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Note 6: Deposits: Schedule of Deposit Liabilities (Details) (USD $)
Jun. 30, 2014
Jun. 30, 2013
Deposits, Negotiable Order of Withdrawal (NOW) $ 271,156,277 $ 208,047,966
Deposits, Money Market Deposits 28,033,253 22,274,947
Deposits, Savings Deposits 95,326,510 84,372,522
Total Non-Maturity Deposits 462,628,722 360,137,280
Interest-bearing Domestic Deposit, Certificates of Deposits 323,172,285 272,241,653
Deposits, Domestic 785,801,007 632,378,933
0.00 - .99%
   
Interest-bearing Domestic Deposit, Certificates of Deposits 182,969,822 129,001,095
1.00 - 1.99%
   
Interest-bearing Domestic Deposit, Certificates of Deposits 107,466,963 98,756,575
2.00 - 2.99%
   
Interest-bearing Domestic Deposit, Certificates of Deposits 19,112,848 24,345,200
3.00 - 3.99%
   
Interest-bearing Domestic Deposit, Certificates of Deposits 13,522,636 19,431,132
4.00 - 4.99%
   
Interest-bearing Domestic Deposit, Certificates of Deposits $ 100,017 $ 707,652