XML 109 R105.htm IDEA: XBRL DOCUMENT v2.4.0.8
Note 12: Fair Value Measurements: Schedule of Fair Value of Financial Instruments (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2013
Jun. 30, 2013
Assets | Cash and Cash Equivalents
   
Fair Value Financial Instruments Carrying Amount $ 19,885 $ 12,789
Assets | Interest-bearing time deposits
   
Fair Value Financial Instruments Carrying Amount 980 980
Assets | Investment in Federal Home Loan Bank Stock
   
Fair Value Financial Instruments Carrying Amount 4,269 2,007
Assets | Investment in Federal Reserve Bank Stock
   
Fair Value Financial Instruments Carrying Amount 1,004 1,004
Assets | Loans Receivable
   
Fair Value Financial Instruments Carrying Amount 748,730 647,166
Assets | Accrued interest receivable
   
Fair Value Financial Instruments Carrying Amount 4,785 3,970
Liabilities | Deposits
   
Fair Value Financial Instruments Carrying Amount 729,791 632,379
Liabilities | Securities Sold under Agreements to Repurchase
   
Fair Value Financial Instruments Carrying Amount 21,801 27,788
Liabilities | Federal Home Loan Bank Advances
   
Fair Value Financial Instruments Carrying Amount 80,888 24,500
Liabilities | Accrued interest payable
   
Fair Value Financial Instruments Carrying Amount 904 529
Liabilities | Subordinated Debt
   
Fair Value Financial Instruments Carrying Amount $ 9,714 $ 7,217