471 $ 68,113
Deposits, Negotiable Order of Withdrawal (NOW) 336,097 271,156
Deposits, Money Market Deposits 67,752 28,033
Deposits, Savings Deposits 131,884 95,327
Total Non-Maturity Deposits 653,204 462,629
Interest-bearing Domestic Deposit, Certificates of Deposits 402,038 323,172
Deposits, Domestic 1,055,242 785,801
0.00-.99%    
Interest-bearing Domestic Deposit, Certificates of Deposits 234,845 182,970
1.00-1.99%    
Interest-bearing Domestic Deposit, Certificates of Deposits 124,608 107,467
2.00-2.99%    
Interest-bearing Domestic Deposit, Certificates of Deposits 30,613 19,113
3.00-3.99%    
Interest-bearing Domestic Deposit, Certificates of Deposits 5,987 13,522
4.00-4.99%    
Interest-bearing Domestic Deposit, Certificates of Deposits   $ 100
5.00-5.99%    
Interest-bearing Domestic Deposit, Certificates of Deposits $ 5,985