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DEPOSITS (Details) (USD $)
Dec. 31, 2012
Dec. 31, 2011
Deposit Category    
Interest checking deposits $ 513,389,000 $ 500,998,000
Money market deposits 1,282,513,000 1,265,282,000
Savings deposits 153,680,000 157,480,000
Time deposits under $100,000 274,622,000 324,521,000
Time deposits of $100,000 or more 545,705,000 643,373,000
Total interest-bearing deposits 2,769,909,000 2,891,654,000
Brokered time deposits, a part of the CDARS program 37,700,000 41,600,000
Year of Maturity    
2013 637,078,000  
2014 135,347,000  
2015 7,960,000  
2016 33,087,000  
2017 6,855,000  
Total Time Deposits 820,327,000  
Time Deposit Under $100000
   
Year of Maturity    
2013 212,914,000  
2014 48,078,000  
2015 1,746,000  
2016 10,073,000  
2017 1,811,000  
Total Time Deposits 274,622,000  
Time Deposit $100000 or More
   
Year of Maturity    
2013 424,164,000  
2014 87,269,000  
2015 6,214,000  
2016 23,014,000  
2017 5,044,000  
Total Time Deposits $ 545,705,000