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Note 7 - Deposits
12 Months Ended
Dec. 31, 2018
Notes to Financial Statements  
Deposit Liabilities Disclosures [Text Block]
7.
DEPOSITS
 
Interest-bearing deposits consisted of the following:
 
   
December 31,
 
   
2018
   
2017
 
                 
Interest-bearing demand deposits
  $
105,107,000
    $
99,195,000
 
Money market
   
82,743,000
     
60,757,000
 
Savings
   
177,710,000
     
174,426,000
 
Time, $250,000 or more
   
5,755,000
     
3,199,000
 
Other time
   
51,211,000
     
42,841,000
 
Interest-bearing deposits
  $
422,526,000
    $
380,418,000
 
 
At
December 31, 2018,
the scheduled maturities of time deposits were as follows:
 
Year Ending
       
December 31,
       
         
2019
  $
46,063,000
 
2020
   
7,810,000
 
2021
   
1,795,000
 
2022
   
1,061,000
 
2023
   
237,000
 
thereafter
   
-
 
    $
56,966,000
 
 
Deposit overdrafts reclassified as loan balances were
$512,000
and
$240,000
at
December 
31,
2018
and
2017,
respectively.