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11. Fair Value Measurements: Schedule of Fair Value of Financial Instruments at Year-End (Details) - USD ($)
Dec. 31, 2015
Dec. 31, 2014
Dec. 31, 2013
Cash and cash equivalents $ 10,782,098 $ 3,236,582 $ 5,789,778
Available for sale securities 7,572,029 8,539,892  
Loans held for sale, at fair value 3,260,761 6,160,183  
Loans held at fair value 2,458,930 628,750  
Loans, net of allowance for loan losses 33,101,029 40,127,323  
Savings deposits 11,680,878 12,091,282  
Time deposits 14,259,000    
Accrued interest payable 9,157 16,253  
Carrying Amount      
Available for sale securities 7,572,000 8,540,000  
Loans, net of allowance for loan losses 33,101,000 40,127,000  
Carrying Amount | Fair Value, Inputs, Level 1      
Cash and cash equivalents 10,782,000 3,237,000  
Carrying Amount | Fair Value, Inputs, Level 2      
Loans held for sale, at fair value 3,261,000 6,160,000  
Interest Receivable 175,000 250,000  
Demand Deposits 30,022,000 28,723,000  
Savings deposits 11,681,000 12,091,000  
Time deposits 14,259,000 16,148,000  
Accrued interest payable 9,000 16,000  
Carrying Amount | Fair Value, Inputs, Level 3      
Loans held at fair value 2,459,000 629,000  
Fair Value      
Available for sale securities 7,572,000 8,540,000  
Loans, net of allowance for loan losses 33,082,000 40,069,000  
Fair Value | Fair Value, Inputs, Level 1      
Cash and cash equivalents 10,782,000 3,237,000  
Fair Value | Fair Value, Inputs, Level 2      
Loans held for sale, at fair value 3,261,000 6,160,000  
Interest Receivable 175,000 250,000  
Demand Deposits 30,022,000 28,723,000  
Savings deposits 11,681,000 12,091,000  
Time deposits 14,242,000 16,157,000  
Accrued interest payable 9,000 16,000  
Fair Value | Fair Value, Inputs, Level 3      
Loans held at fair value $ 2,459,000 $ 629,000