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LOANS AND ALLOWANCE FOR LOAN LOSSES, ALLOWANCES (Details) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Allowance for loan losses, by portfolio segment [Roll Forward]      
Beginning balance: $ 10,432,650 $ 9,659,320 $ 9,498,131
Reclassification of Acquired Loan Discount   123,560  
Charge Offs (1,493,432) (1,272,419) (1,498,557)
Recoveries 1,081,624 1,094,622 701,413
Net recoveries (charge offs) (411,808) (177,797) (797,144)
Provision 2,754,726 827,567 958,333
Ending balance 12,775,568 10,432,650 9,659,320
Allowance balance attributable to recorded investments [Abstract]      
Individually evaluated for impairment - Loan allowances allocated 1,046,022 192,638  
Collectively evaluated for impairment - Loan allowance allocated 10,340,304 9,290,153  
Loans acquired with deteriorated credit quality 1,389,242 949,859  
Total ending allowance balance 12,775,568 10,432,650  
Loans [Abstract]      
Loans acquired with deteriorated credit quality 9,696,496 10,711,533  
Total 998,463,065 895,900,939  
Period of historical loss factor for substandard classification, but not impaired 90 days 90 days  
Commercial and Agricultural [Member]
     
Allowance for loan losses, by portfolio segment [Roll Forward]      
Beginning balance: 1,707,596 3,143,373 2,118,299
Reclassification of Acquired Loan Discount   73,229  
Charge Offs (186,045) (180,999) (686,192)
Recoveries 537,476 802,056 423,422
Net recoveries (charge offs) 351,431 621,057 (262,770)
Provision (80,338) (2,130,063) 1,287,844
Ending balance 1,978,689 1,707,596 3,143,373
Allowance balance attributable to recorded investments [Abstract]      
Individually evaluated for impairment - Loan allowances allocated 575,995 133,437  
Collectively evaluated for impairment - Loan allowance allocated 1,402,694 1,459,432  
Loans acquired with deteriorated credit quality 0 114,727  
Total ending allowance balance 1,978,689 1,707,596  
Loans [Abstract]      
Loans individually evaluated for impairment 2,945,524 1,907,395  
Loans collectively evaluated for impairment 142,107,931 131,045,609  
Loans acquired with deteriorated credit quality 678,383 1,241,418  
Total 145,731,838 134,194,422  
Commercial Mortgages [Member]
     
Allowance for loan losses, by portfolio segment [Roll Forward]      
Beginning balance: 4,427,698 2,570,149 2,575,058
Reclassification of Acquired Loan Discount   50,331  
Charge Offs (44,049) (335,093) (19,206)
Recoveries 97,953 54,637 40,717
Net recoveries (charge offs) 53,904 (280,456) 21,511
Provision 1,761,394 2,087,674 (26,420)
Ending balance 6,242,996 4,427,698 2,570,149
Allowance balance attributable to recorded investments [Abstract]      
Individually evaluated for impairment - Loan allowances allocated 466,055 59,201  
Collectively evaluated for impairment - Loan allowance allocated 4,407,377 3,533,365  
Loans acquired with deteriorated credit quality 1,369,564 835,132  
Total ending allowance balance 6,242,996 4,427,698  
Loans [Abstract]      
Loans individually evaluated for impairment 10,702,816 10,620,274  
Loans collectively evaluated for impairment 354,636,380 301,172,164  
Loans acquired with deteriorated credit quality 8,756,562 9,225,847  
Total 374,095,758 321,018,285  
Residential Mortgages [Member]
     
Allowance for loan losses, by portfolio segment [Roll Forward]      
Beginning balance: 1,565,571 1,309,649 1,301,780
Reclassification of Acquired Loan Discount   0  
Charge Offs (124,277) (82,442) (67,333)
Recoveries 65,180 0 44,953
Net recoveries (charge offs) (59,097) (82,442) (22,380)
Provision 10,418 338,364 30,249
Ending balance 1,516,892 1,565,571 1,309,649
Allowance balance attributable to recorded investments [Abstract]      
Individually evaluated for impairment - Loan allowances allocated 0 0  
Collectively evaluated for impairment - Loan allowance allocated 1,497,214 1,565,571  
Loans acquired with deteriorated credit quality 19,678 0  
Total ending allowance balance 1,516,892 1,565,571  
Loans [Abstract]      
Loans individually evaluated for impairment 117,278 131,909  
Loans collectively evaluated for impairment 196,146,739 200,622,600  
Loans acquired with deteriorated credit quality 261,551 244,268  
Total 196,525,568 200,998,777  
Consumer Loans [Member]
     
Allowance for loan losses, by portfolio segment [Roll Forward]      
Beginning balance: 2,705,639 2,192,729 2,727,022
Reclassification of Acquired Loan Discount   0  
Charge Offs (1,139,061) (673,885) (725,826)
Recoveries 381,015 237,929 192,321
Net recoveries (charge offs) (758,046) (435,956) (533,505)
Provision 1,089,398 948,866 (788)
Ending balance 3,036,991 2,705,639 2,192,729
Allowance balance attributable to recorded investments [Abstract]      
Individually evaluated for impairment - Loan allowances allocated 3,972 0  
Collectively evaluated for impairment - Loan allowance allocated 3,033,019 2,705,639  
Loans acquired with deteriorated credit quality 0 0  
Total ending allowance balance 3,036,991 2,705,639  
Loans [Abstract]      
Loans individually evaluated for impairment 130,929 0  
Loans collectively evaluated for impairment 281,978,972 239,689,455  
Loans acquired with deteriorated credit quality 0 0  
Total 282,109,901 239,689,455  
Unallocated [Member]
     
Allowance for loan losses, by portfolio segment [Roll Forward]      
Beginning balance: 26,146 443,420 775,972
Reclassification of Acquired Loan Discount   0  
Charge Offs 0 0 0
Recoveries 0 0 0
Net recoveries (charge offs) 0 0 0
Provision (26,146) (417,274) (332,552)
Ending balance 0 26,146 443,420
Allowance balance attributable to recorded investments [Abstract]      
Individually evaluated for impairment - Loan allowances allocated 0 0  
Collectively evaluated for impairment - Loan allowance allocated 0 26,146  
Loans acquired with deteriorated credit quality 0 0  
Total ending allowance balance $ 0 $ 26,146