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Fair Value (Estimated Fair Values Of The Company's Financial Instruments) (Detail) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Financial assets    
Cash and due from banks $ 47,166 $ 4,255
Interest-bearing deposits with banks 164 14,758
Federal funds sold   33,700
Securities, available for sale 82,552 57,105
Securities, held to maturity 12,824 12,950
Restricted equity securities 615 592
Total loans 119,924 130,158
Accrued interest receivable 827 824
Bank Owned Life Insurance 6,322 5,437
Financial liabilities    
Deposits 246,437 232,411
Accrued interest payable 89 88
Off-balance sheet assets (liabilities)    
Commitments to extend credit and standby letter of credit 14,030 11,912
Carrying Amount [Member]
   
Financial assets    
Cash and due from banks 47,166 4,255
Interest-bearing deposits with banks 164 14,758
Federal funds sold    33,700
Securities, available for sale 82,552 57,105
Securities, held to maturity 12,824 12,950
Restricted equity securities 615 592
Total loans 119,924 130,158
Accrued interest receivable 827 824
Bank Owned Life Insurance 6,322 5,437
Financial liabilities    
Deposits 246,437 232,411
Accrued interest payable 89 88
Off-balance sheet assets (liabilities)    
Commitments to extend credit and standby letter of credit      
Fair Value [Member]
   
Financial assets    
Cash and due from banks 47,166 4,255
Interest-bearing deposits with banks 164 14,758
Federal funds sold    33,700
Securities, available for sale 82,552 57,105
Securities, held to maturity 13,500 13,662
Restricted equity securities 615 592
Total loans 122,683 132,837
Accrued interest receivable 827 824
Bank Owned Life Insurance 6,322 5,437
Financial liabilities    
Deposits 248,768 234,816
Accrued interest payable 89 88
Off-balance sheet assets (liabilities)    
Commitments to extend credit and standby letter of credit $ 14,030 $ 11,912