Exhibit 99.1
IN THE UNITED STATES BANKRUPTCY COURT
FOR THE DISTRICT OF KANSAS
KANSAS CITY DIVISION
IN RE: ) | |
) | Case No. 11-20140-11-rdb |
DIGITAL SYSTEMS, INC. ) | Chapter 11 |
Debtor. ) | |
) |
DEBTOR'S STANDARD MONTHLY OPERATING REPORT (BUSINESS)
FOR THE PERIOD
FROM November 1, 2011 TO November 30, 2011
Comes now the above-named debtor and files its Monthly Operating Reports in accordance with the Guidelines established by the United States Trustee and FRBP 2015.
/s/ Joanne B. Stutz |
Attorney for Debtor’s Signature |
Debtor's Address and Phone Number: 15621 W. 87th Street, Box 355 Lenexa, KS 66219 | Attorney's Address and Phone Number: 7225 Renner Road, Suite 200 Shawnee, KS 66217 (913) 962-8700; (913) 962-8701 (FAX) |
Note: The original Monthly Operating Report is to be filed with the court and a copy simultaneously provided to the United States Trustee Office. Monthly Operating Reports must be filed by the 21st day of the following month.
For assistance in preparing the Monthly Operating Report, refer to the following resources on the United States Trustee Program Website, http://www.justice.gov/ust/r20/index.htm.
1) | Instructions for Preparations of Debtor’s Chapter 11 Monthly Operating Report |
2) | Initial Filing Requirements |
3) | Frequently Asked Questions (FAQs)http://www.usdoj.gov/ust/ |
MOR-1
SCHEDULE OF RECEIPTS AND DISBURSEMENTS
FOR THE PERIOD BEGINNING November 1, 2011 and ending November 30, 2011
Name of Debtor: Digital Systems, Inc. Case Number: 11-20140-11-rdb
Date of Petition: January 21, 2011
Current | Cumulative | ||||
Month | to Petition Date | ||||
1. FUNDS AT BEGINNING OF PERIOD | $ 160,608.36 | (a) | $24,201.83 | (b) | |
2. RECEIPTS: | |||||
A. Cash Sales | - | ||||
Minus: Cash Refunds | - | ||||
Net Cash Sales | - | ||||
B. Accounts Receivable | 202,714.26 | ||||
C. Other Receipts (See MOR-3) | 763,102.70 | ||||
(If you receive rental income, | - | ||||
you must attach a rent roll.) | |||||
3. TOTAL RECEIPTS (Lines 2A+2B+2C) | 965,816.96 | ||||
4. | TOTAL FUNDS AVAILABLE FOR OPERATIONS (Line 1 + Line 3) | $ 160,608.36 | $ 990,018.79 | ||
5. DISBURSEMENTS | |||||
A. Advertising | - | ||||
B. Bank Charges | 70.00 | 1,755.00 | |||
C. Contract Labor | 3,000.00 | 58,034.85 | |||
D. Fixed Asset Payments (not incl. in “N”) | - | ||||
E. Insurance | 41,943.00 | ||||
F. Inventory Payments (See Attach. 2) | - | ||||
G. Leases | - | ||||
H. Manufacturing Supplies | - | ||||
I. Office Supplies | 21.40 | 1,422.49 | |||
J. Payroll - Net (See Attachment 4B) | 167,780.49 | ||||
K. Professional Fees (Accounting & Legal) | 2,557.32 | 184,999.62 | |||
L. Rent | 750.00 | 51,875.66 | |||
M. Repairs & Maintenance | - | ||||
N. Secured Creditor Payments (See Attach. 2) | 186,977.59 | ||||
O. Taxes Paid - Payroll (See Attachment 4C) | 83,905.08 | ||||
P. Taxes Paid - Sales & Use (See Attachment 4C) | - | ||||
Q. Taxes Paid - Other (See Attachment 4C) | 6,630.52 | ||||
R. Telephone | 91.48 | 9,037.85 | |||
S. Travel & Entertainment | 4,185.62 | ||||
Y. U.S. Trustee Quarterly Fees | 650.00 | 5,525.00 | |||
U. Utilities | 106.18 | 6,687.19 | |||
V. Vehicle Expenses | - | ||||
W. Other Operating Expenses (See MOR-3) | 25,896.85 | ||||
6. TOTAL DISBURSEMENTS (Sum of 5A thru W) | 7,246.38 | 836,656.81 | |||
7. ENDING BALANCE (Line 4 Minus Line 6) | $ 153,361.98 | (c) | $ 153,361.98 | (c) |
MOR-2
I declare under penalty of perjury that this statement and the accompanying documents and reports are true and correct to the best of my knowledge and belief.
This 20th day of December 2011. | /s/ David C. Owen |
By: David C. Owen, Chairman/CEO |
(a)This number is carried forward from last month’s report. For the first report only, this number will be the balance as of the petition date.
(b)This figure will not change from month to month. It is always the amount of funds on hand as of the date of the petition.
(c)These two amounts will always be the same if form is completed correctly.
MOR-3
MONTHLY SCHEDULE OF RECEIPTS AND DISBURSEMENTS (cont’d)
Detail of Other Receipts and Other Disbursements
OTHER RECEIPTS:
Describe Each Item of Other Receipt and List Amount of Receipt. Write totals on Page MOR-2, Line 2C.
Description | Current Month | Cumulative Petition to Date |
TOTAL OTHER RECEIPTS | Refunds | $ 0.00 | $763,102.70 |
“Other Receipts” includes Loans from Insiders and other sources (i.e. Officer/Owner, related parties directors, related corporations, etc.). Please describe below:
Loan Amount | Source of Funds | Purpose | Repayment Schedule |
OTHER DISBURSEMENTS:
Describe Each Item of Other Disbursement and List Amount of Disbursement. Write totals on Page MOR-2, Line 5W.
Description | Current Month | Cumulative Petition to Date |
TOTAL OTHER DISBURSEMENTS |
NOTE: Attach a current Balance Sheet and Income (Profit & Loss) Statement.
ATTACHMENT 1
MONTHLY ACCOUNTS RECEIVABLE RECONCILIATION AND AGING
Name of Debtor: Digital Systems, Inc. Case Number: 11-20140-11-rdb
Reporting Period beginning November 1, 2011 Period ending November 30, 2011
MOR-4
ACCOUNTS RECEIVABLE AT PETITION DATE:
ACCOUNTS RECEIVABLE RECONCILIATION
(Include all accounts receivable, pre-petition and post-petition, including charge card sales which have not been received):
Beginning of Month Balance | $ 176,140 (a) |
PLUS: Current Month New Billings | |
MINUS: Collection During the Month | $ (b) |
PLUS/MINUS: Adjustments or Writeoffs | $ * |
End of Month Balance | $ 176,140 (c) |
*For any adjustments or Write-offs provide explanation and supporting documentation, if applicable:
Customer receipts paid to FCG offset against interest and penalty fees
Adjustment made to refund overpayment on account.
POST PETITION ACCOUNTS RECEIVABLE AGING
(Show the total for each aging category for all accounts receivable)
0-30 Days | 31-60 Days | 61-90 Days | Over 90Days | Total |
For any receivables in the “Over 90 Days” category, please provide the following:
Customer | Receivable Date | Status (Collection efforts taken, estimate of collectibility, write-off, disputed account, etc.) |
(a)This number is carried forward from last month’s report. For the first report only, this number will be the balance as of the petition date.
(b)This must equal the number reported in the “Current Month” column of Schedule of Receipts and
Disbursements (Page MOR-2, Line 2B).
(c)These two amounts must equal.
MOR-5
ATTACHMENT 2
MONTHLY ACCOUNTS PAYABLE AND SECURED PAYMENTS REPORT
Name of Debtor: Digital Systems, Inc. Case Number: 11-20140-11-rdb
Reporting Period beginning November 1, 2011 Period ending November 30, 2011
In the space below list all invoices or bills incurred and not paid since the filing of the petition. Do not include amounts owed prior to filing the petition. In the alternative, a computer generated list of payables may be attached provided all information requested below is included.
POST-PETITION ACCOUNTS PAYABLE
Date Incurred | Days Outstanding | Vendor | Description | Amount |
See Attached |
TOTAL AMOUNT | (b) |
X Check here if pre-petition debts have been paid. Attach an explanation and copies of supporting
documentation.
ACCOUNTS PAYABLE RECONCILIATION (Post Petition Unsecured Debt Only)
Opening Balance | $ 4,941.02 (a) |
PLUS: New Indebtedness Incurred This Month | $ |
MINUS: Amount Paid on Post Petition, | |
Accounts Payable This Month | $ |
PLUS/MINUS: Adjustments | $ * |
Ending Month Balance | $ 4,941.02 (c) |
*For any adjustments provide explanation and supporting documentation, if applicable.
SECURED PAYMENTS REPORT
List the status of Payments to Secured Creditors and Lessors (Post Petition Only). If you have entered into a modification agreement with a secured creditor/lessor, consult with your attorney and the United States Trustee Program prior to completing this section).
Number | Total | |||
Date | of Post | Amount of | ||
Secured | Payment | Amount | Petition | Post Petition |
Creditor/ | Due This | Paid This | Payments | Payments |
Lessor | Month | Month | Delinquent | Delinquent |
�� | ||||
TOTAL | (d) |
(a)This number is carried forward from last month’s report. For the first report only, this number will be zero.
(b, c)The total of line (b) must equal line (c).
(d)This number is reported in the “Current Month” column of Schedule of Receipts and Disbursements (Page MOR-2, Line 5N).
MOR-6
ATTACHMENT 3
INVENTORY AND FIXED ASSETS REPORT
Name of Debtor: Digital Systems, Inc. Case Number: 11-20140-11-rdb
Reporting Period beginning November 1, 2011 Period ending November 30, 2011
INVENTORY REPORT
INVENTORY BALANCE AT PETITION DATE: | $ |
INVENTORY RECONCILIATION: | |
Inventory Balance at Beginning of Month | $ 0.00 (a) |
PLUS: Inventory Purchased During Month$ | |
MINUS: Inventory Used or Sold | $ |
PLUS/MINUS: Adjustments or Write-downs | $ * |
Inventory on Hand at End of Month | $ 0.00 |
METHOD OF COSTING INVENTORY: FIFO
*For any adjustments or write-downs provide explanation and supporting documentation, if applicable.
Sale of Assets March 2011.
INVENTORY AGING
Less than 6 | 6 months to | Greater than | Considered | |
months old | 2 years old | 2 years old | Obsolete | Total Inventory |
% | 100.00 % | % | % | = 100%* |
* Aging Percentages must equal 100%.
o Check here if inventory contains perishable items.
Description of Obsolete Inventory:
FIXED ASSET REPORT
FIXED ASSETS FAIR MARKET VALUE AT PETITION DATE: | $ 1.219.241.95(b) |
(Includes Property, Plant and Equipment) | |
BRIEF DESCRIPTION (First Report Only): | |
FIXED ASSETS RECONCILIATION: | |
Fixed Asset Book Value at Beginning of Month | $ -0- (a)(b) |
MINUS: Depreciation Expense | $ |
PLUS: New Purchases | $ |
PLUS/MINUS: Adjustments or Write-downs | $ |
Ending Monthly Balance | $ -0- |
*For any adjustments or write-downs, provide explanation and supporting documentation, if applicable.
Asset Sale March 2011.
BRIEF DESCRIPTION OF FIXED ASSETS PURCHASED OR DISPOSED OF DURING THE REPORTING PERIOD:
(a)This number is carried forward from last month’s report. For the first report only, this number will be the
balance as of the petition date.
(b)Fair Market Value is the amount at which fixed assets could be sold under current economic conditions.
Book Value is the cost of the fixed assets minus accumulated depreciation and other adjustments.
MOR-7
ATTACHMENT 4A
MONTHLY SUMMARY OF BANK ACTIVITY - OPERATING ACCOUNT
Name of Debtor: Digital Systems, Inc. Case Number: 11-20140-11-rdb
Reporting Period beginning November 1, 2011 Period ending November 30, 2011
Attach a copy of current month bank statement and bank reconciliation to this Summary of Bank Activity. A standard bank reconciliation form can be found at http://www.justice.gov/ust/r20/index.htm. If bank accounts other than the three required by the United States Trustee Program are necessary, permission must be obtained from the United States Trustee prior to opening the accounts. Additionally, use of less than the three required bank accounts must be approved by the United States Trustee.
NAME OF BANK: FNB Olathe BRANCH:
ACCOUNT NAME: Operating Account ACCOUNT NUMBER: 0139602
PURPOSE OF ACCOUNT: OPERATING
Ending Balance per Bank Statement | $ 154,606.74 |
Plus Total Amount of Outstanding Deposits | $ |
Minus Total Amount of Outstanding Checks and other debits | $ 219.09 * |
Minus Service Charges | $ |
Ending Balance per Check Register | $ 154,387.65**(a) |
*Debit cards are used by
**If Closing Balance is negative, provide explanation:
4C: TAXES PAID-OTHER
Amount Payee Purpose
The following disbursements were paid in Cash (do not includes items reported as Petty Cash on Attachment 4D: ( o Check here if cash disbursements were authorized by United States Trustee)
Date | Amount | Payee | Purpose | Reason for Cash Disbursement |
TRANSFERS BETWEEN DEBTOR IN POSSESSION ACCOUNTS
“Total Amount of Outstanding Checks and other debits”, listed above, includes:
$________________Transferred to Payroll Account
$________________Transferred to Tax Account
(a) The total of this line on Attachment 4A, 4B and 4C plus the total of 4D must equal the amount reported as
“Ending Balance” on Schedule of Receipts and Disbursements (Page MOR-2, Line 7).
MOR-8
ATTACHMENT 5A
CHECK REGISTER - OPERATING ACCOUNT
Name of Debtor: ________________________________ Case Number:
Reporting Period beginning ________________________ Period ending
NAME OF BANK: _______________________________ BRANCH:
ACCOUNT NAME:
ACCOUNT NUMBER:
PURPOSE OF ACCOUNT: OPERATING
Account for all disbursements, including voids, lost checks, stop payments, etc. In the alternative, a computer generated check register can be attached to this report, provided all the information requested below is included.
DATE | CHECK NUMBER | PAYEE | PURPOSE AMOUNT |
SEE ATTACHED |
TOTAL | $ |
MOR-9
ATTACHMENT 4B
MONTHLY SUMMARY OF BANK ACTIVITY - PAYROLL ACCOUNT
Name of Debtor: Digital Systems, Inc. Case Number: 11-20140-11-rdb
Reporting Period beginning November 1, 2011 Period ending November 30, 2011
Attach a copy of current month bank statement and bank reconciliation to this Summary of Bank Activity. A standard bank reconciliation form can be found at http://www.justice.gov/ust/r20/index.htm.
NAME OF BANK: FNB Olathe BRANCH:
ACCOUNT NAME: Payroll Account ACCOUNT NUMBER: 0149527
PURPOSE OF ACCOUNT: PAYROLL ACCOUNT CLOSED
Ending Balance per Bank Statement | $ 0.00* |
Plus Total Amount of Outstanding Deposits | $ |
Minus Total Amount of Outstanding Checks and other debits | $ 0.00* |
Minus Service Charges | $ |
Ending Balance per Check Register | $ 0.00**(a) |
*Debit cards must not be issued on this account.
**If Closing Balance is negative, provide explanation:
The following disbursements were paid by Cash: ( o Check here if cash disbursements were authorized by United States Trustee)
Date | Amount | Payee | Purpose | Reason for Cash Disbursement |
The following non-payroll disbursements were made from this account:
Date | Amount | Payee | Purpose | Reason for disbursement from this account |
(a)The total of this line on Attachment 4A, 4B and 4C plus the total of 4D must equal the amount reported as
“Ending Balance” on Schedule of Receipts and Disbursements (Page MOR-2, Line 7).
MOR-10
ATTACHMENT 5B
CHECK REGISTER - PAYROLL ACCOUNT
Name of Debtor: Case Number:
Reporting Period beginning Period ending
NAME OF BANK: BRANCH:
ACCOUNT NAME:
ACCOUNT NUMBER:
PURPOSE OF ACCOUNT: PAYROLL
Account for all disbursements, including voids, lost payments, stop payment, etc. In the alternative, a computer generated check register can be attached to this report, provided all the information requested below is included.
DATE | CHECK NUMBER | PAYEE | PURPOSE AMOUNT |
SEE ATTACHED |
TOTAL | $ |
MOR-11
ATTACHMENT 4C
MONTHLY SUMMARY OF BANK ACTIVITY - TAX ACCOUNT
Name of Debtor: Digital Systems, Inc. Case Number: 11-20140-11-rdb
Reporting Period beginning November 1, 2011 Period ending November 30, 2011
Attach a copy of current month bank statement and bank reconciliation to this Summary of Bank Activity. A standard bank reconciliation form can be found on the United States Trustee website, http://www.justice.gov/ust/r20/index.htm.
NAME OF BANK: BRANCH: ACCOUNT CLOSED
ACCOUNT NAME: ACCOUNT NUMBER:
PURPOSE OF ACCOUNT: TAX
Ending Balance per Bank Statement | $ |
Plus Total Amount of Outstanding Deposits | $ |
Minus Total Amount of Outstanding Checks and other debits | $ * |
Minus Service Charges | $ |
Ending Balance per Check Register | $ **(a) |
*Debit cards must not be issued on this account.
**If Closing Balance is negative, provide explanation:
The following disbursements were paid by Cash: ( o Check here if cash disbursements were authorized by
United States Trustee)
Date | Amount | Payee | Purpose | Reason for Cash Disbursement |
The following non-payroll disbursements were made from this account:
Date | Amount | Payee | Purpose | Reason for disbursement from this account |
(a)The total of this line on Attachment 4A, 4B and 4C plus the total of 4D must equal the amount reported as
“Ending Balance” on Schedule of Receipts and Disbursements (Page MOR-2, Line 7).
MOR-12
ATTACHMENT 5C
CHECK REGISTER - TAX ACCOUNT
Name of Debtor: Case Number:
Reporting Period beginning Period ending
NAME OF BANK: BRANCH:
ACCOUNT NAME: ACCOUNT #
PURPOSE OF ACCOUNT: TAX
Account for all disbursements, including voids, lost checks, stop payments, etc. In the alternative, a computer-generated check register can be attached to this report, provided all the information requested below is included.
http://www.usdoj.gov/ust.
DATE | CHECK NUMBER | PAYEE | PURPOSE AMOUNT |
TOTAL | (d) |
SUMMARY OF TAXES PAID
Payroll Taxes Paid | (a) |
Sales & Use Taxes Paid | (b) |
Other Taxes Paid | (c) |
TOTAL | (d) |
(a) This number is reported in the “Current Month” column of Schedule of Receipts and Disbursements
(Page MOR-2, Line 5O).
(b) This number is reported in the “Current Month” column of Schedule or Receipts and Disbursements
(Page MOR-2, Line 5P).
(c) This number is reported in the “Current Month” column of Schedule of Receipts and Disbursements
(Page MOR-2, Line 5Q).
(d) These two lines must be equal.
MOR-13
ATTACHMENT 4D
INVESTMENT ACCOUNTS AND PETTY CASH REPORT
INVESTMENT ACCOUNTS
Each savings and investment account, i.e. certificates of deposits, money market accounts, stocks and bonds, etc., should be listed separately. Attach copies of account statements.
Type of Negotiable
Instrument | Face Value | Purchase Price | Date of Purchase | Current Market Value |
TOTAL | (a) |
PETTY CASH REPORT
The following Petty Cash Drawers/Accounts are maintained:
(Column 2) | (Column 3) | (Column 4) | |
Maximum | Amount of Petty | Difference between | |
Location of | Amount of Cash | Cash On Hand | (Column 2) and |
Box/Account | in Drawer/Acct. | At End of Month | (Column 3) |
TOTAL | $ (b) |
For any Petty Cash Disbursements over $100 per transaction, attach copies of receipts. If there are no receipts, provide an explanation
TOTAL INVESTMENT ACCOUNTS AND PETTY CASH(a + b) $ (c)
(c)The total of this line on Attachment 4A, 4B and 4C plus the total of 4D must equal the
amount reported as “Ending Balance” on Schedule of Receipts and Disbursements (Page
MOR-2, Line 7).
MOR-14
ATTACHMENT 6
MONTHLY TAX REPORT
Name of Debtor: Digital Systems, Inc. Case Number: 11-20140-11-rdb
Reporting Period beginning November 1, 2011 Period ending November 30, 2011
TAXES OWED AND DUE
Report all unpaid post-petition taxes including Federal and State withholding FICA, State sales tax, property tax, unemployment tax, State workmen's compensation, etc.
Name of Taxing | Date Payment | Date Last Tax Return | Tax Return | ||
Authority | Due | Description | Amount | Filed | Period |
| | ||||
| | | |||
| | | |||
| | | |||
| | | |||
| | | |||
TOTAL | $ |
MOR-15
ATTACHMENT 7
SUMMARY OF OFFICER OR OWNER COMPENSATION
SUMMARY OF PERSONNEL AND INSURANCE COVERAGES
Name of Debtor: Digital Systems, Inc. Case Number: 11-20140-11-rdb
Reporting Period beginning November 1, 2011 Period ending November 30, 2011
Report all forms of compensation received by or paid on behalf of the Officer or Owner during the month. Include car allowances, payments to retirement plans, loan repayments, payments of Officer/Owner’s personal expenses, insurance premium payments, etc. Do not include reimbursement for business expenses Officer or Owner incurred and for which detailed receipts are maintained in the accounting records.
Name of Officer or Owner | Title | Description | Amount Paid |
David Owen | CEO | Services | $2,000.00 |
David Owen continues to provide services as the Debtor winds down at the hourly rate of $100.00. These services will not exceed $2,000 per month.
PERSONNEL REPORT
Full Time | Part Time | |
Number of employees at beginning of period | 0 | 0 |
Number hired during the period | ||
Number terminated or resigned during period | ||
Number of employees on payroll at end of period | 0 | 0 |
CONFIRMATION OF INSURANCE
List all policies of insurance in effect, including but not limited to workers' compensation, liability, fire, theft, comprehensive, vehicle, health and life. For the first report, attach a copy of the declaration sheet for each type of insurance. For subsequent reports, attach a certificate of insurance for any policy in which a change occurs during the month (new carrier, increased policy limits, renewal, etc.).
Agent | Date | ||||
and/or | Phone | Policy | Coverage | Expiration | Premium |
Carrier | Number | Number | Type | Date | Due |
CBIZ Insurance, Kathy Beamis, 913-234-1918 | |||||
CBIZ/Acuity Insurance Co | X13725 | General Liab | 4/1/2012 | 4/1/2012 | |
CBIZ/Nat’l Union Fire | 01-146-63-00 | D&O | 9/30/10 | 1/1/18 |
The following lapse in insurance coverage occurred this month:
Policy | Date | Date |
Type | Lapsed | Reinstated | Reason for Lapse |
G | Check here if U. S. Trustee has been listed as Certificate Holder for all insurance policies. |
MOR-16
ATTACHMENT 8
SIGNIFICANT DEVELOPMENTS DURING REPORTING PERIOD
Information to be provided on this page, includes, but is not limited to: (1) financial transactions that are not reported on this report, such as the sale of real estate (attach closing statement); (2) non-financial transactions, such as the substitution of assets or collateral; (3) modifications to loan agreements; (4) change in senior management, etc. Attach any relevant documents.
We anticipate filing a Plan of Liquidation and Disclosure Statement as soon as possible after liquidation of the assets.
MOR-17
BANK RECONCILLIATION | Nov 30, 11 | |||
Beginning Balance | 161,853.12 | |||
Cleared Transactions | ||||
Checks and Payments - 12 items | -7,246.38 | |||
Deposits and Credits - 1 item | 0.00 | |||
Total Cleared Transactions | -7,246.38 | |||
Cleared Balance | 154,606.74 | |||
Uncleared Transactions | ||||
Checks and Payments - 3 items | -219.09 | |||
Total Uncleared Transactions | -219.09 | |||
Register Balance as of 11/30/2011 | 154,387.65 | |||
Ending Balance | 154,387.65 |
11-Nov | |||||||
Ordinary Income/Expense | November 2011 Profit & Loss Statement | ||||||
Expense | |||||||
0-60400 · Professional & Contract Service | |||||||
0-60410 · Consulting | |||||||
2-60410 · Consulting - Admin | 2,000.00 | ||||||
Total 0-60410 · Consulting | 2,000.00 | ||||||
Legal Fees | |||||||
2-60430 · Legal Expense | 2,557.32 | ||||||
Total Legal Fees | 2,557.32 | ||||||
0-60470 · Outside Services | |||||||
2-60470 · Outside Services - Admin | 1,000.00 | ||||||
Total 0-60470 · Outside Services | 1,000.00 | ||||||
0-60400 · Professional & Contract Service - Other | 650 | ||||||
Total 0-60400 · Professional & Contract Service | 6,207.32 | ||||||
0-60500 · Facilities & Maintenance Costs | |||||||
2-60550 · Rent Building | 750 | ||||||
2-60590 · Utility Expense | 106.18 | ||||||
Total 0-60500 · Facilities & Maintenance Costs | 856.18 | ||||||
0-60800 · Telecommunications | |||||||
6-60830 · Telephone Expense | 91.48 | ||||||
Total 0-60800 · Telecommunications | 91.48 | ||||||
0-61600 · Office Supplies and Expenses | |||||||
0-61610 · Shipping Supplies | |||||||
2-61610 · Shipping Supplies - Admin | 21.4 | ||||||
Total 0-61610 · Shipping Supplies | 21.4 | ||||||
Total 0-61600 · Office Supplies and Expenses | 21.4 | ||||||
0-62100 · Bank and Loan Charges | |||||||
2-62110 · Bank Charges | 50 | ||||||
Total 0-62100 · Bank and Loan Charges | 50 | ||||||
Total Expense | 7,226.38 | ||||||
Net Ordinary Income | -7,226.38 | ||||||
Net Income | -7,226.38 |
NOVEMBER 2011 BALANCE SHEET | 30-Nov-11 | ||||||
ASSETS | |||||||
Current Assets | |||||||
Checking/Savings | |||||||
Cash Accounts | |||||||
0-10070 · FNB Olathe Checking 013-960-2 | 154,407.65 | ||||||
Total Cash Accounts | 154,407.65 | ||||||
Foreign Cash Accounts | |||||||
0-10200 · YEN Bank of America 11407006 | -3,465.15 | ||||||
0-10210 · Yen Currency Fluctuation | 3,465.15 | ||||||
Total Foreign Cash Accounts | 0 | ||||||
Total Checking/Savings | 154,407.65 | ||||||
Accounts Receivable | |||||||
Accounts Receivable | |||||||
0-11000 · Accounts Receivable - Trade | 252,876.73 | ||||||
0-11010 · Accounts Receivable - Dealers | 23,719.75 | ||||||
0-11100 · Allowance for Doubtful Accounts | -100,456.68 | ||||||
Total Accounts Receivable | 176,139.80 | ||||||
Total Accounts Receivable | 176,139.80 | ||||||
Other Current Assets | |||||||
Prepaid Expenses | |||||||
0-13000 · Prepaid Expenses | 7,650.00 | ||||||
Total Prepaid Expenses | 7,650.00 | ||||||
Other Current Assets | |||||||
0-14000 · Deposits | -1,000.00 | ||||||
Total Other Current Assets | -1,000.00 | ||||||
Total Other Current Assets | 6,650.00 | ||||||
Total Current Assets | 337,197.45 | ||||||
TOTAL ASSETS | 337,197.45 | ||||||
LIABILITIES & EQUITY | |||||||
Liabilities | |||||||
Current Liabilities | |||||||
Accounts Payable | |||||||
Accounts Payable | |||||||
0-20000 · Accounts Payable | 1,190,520.49 | ||||||
0-20100 · Accounts Payable - Chpt 11 | 4,941.02 | ||||||
Total Accounts Payable | 1,195,461.51 | ||||||
Total Accounts Payable | 1,195,461.51 | ||||||
Other Current Liabilities | |||||||
Accrued Liabilities | |||||||
Accrued Expenses | |||||||
0-21000 · Accrued Expenses - Other | 52,257.40 | ||||||
0-21010 · Accrued Property Taxes | 26,686.29 | ||||||
0-21020 · Accrued Sales Tax | 3,366.29 | ||||||
Total Accrued Expenses | 82,309.98 | ||||||
Total Accrued Liabilities | 82,309.98 | ||||||
Total Other Current Liabilities | 82,309.98 | ||||||
Total Current Liabilities | 1,277,771.49 | ||||||
Total Liabilities | 1,277,771.49 | ||||||
Equity | |||||||
Shareholders' Equity - CS | |||||||
0-30000 · Bridge Warrant 2005 Proceeds | 164,991.75 | ||||||
0-30010 · Stock Option Proceeds | 52,650.00 | ||||||
0-30020 · Public Warrant Proceeds | 769,171.09 | ||||||
0-30040 · Common Stock | 36,343,227.14 | ||||||
0-30050 · Common Stock Restricted | 1,560,000.00 | ||||||
0-30060 · Options Outstanding | 2,076,270.47 | ||||||
0-30065 · Warrants | 88,660.94 | ||||||
0-30070 · Offering Costs | -2,250,025.22 | ||||||
Total Shareholders' Equity - CS | 38,804,946.17 | ||||||
Other Comprehensive Income | |||||||
0-31000 · Deferred currency exchange | 3,465.15 | ||||||
Total Other Comprehensive Income | 3,465.15 | ||||||
0-32000 · Retained Deficit | -36,493,467.90 | ||||||
Net Income | -3,255,517.46 | ||||||
Total Equity | -940,574.04 | ||||||
TOTAL LIABILITIES & EQUITY | 337,197.45 |
ICOP DIGITAL, INC. 12/16/201112:58 PM
Register: Cash Accounts: ()-10070 - FNB Olathe Checking 013-960-2
From 11/01/2011 through 11/30/2011
Sorted by: Date, Type, Number/Ref
Date Number Payee Account Memo Payment C Deposit Balance
11/03/2011 1005 Kincaid & Rees Park... 0-60500 Facilities &... November 750.00 X 160,884.03
11/03/2011 1006 Kansas City Power &... 0-60500 Facilities &... Pay Online 70.69 X 160,813.34
11/03/2011 1007 Kansas Gas Service 0-60500 Facilities &... 35.49 X 160,777.85
11/03/2011 1008 EVANS &MULLIN... 0-60400 Professional... 1,852.32 X 158,925.53
11/07/2011 OL AT&T 0-60800 Telecommun... 91.48 X 158,834.05
11/09/2011 OL Marketwire Inc. 0-60400 Professional... ACH 1,000.00 X 157,834.05
11/11/2011 1009 UPS Store 0-61600 Office Suppl... 21.40 X 157,812.65
11/11/2011 1010 Equivest, LLC 0-60400 Professional... November 2,000.00 X 155,812.65
11/11/2011 1011 US Trustee Payment... 0-60400 Professional... VOID: 832-11-... X 155,812.65
11/11/2011 1012 US Trustee Payment... 0-60400 Professional... 832-11-20140 650.00 X 155,162.65
11/11/2011 1013 EVANS &MULLIN... 0-60400 Professional... 705.00 X 154,457.65
11/30/2011 OL First National Batik 0... 0-62100 Bank and Lo... Monthly Cash... 50.00 X 154,407.65
Register: Cash Accounts: ()-10070 - FNB Olathe Checking 013-960-2
From 11/01/2011 through 11/30/2011
Sorted by: Date, Type, Number/Ref
Date Number Payee Account Memo Payment C Deposit Balance
11/03/2011 1005 Kincaid & Rees Park... 0-60500 Facilities &... November 750.00 X 160,884.03
11/03/2011 1006 Kansas City Power &... 0-60500 Facilities &... Pay Online 70.69 X 160,813.34
11/03/2011 1007 Kansas Gas Service 0-60500 Facilities &... 35.49 X 160,777.85
11/03/2011 1008 EVANS &MULLIN... 0-60400 Professional... 1,852.32 X 158,925.53
11/07/2011 OL AT&T 0-60800 Telecommun... 91.48 X 158,834.05
11/09/2011 OL Marketwire Inc. 0-60400 Professional... ACH 1,000.00 X 157,834.05
11/11/2011 1009 UPS Store 0-61600 Office Suppl... 21.40 X 157,812.65
11/11/2011 1010 Equivest, LLC 0-60400 Professional... November 2,000.00 X 155,812.65
11/11/2011 1011 US Trustee Payment... 0-60400 Professional... VOID: 832-11-... X 155,812.65
11/11/2011 1012 US Trustee Payment... 0-60400 Professional... 832-11-20140 650.00 X 155,162.65
11/11/2011 1013 EVANS &MULLIN... 0-60400 Professional... 705.00 X 154,457.65
11/30/2011 OL First National Batik 0... 0-62100 Bank and Lo... Monthly Cash... 50.00 X 154,407.65
DIGITAL SYSTEMS INC 15621 W 87TH ST PKWY STE 355 LENEXA KS 66219-1435
PERIODIC STATEMENT Date: Nov 30, 2011 Period: Nov 01, 2011 to Nov 30, 2011 (30 Days )
Operating Account
ACCOUNT #: DDA - 0139602
Digital Systems Inc Debtor in Possession
Enclosures: 8
Beginning Balance as of 11/01/11
Deposits & Other Credits Charges & Fees Checks & Other Debits Average Balance Ending Balance as of 11/30/11
Charges And Fees
1 Outgoing Wire Fee Commercial Service Charge
1 Maintenance Fee
8 Per Check Fee
2 ACH Debits
Less Earnings Credit
161,853.12
0.00 20.00 7,226.38 157,839.92
154,606.74
20.00 0.00
10.00 1.20 0.10 11.30
Transaction Information
Date Check#
11/07 11/09
11/09 11/30
Description
ACH Debit Payment ATT OUTGOING WIRE Marketwire, Inc
Outgoing Wire Fee
ACH Debit Cash Mgr FNB
Credit Amount
Debit Amount 91.48
1,000.00 20.00
50.00
Olathe
PERIODIC STATEMENT Date: Nov 30, 2011 Period: Nov 01, 2011 to Nov 30, 2011 (30 Days )
Operating Account
ACCOUNT #: DDA - 0139602
Digital Systems Inc Debtor in Possession
Enclosures: 8
Beginning Balance as of 11/01/11
Deposits & Other Credits Charges & Fees Checks & Other Debits Average Balance Ending Balance as of 11/30/11
Charges And Fees
1 Outgoing Wire Fee Commercial Service Charge
1 Maintenance Fee
8 Per Check Fee
2 ACH Debits
Less Earnings Credit
161,853.12
0.00 20.00 7,226.38 157,839.92
154,606.74
20.00 0.00
10.00 1.20 0.10 11.30
Transaction Information
Date Check#
11/07 11/09
11/09 11/30
Description
ACH Debit Payment ATT OUTGOING WIRE Marketwire, Inc
Outgoing Wire Fee
ACH Debit Cash Mgr FNB
Credit Amount
Debit Amount 91.48
1,000.00 20.00
50.00
Olathe
Account #: DDA-0139602 Periodic Statement Digital Systems Inc
Nov 30, 2011
Check Information
Date Check# Amount Date Check# Amount
11/07 1005 750.00 11/16 1009 21.40
11/08 1006 70.69 11/14 1010 2,000.00
11/17 1008 1,852.32 11/18 1013 705.00
*Indicated a break in the check number order.
Account #139602 - DDA Page 3 of 3
11/7/2011 1005 $750.00
11/8/2011 1006 $70.69
11/8/2011 1007 $35.49
11/17/2011 1008 $1,852.32
11/16/2011 1009 $21.40
11/14/2011 1010 $2,000.00
11/22/2011 1012 $650.00
11/18/2011 1013 $705.00