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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2015
Fair Value Disclosures [Abstract]  
Schedule of assets measured at fair value on a recurring basis segregated by fair value hierarchy level
    December 31, 2015  
    Level 1     Level 2     Level 3     Total  
    Inputs     Inputs     Inputs     Fair Value  
Recurring:                                
Investment securities available for sale:                                
Residential mortgage-backed securities   $ -     $ 20,142     $ -     $ 20,142  
SBA pools     -       2,574       -       2,574  
Obligations of states and political subdivisions     -       11,642       -       11,642  
Government-sponsored enterprise equity Securities     -       92       -       92  
Redeemable common stock     -       -       (2,881 )     (2,881 )
Nonrecurring:                                
Foreclosed real estate     -       -       1,632       1,632  
Collateral-dependent impaired loans     -       -       1,685       1,685  
 
    December 31, 2014  
    Level 1     Level 2     Level 3     Total  
    Inputs     Inputs     Inputs     Fair Value  
Recurring:                                
Investment securities available for sale:                                
Residential mortgage-backed securities   $ -     $ 22,545     $ -     $ 22,545  
SBA pools     -       1,832       -       1,832  
Obligations of states and political subdivisions     -       9,698       -       9,698  
Government-sponsored enterprise equity Securities     -       102       -       102  
Redeemable common stock     -       -       (2,533 )     (2,533 )
Nonrecurring:                                
Foreclosed real estate     -       -       3,656       3,656  
Collateral-dependent impaired loans     -       -       3,002       3,002  
Mortgage servicing rights     -       646       -       646  
 
Schedule of quantitative information about Level 3 fair value measurements for financial instruments measured at fair value on a non-recurring basis
Balance as of December 31, 2013   $ 2,342  
Change in fair value related to redeemable common stock     191  
Balance as of December 31, 2014     2,533  
Purchase of shares by the Company     (267 )
Change in fair value related to redeemable common stock     615  
Balance as of December 31, 2015   $ 2,881  
 
Schedule of estimated fair values of the company's financial instruments
        December 31  
        2015     2014  
    Level in Fair
Value
Hierarchy
  Carrying
Amount
    Fair
Value
    Carrying
Amount
    Fair
Value
 
Financial assets:                                    
Cash and cash equivalents   Level 1   $ 12,059     $ 12,059     $ 14,373     $ 14,373  
Certificates of deposit   Level 2     9,543       9,543       4,181       4,181  
Federal funds sold   Level 2     9,100       9,100       2,000       2,000  
Securities available for sale   Level 2     34,450       34,450       34,177       34,177  
FHLB stock   Level 2     1,986       1,986       2,079       2,079  
Loans held for sale   Level 2     1,337       1,337       1,707       1,707  
Loans receivable, net   Level 2     197,595       199,971       182,050       183,219  
Accrued interest receivable   Level 2     1,020       1,020       834       834  
Mortgage servicing rights   Level 2     1,863       2,293       1,886       2,578  
Financial liabilities:                                    
Deposits   Level 2     239,950       232,350       221,972       215,199  
Advances from borrowers for taxes and insurance   Level 2     2,646       2,646       2,630       2,630  
Accrued interest payable   Level 2     12       12       17       17