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DEPOSITS (Details) - USD ($)
$ in Thousands
Dec. 31, 2017
Dec. 31, 2016
Summary of deposits [Abstract]    
Non-interest-bearing demand deposits $ 467,610 $ 417,812
Interest-bearing demand deposits 149,026 136,826
Insured money market accounts 513,782 548,963
Savings deposits 218,666 208,636
Time deposits 118,362 144,106
Total deposits 1,467,446 1,456,343
Scheduled maturities of time deposits [Abstract]    
2018 80,180  
2019 20,475  
2020 7,952  
2021 2,658  
2022 4,049  
2023 3,048  
Time deposits 118,362 144,106
Time deposits meeting or exceeding FDIC Insurance limit $ 8,900 $ 14,100