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Consolidated Statements Of Cash Flows - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2016
Jun. 30, 2015
Cash flows from operating activities    
Net income $ 4,288 $ 5,358
Adjustments to reconcile net income to net cash provided by operating activities:    
Depreciation and amortization 666 675
Net amortization of loans and investment securities 794 796
Amortization and net change in mortgage servicing rights valuation 27 9
Amortization of intangibles   181
Provision for loan losses 2,175 635
Gain on sales of securities (3) (8)
Impairment write-down on securities recognized in earnings 20 20
Gain on conversion of investment security   (728)
Loans originated for sale (4,963) (3,812)
Proceeds from sale of loans 4,937 2,446
Write-down on other real estate owned 46  
Writedown of premise and equipment   60
Net loss (gain) on sale or disposal of other real estate/other repossessed assets 10 (32)
Increase in cash surrender value of life insurance (267) (279)
Stock option compensation 58  
(Increase) decrease in other assets (504) 1,380
(Decrease) in other liabilities (2,588) (2,195)
Net cash provided by operating activities 4,696 4,506
Cash flows from investing activities    
Proceeds from sales and calls of investment securities available for sale 1,765 1,381
Proceeds from maturities and pay-downs of securities available for sale 11,929 14,132
Purchase of investment securities available for sale (16,605) (21,689)
Net decrease (increase) in restricted stock 346 (1)
Net increase in loans (46,522) (7,256)
Capital expenditures (288) (190)
Proceeds from surrender of life insurance policy 436  
Proceeds from sale of other real estate 224 129
Net cash used in investing activities (48,715) (13,494)
Cash flows from financing activities    
Net increase in demand deposits, interest-bearing checking, and savings accounts 52,147 41,406
Net decrease in time deposits (5,105) (6,528)
Net decrease in repurchase agreements   (9,079)
Dividends paid (1,715) (1,522)
Common stock issued under stock option plans 288 86
Common stock issued under dividend reinvestment plan 637 435
Purchase of treasury stock (350)  
Net cash provided by financing activities 45,902 24,798
Increase in cash and cash equivalents 1,883 15,810
Cash and cash equivalents as of January 1 39,166 48,593
Cash and cash equivalents as of June 30 41,049 64,403
Supplemental Disclosures of Cash Flow Information    
Cash paid during the year for: Interest on deposits and other borrowed funds 1,097 1,304
Cash paid during the year for: Income taxes 2,100 1,513
Noncash Activities    
Loans transferred to Other Real Estate $ 23 $ 449