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In re Pacific Sunwear of California, Inc., et al | | Case No. 16-10882 | |
| | Reporting Period: 5/1/2016 to 5/28/2016 | |
| | | | |
MOR-1a - Schedule of Bank Accounts with Book Balances | | |
| | | | |
Bank Account | Pacific Sunwear of California, Inc. | Pacific Sunwear Stores Corp | Miraloma Borrower Corporation | Consolidated |
104000 CASH ON HAND | $ | 2,046 |
| $ | 416,481 |
| — |
| $ | 418,527 |
|
100000 CASH - HELD CHECK ACCRUAL | — |
| — |
| — |
| — |
|
100002 CC DEP - AMEX | — |
| 508,993 |
| — |
| 508,993 |
|
100003 CC DEP - VISA/MC | — |
| 6,627,856 |
| — |
| 6,627,856 |
|
100004 CC DEP - DISCOVER | — |
| 170,253 |
| — |
| 170,253 |
|
100005 CC DEP - PSUN CC | — |
| 138,695 |
| — |
| 138,695 |
|
100006 CC DEP - AMEX - E4X | — |
| 64,094 |
| — |
| 64,094 |
|
100052 GENERAL CASH ACCT - B OF A | 2,900 |
| — |
| — |
| 2,900 |
|
100053 PAYROLL - PARENT B OF A | 47,947 |
| — |
| — |
| 47,947 |
|
100054 PAYROLL - STORES B OF A | — |
| 13,080 |
| — |
| 13,080 |
|
100056 FUNDING - CITI NON-CA CIGNA | — |
| — |
| — |
| — |
|
100057 PAYROLL - 401K B OF A | 7,427,415 |
| (7,427,415 | ) | — |
| — |
|
100070 DISBURSE - STORES - WELLS FARG | — |
| (560,268 | ) | — |
| (560,268 | ) |
100071 DISBURSE - PARENT - WELLS FARG | (3,943,566 | ) | — |
| — |
| (3,943,566 | ) |
100072 GENERAL CASH ACCT - WELLS FARG | 1,244,371 |
| — |
| — |
| 1,244,371 |
|
100075 UTILITY DEPOSIT - WELLS FARGO | — |
| 441,372 |
| — |
| 441,372 |
|
101000 DEP - AMAZON TENDER | — |
| — |
| — |
| — |
|
101000 DEP - AMERICAN SAVINGS BANK | — |
| 39,721 |
| — |
| 39,721 |
|
101000 DEP - BANCO POPULAR 2 | — |
| 71,427 |
| — |
| 71,427 |
|
101000 DEP - CITIZENS BANK | — |
| 94,031 |
| — |
| 94,031 |
|
101000 DEP - ECOM B OF A | — |
| 13,606 |
| — |
| 13,606 |
|
101000 DEP - ECOM B OF A (PAYPAL) | — |
| 29,752 |
| — |
| 29,752 |
|
101000 DEP - JP MORGAN CHASE | — |
| 337,477 |
| — |
| 337,477 |
|
101000 DEP - KEY BANK OF NEW YORK | — |
| 55,632 |
| — |
| 55,632 |
|
101000 DEP - M&T BANK | — |
| 29,415 |
| — |
| 29,415 |
|
101000 DEP - PNC BANK | — |
| 198,520 |
| — |
| 198,520 |
|
101000 DEP - PNC RCC | — |
| 8,853 |
| — |
| 8,853 |
|
101000 DEP - QUEENSTOWN BANK | — |
| 2,628 |
| — |
| 2,628 |
|
101000 DEP - REGIONS | — |
| 119,400 |
| — |
| 119,400 |
|
101000 DEP - US BANK | — |
| 169,503 |
| — |
| 169,503 |
|
101000 DEP - WELLS FARGO BANK - CC | — |
| 77,311 |
| — |
| 77,311 |
|
101000 DEP - WELLS FARGO BANK - STORE | — |
| 1,176,303 |
| — |
| 1,176,303 |
|
101000 DEPOSITORY CLEARING | — |
| 1,365 |
| — |
| 1,365 |
|
101001 ACH PAYMENTS - UTILITIES | — |
| 42,454 |
| — |
| 42,454 |
|
101400 CC CLEARING - PLCC | — |
| — |
| — |
| — |
|
101401 CC CLEARING - AMEX | — |
| — |
| — |
| — |
|
101402 CC CLEARING - VISA/MC | — |
| — |
| — |
| — |
|
101403 CC CLEARING - DISCOVER | — |
| — |
| — |
| — |
|
101404 CC CLEARING - PAYPAL | — |
| — |
| — |
| — |
|
101405 CC CLEARING - AMEX - E4X | — |
| — |
| — |
| — |
|
103000 CD - MANUFACTURERS BANK UTIL | — |
| 11,799 |
| — |
| 11,799 |
|
103001 CD - WELLS FARGO NEV TAX | — |
| 10,019 |
| — |
| 10,019 |
|
| $ | 4,781,112 |
| $ | 2,882,357 |
| $ | — |
| $ | 7,663,469 |
|