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DEPOSITS (Tables)
12 Months Ended
Sep. 30, 2015
DEPOSITS [Abstract]  
Schedule of deposits by type of account

 

    September 30,  
    2015    
    2014       
    (Dollars in thousands)  
Demand accounts   $ 87,915     $ 84,306  
Savings accounts     90,196       65,123  
NOW accounts     41,457       47,029  
Money market accounts     103,593       102,118  
Certificate of deposit     122,088       126,661  
Retirement accounts     21,020       23,214  
    $ 466,269     $ 448,451  
Schedule of contractual maturities of certificates of deposit
Year Ending September 30,      
2016   $ 64,517  
2017     26,594  
2018     18,299  
2019     27,913  
2020 and after     5,785  
    $ 143,108