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Consolidated Statements Of Cash Flows (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Consolidated Statements Of Cash Flows [Abstract]    
NET INCOME (LOSS) $ (1,232) $ 3,187
ADJUSTMENTS TO RECONCILE NET INCOME (LOSS) TO NET CASH    
Provision for Loan Losses 24,088 26,549
Depreciation & Amortization 2,019 1,881
Stock Based Compensation   8
Accretion of Discounts (89) (118)
Amortization of Premiums 1,890 2,122
Increase in Accrued Interest and Loan Fees Receivable (293) (672)
Increase in Other Assets (3,732) (5,463)
Decrease in Accrued Interest Payable (172) (179)
Increase (Decrease) in Income Taxes Payable 2,345 (2,131)
Increase in Other Liabilities 1,572 2,075
Net Gain on Sale of Securities Available for Sale (1,645) (12)
Net Cash Provided by Operating Activities 24,751 27,247
CASH FLOWS FROM INVESTING ACTIVITIES    
Principal Payments on Investment Securities 25,479 22,689
Proceeds from Sale of Investment Securities Available for Sale 44,174 1,232
Maturities of Investment Securities Available for Sale 29,605 2,000
Purchases of Investment Securities Available for Sale (3,287) (22,904)
Maturities of Investment Securities Held to Maturity 3,951 6,836
Purchases of Investment Securities Held to Maturity (1,715) (2,833)
Loan (Disbursements) & Repayments, Net 90,708 13,740
Purchases of Premises & Equipment, Net (1,398) (904)
Disposition of Other Real Estate Owned 3,919  
Net Cash Provided by Investing Activities 191,436 19,856
CASH FLOWS FROM FINANCING ACTIVITIES    
Net (Decrease) Increase in Deposit Accounts (49,574) 90,000
Short-term Borrowings and (Repayments), Net (40,000) (110,800)
Dividends Paid to Shareholders (1,454) (6,361)
Stock Dividend Reinvestment, Net 658 870
Stock Options and Stock Appreciation Rights Exercised   209
Net Cash Used in Financing Activities (90,370) (26,082)
Net Increase in Cash & Cash Equivalents 125,817 21,021
Cash & Cash Equivalents Beginning of Period 41,149 37,007
Cash & Cash Equivalents End of Period 166,966 58,028
Supplemental Disclosure of Cash Flow Information    
Cash Received During the Nine Month Period for Interest 57,861 64,797
Cash Paid During the Nine Month Period for:    
Interest 5,006 7,689
Income Taxes 197 8,020
Total Cash Paid for Interest & Income Taxes $ 5,203 $ 15,709