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Consolidated Statements of Cash Flows (Unaudited) (USD $)
In Thousands, unless otherwise specified
6 Months Ended
Jun. 30, 2013
Jun. 30, 2012
Operating Activities    
Net Income $ 9,768 $ 9,475
Adjustments to reconcile net income to net cash provided by operating activities:    
Provision for loan losses 3,500 5,750
Depreciation and amortization of premises and equipment 1,838 1,822
Securities gains, net (345) (1,208)
Gains from life insurance policies, net (883) (458)
Deferred income tax provision (benefit) 1,714 (1,221)
Proceeds from sale of loans 513,476 238,680
Gains on sales of loans, net (7,792) (4,735)
Originations of loans held for sale (439,286) (221,687)
Amortization of premiums on securities 3,361 4,248
Accretion of discounts on securities (411) (344)
Decrease (Increase) in accrued interest receivable 385 (1,167)
Increase (Decrease) in accrued interest payable 38 (310)
Decrease in accrued expenses and other liabilities (6,496) (4,412)
Decrease in other assets 1,729 586
Loss on other real estate owned 13 66
Net cash provided by operating activities 80,609 25,085
Investing Activities    
Purchase of premises and equipment (1,313) (1,371)
Net decrease in interest-bearing deposits with other banks 31,771 86,931
Net increase in loans held in portfolio (93,965) (110,556)
Net decrease in short-term factored receivables 3,473 14,325
Proceeds from sale of other real estate 389 404
Proceeds from prepayments, redemptions or maturities of securities - held to maturity 11,083 20,735
Purchases of securities - held to maturity (100,353) (142,469)
Proceeds from calls of securities - held to maturity 90,100 160,962
Proceeds from sales of securities - held to maturity 1,910  
Proceeds from prepayments, redemptions or maturities of securities - available for sale 794,719 259,771
Purchases of securities - available for sale (814,154) (455,460)
Proceeds from calls/sales of securities - available for sale 33,165 112,107
Proceeds from redemptions or maturities of FHLB & FRB stock 30 317
Purchases of FHLB & FRB stock (248) (225)
Net cash used in investing activities (43,393) (54,529)
Financing Activities    
Net increase in noninterest-bearing demand deposits 16,530 20,559
Net increase in savings, NOW and money market deposits 100,760 73,447
Net decrease in time deposits (143,993) (40,031)
Net increase in Federal funds purchased   5,000
Net increase (decrease) in securities sold under agreements to repurchase 7,666 (9,114)
Net decrease in commercial paper and other short-term borrowings (6,900) (1,030)
Decrease in FHLB advances (673) (731)
Cash dividends paid on common stock (5,569) (5,564)
Net cash (used in) provided by financing activities (32,179) 42,536
Net increase in cash and due from banks 5,037 13,092
Cash and due from banks - beginning of period 38,944 31,046
Cash and due from banks - end of period 43,981 44,138
Supplemental disclosures:    
Interest paid 5,050 5,905
Income taxes paid 10,438 2,248
Loans held for sale transferred to portfolio 5,651 827
Loans transferred to other real estate 578 144
Due from brokers on sale of securities - AFS   5,173
Due to brokers on purchases of securities - HTM   10,072
Due to brokers on purchases of securities - AFS $ 11,730