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Consolidated Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
CASH FLOWS FROM OPERATING ACTIVITIES      
Net Income $ 20,249 $ 13,405 $ 12,218
Adjustments to Reconcile Net Income to Net Cash from Operating Activities:      
Net Amortization (Accretion) on Securities 2,509 1,080 (144)
Depreciation and Amortization 5,139 3,720 3,688
Loans Originated for Sale (143,738) (125,473) (145,993)
Proceeds from Sales of Loans Held-for-Sale 136,364 121,489 145,213
Loss in Investment in Limited Partnership 20 135 138
Provision for Loan Losses 6,800 5,225 3,750
Gain on Sale of Loans, net (2,381) (2,160) (1,760)
Gain on Securities, net (3,024)    
Loss (Gain) on Sales of Other Real Estate and Repossessed Assets 165 (161) 364
Loss (Gain) on Disposition and Impairment of Premises and Equipment 28 (33) 11
Other-than-temporary Impairment on Securities 110   423
Increase in Cash Surrender Value of Company Owned Life Insurance (1,107) (814) (670)
Equity Based Compensation 635 405 485
Excess Tax Benefit from Restricted Share Grant (37) (99)  
Change in Assets and Liabilities:      
Interest Receivable and Other Assets 5,020 (532) (4,236)
Interest Payable and Other Liabilities (136) 1,040 (3,062)
Net Cash from Operating Activities 26,616 17,227 10,425
CASH FLOWS FROM INVESTING ACTIVITIES      
Proceeds from Maturity of Other Short-term Investments 6,223    
Proceeds from Maturities, Calls, Redemptions of Securities Available-for-Sale 99,272 59,795 54,294
Redemption of Federal Reserve Bank Stock 694    
Proceeds from Sales of Securities Available-for-Sale 20,061   379
Purchase of Securities Available-for-Sale (296,547) (155,797) (127,192)
Proceeds from Maturities of Securities Held-to-Maturity 915 1,175 554
Proceeds from Redemption of Federal Home Loan Bank Stock 1,523 1,414  
Purchase of Loans   (3,496) (24,078)
Proceeds from Sales of Loans 3,364 6,778 21,057
Loans Made to Customers, net of Payments Received 3,498 (4,874) 10,678
Proceeds from Sales of Other Real Estate 4,231 2,575 1,756
Property and Equipment Expenditures (3,965) (1,975) (2,637)
Proceeds from Sales of Property and Equipment 12 512 4
Acquire Capitalized Lease (7)    
Acquire Insurance Customer List     (386)
Net Cash from Investing Activities (104,946) (93,038) (65,571)
CASH FLOWS FROM FINANCING ACTIVITIES      
Change in Deposits 166,416 67,578 27,952
Change in Short-term Borrowings (32,682) 37,900 8,745
Advances in Long-term Debt     29,250
Repayments of Long-term Debt (6,549) (32,305) (21,541)
Issuance of Common Stock 12    
Income Tax Benefit from Restricted Share Grant 37 99  
Employee Stock Purchase Plan (25) (30) (2)
Dividends Paid (7,047) (6,214) (6,196)
Net Cash from Financing Activities 120,162 67,028 38,208
Net Change in Cash and Cash Equivalents 41,832 (8,783) (16,938)
Cash and Cash Equivalents at Beginning of Year 19,271 28,054 44,992
Cash and Cash Equivalents at End of Year 61,103 19,271 28,054
Cash Paid During the Year for      
Interest 16,577 15,534 19,815
Income Taxes 6,693 6,102 4,305
Supplemental Non Cash Disclosures      
Loans Transferred to Other Real Estate 3,492 [1] 2,160 [1] 2,665 [1]
Securities Transferred to Accounts Receivable 43,167 [1]    
Acquire Bank Branches
     
CASH FLOWS FROM INVESTING ACTIVITIES      
Cash Acquired From Acquisition   855  
Acquisition of American Community Bancorp, Inc.
     
CASH FLOWS FROM INVESTING ACTIVITIES      
Cash Acquired From Acquisition $ 55,780    
[1] See Note 16 for non-cash transactions included in the acquisition of American Community Bancorp, Inc.