|
UNITED
STATES DEPARTMENT OF JUSTICE
OFFICE
OF THE UNITED STATES TRUSTEE
SOUTHERN
DISTRICT OF CALIFORNIA
|
|
In
Re:
IMPERIAL
CAPITAL BANCORP, INC., a
Delaware
corporation
Debtor(s).
|
CHAPTER 11
(BUSINESS)
CASE
NO. 3:09-bk-19431
OPERATING
REPORT NO. 5
FOR
THE MONTH ENDING:
APRIL
2010
|
| 1. |
TOTAL
RECEIPTS PER ALL PRIOR GENERAL ACCOUNT REPORTS
|
$ | 5,952,722.52 | ||||
| 2. |
LESS: TOTAL
DISBURSEMENTS PER ALL PRIOR
GENERAL
ACCOUNT REPORTS
|
$ | 168,707.22 | ||||
| 3. |
BEGINNING
BALANCE:
|
$ | 5,784,015.30 | ||||
| 4. |
RECEIPTS
DURING CURRENT PERIOD:
|
||||||
|
ACCOUNTS
RECEIVABLE - PRE-FILING
|
$ | 0.00 | |||||
|
ACCOUNTS
RECEIVABLE - POST-FILING
|
$ | 0.00 | |||||
|
GENERAL
SALES
|
$ | 0.00 | |||||
|
OTHER
(SPECIFY) Payments on residual interests
|
$ | 0.00 | |||||
|
OTHER**
(SPECIFY) Refunds
|
$ | 0.00 | |||||
|
TOTAL
RECEIPTS THIS PERIOD:
|
$ | 0.00 | ||||
| 5. |
BALANCE:
|
$ | 5,784,015.30 |
| 6. |
LESS:
TOTAL DISBURSEMENTS DURING CURRENT PERIOD
|
|||||
|
TRANSFERS TO
OTHER DIP ACCOUNTS
|
$ | 0.00 | ||||
|
DISBURSEMENTS
|
$ | 5,117,749.41 | ||||
|
TOTAL
DISBURSEMENTS THIS PERIOD***:
|
$ | 5,117,749.41 | ||
| 7. |
ENDING
BALANCE:
|
$ | 666,265.89 | |||
| 8. |
GENERAL
ACCOUNT NUMBER
|
|||||
|
DEPOSITORY NAME AND LOCATION Bank of America, 1655 Grant Street Bldg A,
10th Floor,
Concord, CA
94520-2445
|
|
*
|
All receipts
must be deposited into the general
account.
|
|
DATE
|
CHECK
NUMBER
|
PAYEE
|
PURPOSE
|
AMOUNT
|
|
04/09/10
|
1062
|
Verizon
Wireless
|
Telephone
services
|
321.68
|
| 04/02/10 | 1064 | Ace Parking Management | Parking services |
750.00
|
| 04/06/10 | 1065 | Public Storage | Storage services |
805.75
|
| 04/08/10 | 1066 | Union Bank | Trustee fees for employee benefit plans |
4,901.10
|
| 04/09/10 | 1067 | The Hartford | Insurance premium |
2,080.00
|
| 04/12/10 | 1068 | Mass Mutual | Life insurance premiums |
24.29
|
| 04/08/10 | 1069 | Time Warner Cable | Internet services |
134.95
|
| 04/12/10 | 1070 | Federal Express | Shipping services |
107.96
|
| 04/12/10 | 1071 | Lincoln National Insurance Company | Health insurance premiums |
104.37
|
| 04/15/10 | 1072 | 888 Prospect LJ, LLC | Office rent |
6,440.56
|
| 04/15/10 | 1073 | Internal Revenue Service | Payroll taxes Q4 2009 |
77.45
|
| 04/15/10 | 1074 | Internal Revenue Service | Payroll taxes Q4 2009 |
69,329.22
|
| 04/13/10 | 1075 | State of California | Payroll taxes Q4 2009 |
22,350.69
|
| 04/14/10 | 1076 | 888 Prospect LJ, LLC | Rent security deposit |
6,440.56
|
| 04/09/10 | 1077 | Imperial Capital Bancorp (intercompany transfer) | Transfer to Torrey Pines Bank account |
5,000,000.00
|
| 04/12/10 | 1078 | Imperial Capital Bancorp (intercompany transfer) | Funding payroll account |
45.42
|
| 04/20/10 | 1079 | Tim Lawrence | Consulting services |
100.00
|
| 04/22/10 | 1080 | Verizon Wireless | Telephone services |
1,568.68
|
| 04/28/10 | 1081 | Ace Parking Management | Parking services |
450.00
|
| 04/28/10 | 1083 | State Compensation Insurance Fund | Workers compensation insurance premium |
522.16
|
| 04/27/10 | 1084 | Mass Mutual | Life insurance premiums | 4.99 |
| 04/28/10 | 1085 | Public Storage | Storage services | 805.75 |
| 04/15/10 | Bank Debit | Bank of America | Account analysis charge | 383.83 |
|
Balance
per bank statement dated: 4/30/10
|
$
|
666,265.89
|
|
Deposit
Date
|
Deposit
Amount
|
|
__________
|
$_____________
|
|
__________
|
$_____________
|
|
__________
|
$_____________
|
|
Total
deposits in transit
|
|
Check Number
|
Check Date
|
Check Amount
|
||
|
1082
|
4/22/10
|
$382.25
|
||
| 1086 | 4/26/10 | $325.00 | ||
| 1087 | 4/28/10 | $178.62 | ||
| 1088 | 4/30/10 | $160.00 | ||
|
Total
outstanding checks
|
<1,045.87>
|
|||
|
Bank
statement adjustments**
|
||||
|
Adjusted
bank balance
|
$ | 665,220.02 | ||
|
*
|
It is
acceptable to attach lists of deposits in transit and outstanding checks
to this form or to replace this form with a similar
form.
|
| 1. |
TOTAL
RECEIPTS PER ALL PRIOR GENERAL ACCOUNT REPORTS
|
$ | 0.00 | ||||
| 2. |
LESS: TOTAL
DISBURSEMENTS PER ALL PRIOR
GENERAL
ACCOUNT REPORTS
|
$ | 0.00 | ||||
| 3. |
BEGINNING
BALANCE:
|
$ | 0.00 | ||||
| 4. |
RECEIPTS
DURING CURRENT PERIOD:
|
||||||
|
ACCOUNTS
RECEIVABLE - PRE-FILING
|
$ | 0.00 | |||||
|
ACCOUNTS
RECEIVABLE - POST-FILING
|
$ | 0.00 | |||||
|
GENERAL
SALES
|
$ | 0.00 | |||||
|
OTHER
(SPECIFY) Payments on residual interests
|
$ | 5,918.55 | |||||
|
OTHER**
(SPECIFY) Transfer from Bank of America Account
|
$ | 5,000,000.00 | |||||
|
TOTAL
RECEIPTS THIS PERIOD:
|
$ | 5,005,918.55 | ||||
| 5. |
BALANCE:
|
$ | 5,005,918.55 |
| 6. |
LESS:
TOTAL DISBURSEMENTS DURING CURRENT PERIOD
|
|||||
|
TRANSFERS TO
OTHER DIP ACCOUNTS
|
$ | 0.00 | ||||
|
DISBURSEMENTS
|
$ | 4,991,603.54 | ||||
|
TOTAL
DISBURSEMENTS THIS PERIOD***:
|
$ | 4,991,603.54 | ||
| 7. |
ENDING
BALANCE:
|
$ | 14,315.01 | |||
| 8. |
GENERAL
ACCOUNT NUMBER
|
|||||
|
DEPOSITORY NAME AND LOCATION Torrey Pines Bank, 4350 Executive Drive, Suite
130,
San Diego,
CA 92121
|
|
DATE
|
CHECK
NUMBER
|
PAYEE
|
PURPOSE
|
AMOUNT
|
|
04/09/10
|
Bank
Debit
|
Imperial
Capital Bancorp (intercompany transfer)
|
Transfer
to money market account
|
4,975,000.00
|
| 04/14/10 | Bank Debit | Imperial Capital Bancorp (intercompany transfer) | Funding payroll account |
16,593.54
|
| 04/27/10 | Bank Debit | Torrey Pines Bank | Wire transfer fee |
10.00
|
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
||||
|
|
|
Balance
per bank statement dated: 4/30/10
|
$
|
14,315.01
|
|
Deposit
Date
|
Deposit
Amount
|
|
__________
|
$_____________
|
|
__________
|
$_____________
|
|
__________
|
$_____________
|
|
Total
deposits in transit
|
|
Check Number
|
Check Date
|
Check Amount
|
||
|
|
|
|
||
|
Total
outstanding checks
|
0.00
|
|||
|
Bank
statement adjustments**
|
||||
|
Adjusted
bank balance
|
$ | 14,315.01 | ||
|
*
|
It is
acceptable to attach lists of deposits in transit and outstanding checks
to this form or to replace this form with a similar
form.
|
| 1. |
TOTAL
RECEIPTS PER ALL PRIOR PAYROLL ACCOUNT REPORTS
|
$ | 117,725.42 | |||
| 2. |
LESS:
TOTAL DISBURSEMENTS PER ALL PRIOR PAYROLL ACCOUNT REPORTS
|
$ | 117,770.84 | |||
| 3. |
BEGINNING
BALANCE
|
$ | <45.42> | |||
| 4. |
RECEIPTS:
TRANSFERRED
FROM GENERAL ACCOUNT
|
$ | 45.42 | |||
| 5. |
BALANCE
|
$ | 0.00 | |||
| 6. |
LESS:
DISBURSEMENTS DURING CURRENT PERIOD
|
|
DATE
|
CHECK NO.
|
PAYEE
|
AMOUNT
|
|
TOTAL
DISBURSEMENTS THIS PERIOD:
|
$ | 0.00 | |||
| 7. |
ENDING
BALANCE:
|
$ | 0.00 | |||
| 8. |
PAYROLL
ACCOUNT NUMBER
DEPOSITORY
NAME AND LOCATION Bank of America, 1655 Grant Street Bldg A,
10th Floor,
Concord, California
94500-2455
|
|
Balance
per bank statement dated: 4/30/10
|
$ | 0.00 |
|
Deposit
Date
|
Deposit
Amount
|
|
__________
|
$_____________
|
|
__________
|
$_____________
|
|
__________
|
$_____________
|
|
Total
deposits in transit
|
0.00
|
|
Check Number
|
Check Date
|
Check Amount
|
||
|
Total
outstanding checks
|
<0.00>
|
|||
|
Bank
statement adjustments**
|
||||
|
Adjusted
bank balance
|
$ | <45.42> | ||
|
*
|
It is
acceptable to attach lists of deposits in transit and outstanding checks
to this form or to replace this form with a similar
form.
|
| 1. |
TOTAL
RECEIPTS PER ALL PRIOR PAYROLL ACCOUNT REPORTS
|
$ | 0.00 | |||
| 2. |
LESS:
TOTAL DISBURSEMENTS PER ALL PRIOR PAYROLL ACCOUNT REPORTS
|
$ | 0.00 | |||
| 3. |
BEGINNING
BALANCE
|
$ | 0.00 | |||
| 4. |
RECEIPTS:
TRANSFERRED
FROM GENERAL ACCOUNT
|
$ | 33,197.08 | |||
| 5. |
BALANCE
|
$ | 37,197.08 | |||
| 6. |
LESS:
DISBURSEMENTS DURING CURRENT PERIOD
|
|
DATE
|
CHECK NO.
|
PAYEE
|
AMOUNT
|
| 4/141/10 | Payroll fee | NPS Payroll Services | 61.00 |
| 4/14/10 | Transfer payroll 4/1 to 4/15 | NPS Payroll Services | 5,795.97 |
| 4/14/10 | Transfer payroll 4/1 to 4/15 | NPS Payroll Services | 10,736.57 |
| 4/29/10 | Payroll fee | NPS Payroll Services | 71.00 |
| 4/29/10 | Transfer payroll 3/1 to 3/15 | NPS Payroll Services | 5,795.93 |
| 4/29/10 | Transfer payroll 3/1 to 3/15 | NPS Payroll Services | 10,736.61 |
|
TOTAL
DISBURSEMENTS THIS PERIOD:
|
$ | 33,197.08 | |||
| 7. |
ENDING
BALANCE:
|
$ | 0.00 | |||
| 8. |
PAYROLL
ACCOUNT NUMBER
DEPOSITORY
NAME AND LOCATION Torrey Pines Bank, 4350 Executive Drive, Suite
130,
San Diego,
California 92121
|
|
Balance
per bank statement dated: 4/30/10
|
$ | 0.00 |
|
Deposit
Date
|
Deposit
Amount
|
|
__________
|
$_____________
|
|
__________
|
$_____________
|
|
__________
|
$_____________
|
|
Total
deposits in transit
|
0.00
|
|
Check Number
|
Check Date
|
Check Amount
|
||
|
Total
outstanding checks
|
<0.00>
|
|||
|
Bank
statement adjustments**
|
||||
|
Adjusted
bank balance
|
$ | 0.00 | ||
|
*
|
It is
acceptable to attach lists of deposits in transit and outstanding checks
to this form or to replace this form with a similar
form.
|
| 1. |
TOTAL
RECEIPTS PER ALL PRIOR TAX ACCOUNT REPORTS
|
$ | 0.00 | |||
| 2. |
LESS: TOTAL
DISBURSEMENTS PER ALL PRIOR TAX ACCOUNT REPORTS
|
$ | 0.00 | |||
| 3. |
BEGINNING
BALANCE
|
$ | 0.00 | |||
| 4. |
RECEIPTS:
TRANSFERRED
FROM GENERAL ACCOUNT
|
$ | 0.00 | |||
| 5. |
BALANCE
|
$ | 0.00 | |||
| 6. |
LESS:
DISBURSEMENTS DURING CURRENT PERIOD
|
|
DATE
|
CHECK NO.
|
PAYEE
|
AMOUNT
|
|
TOTAL
DISBURSEMENTS THIS PERIOD:
|
$ | 0.00 | |||
| 7. |
ENDING
BALANCE:
|
$ | 0.00 | |||
| 8. |
TAX
ACCOUNT NUMBER
|
|||||
|
DEPOSITORY
NAME AND LOCATION Bank of America, 1655 Grant St, Bldg A,
10th
Floor
Concord, CA
94520-2445
|
|
Balance
per bank statement dated:
|
$ | 0.00 |
|
Deposit
Date
|
Deposit
Amount
|
|
__________
|
$_____________
|
|
__________
|
$_____________
|
|
__________
|
$_____________
|
|
Total
deposits in transit
|
0.00
|
|
Check Number
|
Check Date
|
Check Amount
|
||
|
Total
outstanding checks
|
<0.00>
|
|||
|
Bank
statement adjustments**
|
||||
|
Adjusted
bank balance
|
$ | 0.00 | ||
|
*
|
It is
acceptable to attach lists of deposits in transit and outstanding checks
to this form or to replace this form with a similar
form.
|
|
GENERAL
ACCOUNT - Bk of America
|
$ | 666,265.89 | ||
| GENERAL ACCOUNT - Torrey Pines Bk | $ | 14,315.01 | ||
|
PAYROLL
ACCOUNT - Bk of America
|
$ | 0.00 | ||
| PAYROLL ACCOUNT - Torrey Pines Bk | $ | 0.00 | ||
|
TAX
ACCOUNT
|
$ | 0.00 | ||
|
OTHER
ACCOUNTS*:
Torrey Pines Bank
4350 Executive Drive, Suite
130
San Diego, CA 92121
Money Market Account
|
$ | 5,010,400.52 | ||
|
OTHER
MONIES*:_______________
|
$ | |||
|
PETTY
CASH**
|
$ | 250.00 | ||
|
TOTAL
CASH AVAILABLE
|
$ | 5,691,231.42 |
|
CREDITOR,
LESSOR, ETC.
|
FREQUENCY
OF PAYMENTS
(Mo./Qtr.)
|
AMOUNT
OF PAYMENT
|
POST-PETITION
PAYMENTS NOT MADE (NUMBER)
|
TOTAL
DUE
|
|
888
Prospect LJ, LLC
|
Monthly | $6,440.56 | None | None |
|
TOTAL
DUE
|
None |
|
GROSS
SALES SUBJECT TO SALES TAX
|
$ | 0 | ||
|
TOTAL
WAGES PAID
|
$ | 33,197.08 |
|
TOTAL
POST-PETITION AMOUNTS OWING
|
AMOUNT
DELINQUENT
|
DATE
DELINQUENT AMOUNT DUE
|
|
|
FEDERAL
WITHHOLDING
|
$
0.00
|
$0.00
|
|
|
STATE
WITHHOLDING
|
$
|
$
|
|
|
FICA
- EMPLOYER'S SHARE
|
$
|
$
|
|
|
FICA
- EMPLOYEE'S SHARE
|
$
|
$
|
|
|
FEDERAL
UNEMPLOYMENT
|
$
|
$
|
|
|
STATE
WITHHOLDING
|
$
|
$
|
|
|
SALES
AND USE
|
$
|
$
|
|
|
REAL
PROPERTY
|
$
|
$
|
|
|
OTHER:
(SPECIFY)
|
$
|
$
|
|
|
TOTAL:
|
$
|
$
|
|
ACCOUNTS
PAYABLE*
(POST-PETITION
ONLY)
|
ACCOUNTS
Pre-Petition
|
RECEIVABLE
Post-Petition
|
|
|
30
days or less
|
None
|
None | None |
|
31
- 60 days
|
|||
|
61
- 90 days
|
|||
|
91
- 120 days
|
|||
|
Over
120 days
|
|||
|
TOTALS:
|
|
NAME
OF
CARRIER
|
AMOUNT
OF COVERAGE
|
POLICY
EXPIRATION
DATE
|
PREMIUM
PAID
THROUGH:
|
||
|
General
Liability
|
Hartford
|
$1,000,000/occurrence
|
3/15/11 | 3/15/11 | |
|
Worker
Compensation
|
State Fund | $1,000,000/occurrence | 2/15/11 | April 2010 | |
|
Vehicle
|
Hartford | $1,000,000/occurrence | 3/15/11 | 3/15/11 | |
|
Qtrly
Period Ending
|
Total
Disbursements
|
Qtrly
Fees
|
Date
Paid
|
Amount
Paid
|
Qtrly
Fee Still Owing
|
|
12/31/09
|
$3,100.00 | $325.00 | 1/29/10 | $325.00 | $0.00 |
| 3/31/10 | $165,607.22 | $1,625.00 | 4/7/10 | $325.00 | $1,300.00 (paid in full 5/10) |
|
Name
of Insider
|
Date
of Order Authorizing Compensation
|
Authorized
Gross Compensation*
|
Gross
Compensation Paid During the Month
|
|
Joseph
W. Kiley
|
March 11, 2010 | $10,000/month | $10,000 |
| Anthony Rusnak | March 11, 2010 | $148,000/year, and additional amounts in insider compensation request | $14,932.34 |
|
Name
of Insider
|
Date
of Order Authorizing Payment
|
Description
|
Amount
Paid During the Month
|
|
None
|
|||
|
Current Month
|
Cumulative
Post-Petition
|
|||||||
|
Sales/Revenue:
|
||||||||
|
Gross
Sales/Revenue
|
0.00 | 0.00 | ||||||
|
Less:
Returns/Discounts
|
(0.00 | ) | (0.00 | ) | ||||
|
Net
Sales/Revenue
|
0.00 | 0.00 | ||||||
|
Cost
of Goods Sold:
|
||||||||
|
Beginning
Inventory at cost Purchases
|
0.00 | 0.00 | ||||||
|
Less:
Ending Inventory at cost
|
(0.00 | ) | (0.00 | ) | ||||
|
Cost
of Goods Sold (COGS)
|
0.00 | 0.00 | ||||||
|
Gross
Profit
|
||||||||
|
Other
Operating Income (Itemize)
|
0.00 | 0.00 | ||||||
|
Operating
Expenses:
|
||||||||
|
Payroll
- Insiders
|
0.00 | 0.00 | ||||||
|
Payroll
- Other Employees
|
30,715.34 | 138,230.70 | ||||||
|
Payroll
Taxes
|
2,798.16 | 12,680.52 | ||||||
|
Other
Taxes (Itemize)
|
0.00 | 0.00 | ||||||
|
Depreciation
and Amortization
|
0.00 | 0.00 | ||||||
|
Lease
Expense
|
6,440.56 | 25,762.24 | ||||||
|
Insurance
|
18,488.52 | 89,613.04 | ||||||
|
Telephone
and Utilities
|
1,747.30 | 6,910.36 | ||||||
|
Repairs,
Maintenance, Janitorial, Office, Plant Service
|
260.00 | 3,137.20 | ||||||
|
Travel
and Entertainment (Itemize)
|
||||||||
| Mileage, Parking and Auto | 655.85 | 1,471.08 | ||||||
| Meals | 109.81 | 439.75 | ||||||
| Airfare | 0.00 | 12,500.00 | ||||||
| Miscellaneous Operating Expenses (Itemize) | ||||||||
| Insurance - Employees | (20,147.09 | ) | (123,923.29 | ) | ||||
| Workers Compensation Insurance | 522.16 | 1,916.24 | ||||||
| Parking Services | 450.00 | 3,400.00 | ||||||
| Storage and Moving | 805.75 | 5,112.20 | ||||||
| Bank Service Charges | 418.83 | 2,882.93 | ||||||
| Payroll Fees | 132.00 | 1,472.25 | ||||||
| Office Supplies | 0.00 | 41.07 | ||||||
| Postage and Shipping | 382.25 | 1,055.09 | ||||||
| Employee Expense | 0.00 | (58.05 | ) | |||||
| Advertising | 0.00 | (1,000.00 | ) | |||||
| Taxes and Licenses | 0.00 | 1,214.00 | ||||||
| US Trustee Fees | 325.00 | 650.00 | ||||||
|
Total
Operating Expenses
|
44,104.44 | 183,507.33 | ||||||
|
Net
Gain/(Loss) from Operations
|
||||||||
|
Non-Operating
Income:
|
||||||||
|
Interest
on Cash Accounts
|
3,781.31 | 3,866.09 | ||||||
|
Gain
(Loss) on Sale of Assets
|
0.00 | (9,980.14 | ) | |||||
| Prudential Stock Dividends | 0.00 | 1,332.10 | ||||||
| Mark to Market on CSV of Life Insurance Policies | 56,156.46 | 292,398.28 | ||||||
| Distribution from ITLA Loan Securitization | 0.00 | 0.00 | ||||||
|
Total
Non-Operating income
|
59,937.77 | 287,616.33 | ||||||
|
Non-Operating
Expenses:
|
||||||||
|
Interest
Expense
|
0.00 | 0.00 | ||||||
|
Legal
Expense
|
93,822.25 | 362,602.39 | ||||||
|
Audit
and Accounting
|
31,765.00 | 38,502.00 | ||||||
| Consulting | 4,410.49 | 20,090.38 | ||||||
| Other (Itemize) | (65.32 | ) | (66.75 | ) | ||||
|
Total
Non-Operating Expenses
|
129,932.42 | 421,128.02 | ||||||
|
NET
INCOME/(LOSS)
|
(114,099.09 | ) | (317,019.02 | ) | ||||
|
Current Month End
|
||||||||
|
ASSETS
|
||||||||
|
Current
Assets:
|
||||||||
|
Unrestricted
Cash
|
5,690,185.55 | |||||||
|
Restricted
Cash
|
||||||||
| Other (Itemize) | ||||||||
| Security Deposit Held by Landlord | 30,971.51 | |||||||
| Money Market Accounts | 0.00 | |||||||
|
Total
Current Assets
|
5,721,157.06 | |||||||
|
Other
Assets (Net of Amortization):
|
||||||||
|
Due
from Insiders
|
0.00 | |||||||
|
Other
(Itemize)
|
||||||||
|
Cash Improperly Withheld in former ICB account
(City National Bank)
|
47,285.39 | |||||||
| Common Stock - Prudential Financial | 120,955.00 | |||||||
| Residual Interest in Securities | 434,429.33 | |||||||
|
Investment in ITLA Mortgage Loan
Securitization 2002-1
|
75,000.00 | |||||||
| Investments in Subordinated Trusts | 2,600,000.00 | |||||||
| Automobiles | 148,790.00 | |||||||
| Furniture and Equipment | 43,824.55 | |||||||
| Accrued Interest on Subordinated Trusts | 209,803.78 | |||||||
| Current and Deferred Income Taxes | 11,194,264.29 | |||||||
| Delaware Franchise Taxes | 99,945.00 | |||||||
| Prepaid Expenses, Net | 71,374.97 | |||||||
| Interests in Insurance Policies | 5,427,355.63 | |||||||
| Interest in Rabbi Trust Agreement | 2,016,939.05 | |||||||
| Other | 51,628.96 | |||||||
| Contingent Debts Owed to Debtor | 15,400,000.00 | |||||||
|
Total
Other Assets
|
37,941,595.95 | |||||||
|
TOTAL
ASSETS
|
43,662,753.01 | |||||||
|
LIABILITIES
|
||||||||
|
Postpetition
Liabilities:
|
||||||||
|
Accounts
Payable
|
0.00 | |||||||
|
Taxes
Payable
|
0.00 | |||||||
|
Professional
fees
|
0.00 | |||||||
|
Secured
Debt
|
0.00 | |||||||
|
Total
Postpetition Liabilities
|
0.00 | |||||||
|
Prepetition
Liabilities:
|
||||||||
|
Secured
Liabilities
|
0.00 | |||||||
|
Priority
Liabilities
|
0.00 | |||||||
|
Unsecured
Liabilities
|
101,695,589.11 | |||||||
|
Total
Prepetition Liabilities
|
101,695,589.11 | |||||||
|
TOTAL
LIABILITIES
|
101,695,589.11 | |||||||
|
EQUITY:
|
||||||||
|
Prepetition
Owners' Equity
|
(57,741,774.08 | ) | ||||||
|
Postpetition
Profit/(Loss)
|
(317,019.02 | ) | ||||||
|
Direct
Charges to Equity
|
25,957.00 | |||||||
|
TOTAL
EQUITY
|
(58,032,836.10 | ) | ||||||
|
TOTAL
LIABILITIES & EQUITY
|
43,662,753.01 | |||||||
|
1.
|
Has
the debtor-in-possession made any payments on its pre-petition unsecured
debt, except as have been authorized by the
court?
|
|
2.
|
Has
the debtor-in-possession during this reporting period provided
compensation or remuneration to any officers, directors, principals, or
other insiders without appropriate
authorization?
|
|
5.
|
Attach
copies of all Orders granting relief from the automatic stay that were
entered during the reporting
period. NONE
|
|
Date: May 20,
2010
|
/s/ Joseph W. Kiley
|
|||
|
Principal
for debtor-in-possession
|