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DEPOSITS (Details) (USD $)
Dec. 31, 2013
Dec. 31, 2012
Deposit Category    
Interest checking deposits $ 620,622,000 $ 513,389,000
Money market deposits 1,458,910,000 1,282,513,000
Savings deposits 218,638,000 153,680,000
Time deposits under $100,000 225,360,000 274,622,000
Time deposits of $100,000 or more 439,011,000 545,705,000
Total interest-bearing deposits 2,962,541,000 2,769,909,000
Brokered time deposits, a part of the CDARS program 49,400,000 37,700,000
Year of Maturity    
2014 517,283,000  
2015 53,619,000  
2016 76,920,000  
2017 10,166,000  
2018 6,313,000  
2019 70,000  
Total Time Deposits 664,371,000  
Rate of interest    
2014 0.49%  
2015 0.82%  
2016 0.78%  
2017 1.10%  
2018 0.78%  
2019 0.70%  
Total 0.56%  
Time Deposit Under $100000
   
Year of Maturity    
2014 173,820,000  
2015 17,200,000  
2016 29,151,000  
2017 2,694,000  
2018 2,425,000  
2019 70,000  
Total Time Deposits 225,360,000  
Time Deposit $100000 or More
   
Year of Maturity    
2014 343,463,000  
2015 36,419,000  
2016 47,769,000  
2017 7,472,000  
2018 3,888,000  
Total Time Deposits $ 439,011,000