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Fair Value Measurements - Summary of the Carrying Amounts and Fair Values of the Company’s Financial Instruments on the Consolidated Balance Sheets (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Balance sheet assets    
Securities available for sale $ 640,212 $ 593,182
State tax credits held for sale 23,020 26,350
Carrying Amount
   
Balance sheet assets    
Cash and due from banks 21,906 20,791
Federal funds sold 51 143
Interest-bearing deposits 95,413 168,711
Securities available for sale 640,212 593,182
Other Investments, at cost 14,294 14,527
Loans held for sale 11,792 6,494
Derivative financial instruments 1,754 1,189
Portfolio loans, net 2,261,280 2,158,060
State tax credits held for sale 61,284 50,446
Accrued interest receivable 8,497 9,193
Balance sheet liabilities    
Deposits 2,658,851 2,791,353
Subordinated debentures 85,081 85,081
Federal Home Loan Bank advances 80,000 102,000
Other borrowings 245,070 154,545
Derivative financial instruments 1,979 1,796
Accrued interest payable 1,282 1,762
Estimated fair value
   
Balance sheet assets    
Cash and due from banks 21,906 20,791
Federal funds sold 51 143
Interest-bearing deposits 95,413 168,711
Securities available for sale 640,212 593,182
Other Investments, at cost 14,294 14,527
Loans held for sale 11,792 6,494
Derivative financial instruments 1,754 1,189
Portfolio loans, net 2,267,038 2,163,723
State tax credits held for sale 66,822 50,446
Accrued interest receivable 8,497 9,193
Balance sheet liabilities    
Deposits 2,669,113 2,804,044
Subordinated debentures 65,840 42,252
Federal Home Loan Bank advances 89,301 110,575
Other borrowings 245,224 154,561
Derivative financial instruments 1,979 1,796
Accrued interest payable $ 1,282 $ 1,762