XML 49 R87.htm IDEA: XBRL DOCUMENT v2.4.0.8
Note 6: Deposits: Schedule of Deposit Liabilities (Tables)
12 Months Ended
Jun. 30, 2014
Tables/Schedules  
Schedule of Deposit Liabilities

 

 June 30,

 

2014

2013

Non-interest bearing accounts

$68,112,682

$45,441,845

NOW accounts

271,156,277

208,047,966

Money market deposit accounts

28,033,253

22,274,947

Savings accounts

95,326,510

84,372,522

TOTAL NON-MATURITY DEPOSITS

462,628,722

360,137,280

Certificates

0.00-.99%

182,969,822

129,001,095

1.00-1.99%

107,466,963

98,756,575

2.00-2.99%

19,112,848

24,345,200

3.00-3.99%

13,522,636

19,431,132

4.00-4.99%

100,017

707,652

5.00-5.99%

-

-

TOTAL CERTIFICATES

323,172,285

272,241,653

TOTAL DEPOSITS

$785,801,007

$632,378,933