Exhibit 99.1
UNITED STATES DEPARTMENT OF JUSTICE OFFICE OF THE UNITED STATES TRUSTEE SOUTHERN DISTRICT OF CALIFORNIA |
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In Re: | | CHAPTER 11 (BUSINESS) |
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IMAGENETIX, INC., | | CASE NO. ___ 12-16423 MM11 |
| | | OPERATING REPORT NO. 15 |
| Debtor(s). | | FOR THE MONTH ENDING: |
| | | 2/28/2014 |
I.CASH RECEIPTS AND DISBURSEMENTS
A.(GENERAL ACCOUNT*)
1. TOTAL RECEIPTS PER ALL PRIOR GENERAL ACCOUNT REPORTS | | | | | | $ | 1,911,879.27 | |
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2. LESS: TOTAL DISBURSEMENTS PER ALL PRIOR GENERAL ACCOUNT REPORTS | | | | | | $ | 1,759,501.18 | |
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3. BEGINNING BALANCE | | | | | | $ | 152,378.09 | |
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4. RECEIPTS DURING CURRENT PERIOD: | | | | | | | | |
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ACCOUNTS RECEIVABLE - PRE-FILING | | $ | - | | | | | |
ACCOUNTS RECEIVABLE - POST-FILING | | $ | 38,200.00 | | | | | |
GENERAL SALES | | $ | - | | | | | |
OTHER (SPECIFY) Customer deposits on future sales | | $ | - | | | | | |
OTHER ** (SPECIFY) Rental sublet | | $ | 200.00 | | | | | |
TOTAL RECEIPTS THIS PERIOD: | | | | | | $ | 38,400.00 | |
5. BALANCE: | | | | | | $ | 190,778.09 | |
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6. LESS: TOTAL DISBURSEMENTS DURING CURRENT PERIOD | | | | | | | | |
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TRANSFERS TO OTHER DIP ACCOUNTS | | $ | - | | | | | |
DISBURSEMENTS | | $ | 153,188.45 | | | | | |
TOTAL DISBURSEMENTS THIS PERIOD***: | | | | | | $ | 153,188.45 | |
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7. ENDING BALANCE: | | | | | | $ | 37,589.64 | |
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8. GENERAL ACCOUNT NUMBER ____xxxxxx8451__________________________
DEPOSITORY NAME AND LOCATION _California Bank & Trust, 16796 Bernardo Center Dr.,
_______________________________________San Diego, CA 92128_______________________________________
| * | All receipts must be deposited into the general account. |
| ** | Include receipts from the sale of any real or personal property out of the ordinary course of business; attach an exhibit specifying whatwas sold, to whom, terms, and date of Court Order or Report of Sale. |
IX.BALANCE SHEET
(ACCRUAL BASIS ONLY)
| | Current Month End | | | | |
| | | | | | |
ASSETS | | | | | | | | |
Current Assets: | | | | | | | | |
Unrestricted Cash | | $ | 37,889.64 | | | | | |
Restricted Cash | | | — | | | | | |
Accounts Receivable | | $ | 354,412.88 | | | | | |
Inventory | | $ | 89,077.92 | | | | | |
Notes Receivable | | | — | | | | | |
Prepaid Expenses | | | — | | | | | |
Other (Itemize) | | | — | | | | | |
Total Current Assets | | | | | | $ | 481,380.44 | |
| | | | | | | | |
Property, Plant, and Equipment | | $ | 254,873.45 | | | | | |
Accumulated Depreciation/Depletion | | $ | (253,992.60 | ) | | | | |
Net Property, Plan, and Equipment | | | | | | $ | 880.85 | |
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Other Assets (Net of Amortization): | | | | | | | | |
Due from Insiders | | | — | | | | | |
Other (Itemized) See page 12 disclosure attached | | $ | 49,054.90 | | | | | |
Total Other Assets | | | | | | $ | 49,054.90 | |
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TOTAL ASSETS | | | | | | $ | 531,316.19 | |
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LIABILITIES | | | | | | | | |
Post-Petition Liabilities: | | | | | | | | |
Accounts Payable | | $ | 111,473.85 | | | | | |
Taxes Payable | | | — | | | | | |
Notes Payable | | | — | | | | | |
Professional Fees | | $ | 252,310.60 | | | | | |
Secured Debt | | | — | | | | | |
Other (Itemized) See page 12 disclosure attached | | $ | 143,043.78 | | | | | |
Total Post-Petition Liabilities | | | | | | $ | 506,828.23 | |
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Pre-Petition Liabilities: | | | | | | | | |
Secured Liabilities | | $ | 3,754,134.23 | | | | | |
Priority Liabilities | | $ | 1,895.00 | | | | | |
Unsecured Liabilities | | $ | 949,628.01 | | | | | |
Other (Itemized) See page 12 disclosure attached | | $ | 21,039.60 | | | | | |
Total Pre-Petition Liabilities | | | | | | $ | 4,726,696.84 | |
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TOTAL LIABILITIES | | | | | | $ | 5,233,525.07 | |
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EQUITY: | | | | | | | | |
Pre-Petition Owners' Equity | | $ | (5,337,578.31 | ) | | | | |
Post-Petition Profit/(Loss) | | $ | 635,369.43 | | | | | |
Direct Charges to Equity | | | — | | | | | |
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TOTAL EQUITY | | | | | | $ | (4,702,208.88 | ) |
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TOTAL LIABILITIES & EQUITY | | | | | | $ | 531,316.19 | |
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IX.PROFIT AND LOSS STATEMENT
(ACCRUAL BASIS ONLY)
| | Current Month | | | Cumulative Post-Petition | |
Sales/Revenue: | | | | | | | | |
Gross Sales/Revenue | | $ | 145,500.00 | | | $ | 2,974,511.80 | |
Less: Returns/Discounts | | | (— | ) | | | (— | ) |
Net Sales/Revenue | | $ | 145,500.00 | | | $ | 2,974,511.80 | |
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Cost of Goods Sold: | | | | | | | | |
Beginning Inventory at cost | | $ | 36,576.59 | | | $ | 22,488.00 | |
Purchases | | $ | 101,143.23 | | | $ | 698,048.24 | |
Less: Ending Inventory at cost | | $ | (89,077.92 | ) | | $ | (89,077.92 | ) |
Cost of Goods Sold (COGS) | | $ | 48,641.90 | | | $ | 631,458.32 | |
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Gross Profit | | $ | 96,858.10 | | | $ | 2,343,053.48 | |
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Other Operating Income (Itemize) | | | — | | | | — | |
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Operating Expenses: | | | | | | | | |
Payroll - Insiders | | $ | 29,321.20 | | | $ | 449,929.19 | |
Payroll - Other Employees | | $ | 7,606.34 | | | $ | 182,244.79 | |
Payroll Taxes | | $ | 3,006.19 | | | $ | 49,045.48 | |
Other Taxes (Itemize) | | | — | | | | — | |
Depreciation and Amortization | | $ | 1,436.39 | | | $ | 36,086.04 | |
Rent Expense - Real Property | | $ | 9,716.70 | | | $ | 134,578.20 | |
Lease Expense - Personal Property | | | — | | | | — | |
Insurance | | $ | 4,999.47 | | | $ | 77,315.44 | |
Real Property Taxes | | $ | - | | | $ | 2,178.97 | |
Telephone and Utilities | | $ | 3,733.36 | | | $ | 42,224.84 | |
Repairs and Maintenance | | | — | | | | — | |
Travel and Entertainment (Itemize) business meals and parking | | $ | 984.07 | | | $ | 7,703.00 | |
Miscellaneous Operating Expenses (Itemize) see attached | | $ | 3,202.41 | | | $ | 140,093.29 | |
Total Operating Expenses | | $ | (64,006.13 | ) | | $ | (1,121,399.24 | ) |
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Net Gain/(Loss) from Operations | | $ | 32,851.97 | | | $ | 1,221,654.24 | |
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Non-Operating Income: | | | | | | | | |
Interest Income | | | — | | | | — | |
Net Gain on Sale of Assets (Itemize) | | | — | | | | — | |
Other (Itemize) | | $ | - | | | $ | 42,899.00 | |
Total Non-Operating Income | | $ | - | | | $ | 42,899.00 | |
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Non-Operating Expense: | | | | | | | | |
Interest Expense | | $ | 4,178.43 | | | $ | 65,497.48 | |
Legal and Professional (Itemize) | | $ | 14,245.19 | | | $ | 563,686.33 | |
Other (Itemize) | | | — | | | | — | |
Total Non-Operating Expenses | | $ | (18,423.62 | ) | | $ | (629,183.81 | ) |
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NET INCOME/(LOSS) | | $ | 14,428.35 | | | $ | 635,369.43 | |
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(Attach exhibit listing all itemizations required above) | | | | | | | | |