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Loans Receivable (Activity In The Allowance For Loan Losses By Portfolio) (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Sep. 30, 2013
Dec. 31, 2013
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance $ 1,881 $ 5,244 $ 2,713 $ 5,311  
Charge-off: (3,104) (609) (5,403) (6,032)  
Recoveries: 3,199 4,590 7,960 9,015  
Provision: 656 (4,433) (2,638) (3,502)  
Discontinued operations provision:       4,792  
Ending balance 2,632 4,792 2,632 4,792  
Allowance for Loan Losses, Ending balance individually evaluated for impairment 1,607 954 1,607 954  
Allowance for Loan Losses, Ending balance collectively evaluated for impairment 1,025 3,838 1,025 3,838  
Allowance for Loan Losses, Total 2,632 4,792 2,632 4,792  
Loans receivable, Ending balance individually evaluated for impairment 19,302 139,149 19,302 139,149  
Loans receivable, Ending balance collectively evaluated for impairment 11,601 41,500 11,601 41,500  
Total 30,903 180,649 30,903 180,649 74,939
Proceeds from loan sales 9,497   9,497 1,100  
Transfer to loans held for sale 2,299   2,299    
Transfer from loans held for sale   (1,312)   (1,312)  
Commercial Non-Real Estate [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance   1,384 954 1,735  
Charge-off:     (1,939)    
Recoveries: 26 53 67 308  
Provision: (26) 116 918 (490)  
Discontinued operations provision:       1,553  
Ending balance   1,553   1,553  
Allowance for Loan Losses, Ending balance individually evaluated for impairment   954   954  
Allowance for Loan Losses, Ending balance collectively evaluated for impairment   599   599  
Allowance for Loan Losses, Total   1,553   1,553  
Loans receivable, Ending balance individually evaluated for impairment 1,345 3,332 1,345 3,332  
Loans receivable, Ending balance collectively evaluated for impairment   7,018   7,018  
Total 1,345 10,350 1,345 10,350 3,331
Commercial Real Estate [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance 115 972 227 1,869  
Charge-off: (134) (227) (134) (3,915)  
Recoveries: 1,974 3,596 5,723 5,743  
Provision: (239) (3,992) (4,100) (3,348)  
Discontinued operations provision:       349  
Ending balance 1,716 349 1,716 349  
Allowance for Loan Losses, Ending balance individually evaluated for impairment 1,607   1,607    
Allowance for Loan Losses, Ending balance collectively evaluated for impairment 109 349 109 349  
Allowance for Loan Losses, Total 1,716 349 1,716 349  
Loans receivable, Ending balance individually evaluated for impairment 16,675 90,750 16,675 90,750  
Loans receivable, Ending balance collectively evaluated for impairment 10,468 20,117 10,468 20,117  
Total 27,143 110,867 27,143 110,867 62,937
Proceeds from loan sales       1,100  
Small Business [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Recoveries: 80 73 267 189  
Provision: (80) (73) (267) (189)  
Consumer [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance 1,766 2,725 1,532 1,261  
Charge-off: (2,966) (241) (3,325) (1,528)  
Recoveries: 961 289 1,651 1,306  
Provision: 1,155 (225) 1,058 1,509  
Discontinued operations provision:       2,548  
Ending balance 916 2,548 916 2,548  
Allowance for Loan Losses, Ending balance collectively evaluated for impairment 916 2,548 916 2,548  
Allowance for Loan Losses, Total 916 2,548 916 2,548  
Loans receivable, Ending balance individually evaluated for impairment 1,282 4,921 1,282 4,921  
Loans receivable, Ending balance collectively evaluated for impairment 1,133 9,042 1,133 9,042  
Total 2,415 13,963 2,415 13,963 8,618
Proceeds from loan sales 3,239   3,239    
Transfer to loans held for sale 2,299   2,299    
Residential [Member]
         
Financing Receivable, Allowance for Credit Losses [Line Items]          
Beginning balance   163   446  
Charge-off: (4) (141) (5) (589)  
Recoveries: 158 579 252 1,469  
Provision: (154) (259) (247) (984)  
Discontinued operations provision:       342  
Ending balance   342   342  
Allowance for Loan Losses, Ending balance collectively evaluated for impairment   342   342  
Allowance for Loan Losses, Total   342   342  
Loans receivable, Ending balance individually evaluated for impairment   40,146   40,146  
Loans receivable, Ending balance collectively evaluated for impairment   5,323   5,323  
Total   45,469   45,469  
Proceeds from loan sales 6,258   6,258    
Transfer from loans held for sale   $ (1,312)   $ (1,312)