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8. Fair Value: Schedule of Fair Value of Assets and Liabilities (Details) (USD $)
Sep. 30, 2013
Dec. 31, 2012
Sep. 30, 2012
Dec. 31, 2011
Cash and cash equivalents $ 9,177,594 $ 10,236,199 $ 11,703,161 $ 14,497,329
Available for sale securities 9,878,535 1,027,293    
Held to maturity securities   11,895,037    
Held to maturity securities, Fair Value 0 12,485,687    
Loans, net of allowance for loan losses 42,317,856 41,501,555    
Accrued interest receivable 285,877 309,971    
Savings deposits 13,121,855 14,239,216    
Accrued interest payable 14,892 30,500    
Carrying Amount
       
Cash and cash equivalents 9,178,000 [1] 10,236,000 [1]    
Available for sale securities 9,878,535 [2] 1,027,293 [2]    
Held to maturity securities 0 [3] 11,895,037 [3]    
Loans, net of allowance for loan losses 41,506,000 [4] 40,298,000 [4]    
Accrued interest receivable 286,000 [3] 310,000 [3]    
Demand deposits 30,063,000 [3] 29,851,000 [3]    
Savings deposits 13,122,000 [3] 14,239,000 [3]    
Time deposits 15,520,000 [3] 16,886,000 [3]    
Accrued interest payable 15,000 [3] 31,000 [3]    
Fair Value
       
Cash and cash equivalents 9,178,000 [1] 10,236,000 [1]    
Available for sale securities 9,878,535 [2] 1,027,293 [2]    
Held to maturity securities, Fair Value 0 [3] 12,485,687 [3]    
Loans, net of allowance for loan losses 41,459,000 [4] 40,325,000 [4]    
Accrued interest receivable 286,000 [3] 310,000 [3]    
Demand deposits 30,063,000 [3] 29,851,000 [3]    
Savings deposits 13,122,000 [3] 14,239,000 [3]    
Time deposits 15,523,000 [3] 16,902,000 [3]    
Accrued interest payable $ 15,000 [3] $ 31,000 [3]    
[1] Level in Value Hierarchy - Level 1.
[2] Level 1 for money market funds; Level 2 for all other securities.
[3] Level in Value Hierarchy - Level 2.
[4] Level 2 for non-impaired loans; Level 3 for impaired loans.