QuickLinks -- Click here to rapidly navigate through this document
Exhibit 99.2
Kathryn M.S. Catherwood, State Bar # 131688
Luce, Forward, Hamilton & Scripps, LLP
600 West Broadway, Suite 2600
San Diego, CA 92101
Attorney for Debtor-In-Possession
UNITED STATES BANKRUPTCY COURT
SOUTHERN DISTRICT OF CALIFORNIA
In Re: CinemaStar Luxury Theaters, Inc., Debtor(s)
CASE NUMBER: 01-00110-JM11
CHAPTER 11
DEBTOR-IN-POSSESSION MONTHLY OPERATING REPORT
FOR THE MONTH OF: October 2001
TO: | | THE HONORABLE Judge Myers UNITED STATES BANKRUPTCY JUDGE
|
The Debtor-In-Possession hereby files its Monthly Operating Report pursuant to the United States Trustee's Operating and Reporting Requirements for Chapter 11 cases.
DATED: November 19, 2001 | | /s/ KATHRYN M.S. CATHERWOOD Attorney for Debtor-In-Possession |
UNITED STATES DEPARTMENT OF JUSTICE
OFFICE OF THE UNITED STATES TRUSTEE
SOUTHERN DISTRICT OF CALIFORNIA
In Re: CinemaStar Luxury Theaters, Inc., Debtor(s)
CHAPTER 11 (BUSINESS)
CASE NO. 01-00110-JM11
OPERATING REPORT NO. 10
FOR THE MONTH ENDING: October 31, 2001
I. CASH RECEIPTS AND DISBURSEMENTS
A. (GENERAL ACCOUNT *)
1. TOTAL RECEIPTS PER ALL PRIOR GENERAL ACCOUNT REPORTS | | 14,398,492.59 |
2. LESS: TOTAL DISBURSEMENTS PER ALL PRIOR GENERAL ACCOUNT REPORTS | | 14,489,742.37 |
3. BEGINNING BALANCE | | (91,249.78) |
4. RECEIPTS DURING CURRENT PERIOD | | |
| | ACCOUNTS RECEIVABLE—PRE-FILING | | 0.00 |
| | ACCOUNTS RECEIVABLE—POST-FILING | | 0.00 |
| | GENERAL SALES | | 1,044,070.10 |
| | OTHER (SPECIFY) Advanced ticket sales, Mexico mgmnt fees | | 162,563.82 |
| | OTHER ** (SPECIFY) New Equity Contribution | | 1,000,000.00 |
| | TOTAL RECEIPTS THIS PERIOD | | 2,206,633.92 |
5. BALANCE: | | | | | | 2,115,384.14 |
6. LESS: TOTAL DISBURSEMENTS DURING CURRENT PERIOD (Total from Page 2) | | 1,824,867.29 |
7. ENDING BALANCE | | 290,516.85 |
8. GENERAL ACCOUNT NUMBER
| | | | |
| DEPOSITORY NAME AND LOCATION | | 0700494381 Union Bank of California 445 South Figueroa St., Los Angeles, CA 90051 |
- *
- All receipts must be deposited into the general account
- **
- Include the receipts from the sale of any real or personal property out of the ordinary course of business; attach an exhibit specifying what was sold, to whom, terms, and date of Court Order or Report of Sale.
2
TOTAL DISBURSEMENTS DURING CURRENT PERIOD (General Account)
Date
| | #
| | Payee
| | Purpose
| | Amount
| |
|
---|
Checks | | | | | | | | | | |
10/1/01 | | 17311 | | THE COUDURES FAMILY LIMITED | | Rent | | 40,321.79 | | |
10/1/01 | | 17312 | | MISSION GROVE THEATER | | Rent | | 64,443.41 | | |
10/1/01 | | 17313 | | MISSION GROVE THEATERS II | | Rent | | 32,355.40 | | |
10/1/01 | | 17314 | | OCEANSIDE MISSION MARKET PLACE | | Rent | | 66,947.53 | | |
10/1/01 | | 17315 | | REDEVELOPMENT AGENCY CITY OF | | Rent | | 82,000.00 | | |
10/1/01 | | 17316 | | REDEVELOPMENT AGENCY CITY OF | | Rent | | 12,500.00 | | |
10/1/01 | | 17317 | | UNITED TITLE COMPANY | | Rent | | 4,983.30 | | |
10/2/01 | | 17318 | | 20TH CENTURY FOX | | Film Payable | | 208.95 | | |
10/2/01 | | 17319 | | BUENA VISTA | | Film Payable | | 1,208.71 | | |
10/2/01 | | 17320 | | LIONS GATE | | Film Payable | | 13,528.98 | | |
10/2/01 | | 17321 | | MGM FILMS | | Film Payable | | 3,700.82 | | |
10/2/01 | | 17322 | | MIRAMAX FILMS | | Film Payable | | 2,211.83 | | |
10/2/01 | | 17323 | | NEW LINE PICTURES | | Film Payable | | 3,660.46 | | |
10/2/01 | | 17324 | | PARAMOUNT PICTURES | | Film Payable | | 18,636.91 | | |
10/2/01 | | 17325 | | UNIVERSAL FILM EXCHANGES, INC. | | Film Payable | | 7,249.95 | | |
10/2/01 | | 17326 | | WARNER BROTHERS | | Film Payable | | 2,840.75 | | |
10/2/01 | | 17327 | | FASHION SEAL UNIFORMS | | Uniforms | | 1,963.32 | | |
9/4/01 | | 17328 | | AIRBORNE EXPRESS | | Film transport | | 236.60 | | |
9/4/01 | | 17329 | | CITY OF RIVERSIDE | | Utilities | | 197.80 | | |
9/4/01 | | 17330 | | D.C. ELECTRONICS TWO, INC. | | R&M | | 310.00 | | |
9/4/01 | | 17331 | | FALLBROOK AWARDS | | Corp. Events | | 21.45 | | |
9/4/01 | | 17332 | | HARPSTER ASSOCIATES | | Advertising | | 65.00 | | |
9/4/01 | | 17333 | | JANITORIAL MAINTENANCE | | Janitorial | | 1,800.00 | | |
9/4/01 | | 17334 | | MICHAEL F. KERR | | R&M | | 584.00 | | |
9/4/01 | | 17335 | | MEGAPATH NETWORKS INC. | | Computer | | 162.63 | | |
9/4/01 | | 17336 | | OPTIMAL INTEGRATED SOLUTIONS | | Computer | | 50 | | |
9/4/01 | | 17337 | | PARAMOUNT PICTURES | | Film Payable | | 194.00 | | |
9/4/01 | | 17338 | | PRO-TEC LOCK & SAFE | | R&M | | 100.31 | | |
3
9/4/01 | | 17339 | | PROVIDENCE | | Emp. Benefits | | 85.00 | | |
9/4/01 | | 17340 | | QUIEL BROS. SIGN CO., INC. | | R&M | | 844.76 | | |
9/4/01 | | 17341 | | SAN DIEGO GAS & ELECTRIC | | Utilities | | 9,002.07 | | |
| | | | ELECTRIC | | | | | | |
9/4/01 | | 17342 | | SOLOMON FRIEDMAN | | Outside Services | | 100.00 | | |
9/4/01 | | 17343 | | STRUCTURAL TERMITE & PEST | | R&M | | 85.00 | | |
10/9/01 | | 17344 | | 20TH CENTURY FOX | | Film Payable | | 7,959.61 | | |
10/9/01 | | 17345 | | BUENA VISTA | | Film Payable | | 1,122.75 | | |
10/9/01 | | 17346 | | LIONS GATE | | Film Payable | | 1,779.08 | | |
10/9/01 | | 17347 | | MGM FILMS | | Film Payable | | 2,745.87 | | |
10/9/01 | | 17348 | | MIRAMAX FILMS | | Film Payable | | 2,853.38 | | |
10/9/01 | | 17349 | | NEW LINE PICTURES | | Film Payable | | 4,027.81 | | |
10/9/01 | | 17350 | | PARAMOUNT PICTURES | | Film Payable | | 13,770.93 | | |
10/9/01 | | 17351 | | UNIVERSAL FILM EXCHANGES, INC. | | Film Payable | | 5,040.01 | | |
10/9/01 | | 17352 | | WARNER BROTHERS | | Film Payable | | 1,837.80 | | |
10/10/01 | | 17353 | | AIRBORNE EXPRESS | | Film transport | | 200.20 | | |
10/10/01 | | 17354 | | AON RISK SERVICES, INC. | | Insurance | | 112,500.00 | | |
10/10/01 | | 17355 | | ARMORED TRANSPORT | | Security | | 905.69 | | |
10/10/01 | | 17356 | | BRAKE WATER TRANSPORT, INC. | | Film transport | | 769.00 | | |
10/10/01 | | 17357 | | DAN CAHILL | | Travel expenses | | 80.92 | | |
10/10/01 | | 17358 | | CALIFORNIA CHOICE BENEFIT ADM | | Emp. Benefits | | 6,735.24 | | |
10/10/01 | | 17359 | | CITY OF RIVERSIDE | | Utilities | | 15,560.38 | | |
10/10/01 | | 17360 | | CITY OF SAN BERNARDINO | | Utilities | | 1,095.57 | | |
10/10/01 | | 17361 | | CONTINENTAL STOCK TRANSFER | | Outside Services | | 802.09 | | |
10/10/01 | | 17362 | | CR&R INC. | | Utilities | | 1,272.18 | | |
10/10/01 | | 17363 | | ENERGI | | Emp. Benefits | | 52.50 | | |
10/10/01 | | 17364 | | GENESYS CONFERENCING | | Outside Services | | 368.02 | | |
10/10/01 | | 17365 | | THE GUARDIAN | | Advertising | | 1,347.94 | | |
10/10/01 | | 17366 | | INLAND LIGHTING SUPPLIES, INC. | | R&M | | 457.41 | | |
10/10/01 | | 17367 | | JANITORIAL MAINTENANCE | | Janitorial | | 15,132.00 | | |
10/10/01 | | 17368 | | PACIFIC BELL | | Telephone | | 1,346.49 | | |
10/10/01 | | 17369 | | PAUL LASLO & ASSOC. | | Uniforms | | 2,108.66 | | |
10/10/01 | | 17370 | | PROCTOR COMPANIES | | R&M | | 92.92 | | |
10/10/01 | | 17371 | | PURE FLO WATER | | Office supplies | | 29.75 | | |
10/10/01 | | 17372 | | REEL SOURCE, INC. | | R&M | | 175.00 | | |
4
10/10/01 | | 17373 | | R & J FIAL ENTERPRISES | | Janitorial | | 10.62 | | |
10/10/01 | | 17374 | | SOURCE ONE | | R&M | | 262.40 | | |
10/10/01 | | 17375 | | STATE COMPENSATION INS. FUND | | Emp. Benefits | | 6,941.36 | | |
10/10/01 | | 17376 | | STRUCTURAL TERMITE & PEST | | R&M | | 85.00 | | |
10/10/01 | | 17377 | | THERMAL-COOL | | R&M | | 110.53 | | |
10/10/01 | | 17378 | | VERIZON CALIFORNIA | | Telephone | | 304.89 | | |
10/10/01 | | 17379 | | VISION SERVICE PLAN- (CA) | | Emp. Benefits | | 396.96 | | |
10/10/01 | | 17380 | | WAXIE SANITARY SUPPLY | | Janitorial | | 3,675.91 | | |
10/10/01 | | 17381 | | WESTERN MUNICIPAL WATER DIST. | | Utilities | | 397.41 | | |
10/10/01 | | 17382 | | KIM ZOLNA | | Travel expenses | | 215.12 | | |
10/10/01 | | 17383 | | AIRGAS | | Concessions | | 50.00 | | |
10/10/01 | | 17384 | | HERITAGE FOODS LLC | | Concessions | | 410.00 | | |
10/16/01 | | 17385 | | 20TH CENTURY FOX | | Film Payable | | 30,065.20 | | |
10/16/01 | | 17386 | | ARTISAN RELEASING INC. | | Film Payable | | 4,543.33 | | |
10/16/01 | | 17387 | | MGM FILMS | | Film Payable | | 1,461.16 | | |
10/16/01 | | 17388 | | MIRAMAX FILMS | | Film Payable | | 2,575.58 | | |
10/16/01 | | 17389 | | NEW LINE PICTURES | | Film Payable | | 2,450.18 | | |
10/16/01 | | 17390 | | PARAMOUNT PICTURES | | Film Payable | | 25,411.70 | | |
10/16/01 | | 17391 | | UNIVERSAL FILM EXCHANGES, INC. | | Film Payable | | 1,882.14 | | |
10/16/01 | | 17392 | | WARNER BROTHERS | | Film Payable | | 10,743.86 | | |
10/18/01 | | 17393 | | ADVANCED COMMUNICATIONS SYSTEM | | R&M | | 517.31 | | |
10/18/01 | | 17394 | | AIRBORNE EXPRESS | | Film transport | | 345.80 | | |
10/18/01 | | 17395 | | AMERICAN EXPRESS | | Misc. | | 2,211.18 | | |
10/18/01 | | 17396 | | ANDY'S GLASS CO., INC. | | R&M | | 181.84 | | |
10/18/01 | | 17397 | | ARMORED TRANSPORT | | Security | | 144.45 | | |
10/18/01 | | 17398 | | CITY OF OCEANSIDE | | Utilities | | 1,637.41 | | |
10/18/01 | | 17399 | | CITY OF SAN BERNARDINO | | Utilities | | 627.00 | | |
10/18/01 | | 17400 | | DE LAGE LANDEN | | Telephone | | 77.43 | | |
10/18/01 | | 17401 | | THE DEPOSITORY TRUST CO. | | Outside Services | | 90.00 | | |
10/18/01 | | 17402 | | EASTERN MUNICIPAL WATER DIST. | | Utilities | | 75.11 | | |
5
10/18/01 | | 17403 | | EMERITUS COMMUNICATIONS | | Telephone | | 302.47 | | |
10/18/01 | | 17404 | | MANULIFE FINANCIAL | | Emp. Benefits | | 5,673.57 | | |
10/18/01 | | 17405 | | MIRAMAX FILMS | | Film Payable | | 142.34 | | |
10/18/01 | | 17406 | | NORTH COUNTY TIMES | | Advertising | | 3,006.95 | | |
10/18/01 | | 17407 | | OFFICE DEPOT, INC | | Office supplies | | 272.66 | | |
10/18/01 | | 17408 | | PACIFIC BELL | | Telephone | | 414.36 | | |
10/18/01 | | 17409 | | THE PRESS ENTERPRISE CO. | | Advertising | | 15,689.65 | | |
10/18/01 | | 17410 | | PROCTOR COMPANIES | | R&M | | 190.37 | | |
10/18/01 | | 17411 | | QUIEL BROS. SIGN CO., INC. | | R&M | | 33.80 | | |
10/18/01 | | 17412 | | SAN BERNARDINO COUNTY SUN | | Advertising | | 6,594.23 | | |
10/18/01 | | 17413 | | SOUTHERN CALIFORNIA EDISON | | Utilities | | 28,204.79 | | |
10/18/01 | | 17414 | | STAPLES CREDIT PLAN | | Office supplies | | 507.59 | | |
10/18/01 | | 17415 | | SUPERIOR UNIFORM GROUP, INC. | | Uniforms | | 1,861.11 | | |
10/18/01 | | 17416 | | UNION TRIBUNE | | Advertising | | 790.20 | | |
10/18/01 | | 17417 | | VERIZON CALIFORNIA | | Telephone | | 547.75 | | |
10/18/01 | | 17418 | | WARNER BROTHERS | | Film Payable | | 450.00 | | |
10/18/01 | | 17419 | | WAXIE SANITARY SUPPLY | | Janitorial | | 263.43 | | |
10/18/01 | | 17420 | | HERITAGE FOODS LLC | | Concessions | | 541.75 | | |
10/18/01 | | 17421 | | METROPOLITAN PROVISIONS | | Concessions | | 765.30 | | |
10/18/01 | | 17422 | | METROPOLITAN PROVISIONS | | Concessions | | 6,118.75 | | |
10/18/01 | | 17423 | | PEPSI-COLA COMPANY | | Concessions | | 3,933.80 | | |
10/23/01 | | 17424 | | 20TH CENTURY FOX | | Film Payable | | 22,166.09 | | |
10/23/01 | | 17425 | | BUENA VISTA | | Film Payable | | 8,553.81 | | |
10/23/01 | | 17426 | | MGM FILMS | | Film Payable | | 643.43 | | |
10/23/01 | | 17427 | | MIRAMAX FILMS | | Film Payable | | 11,564.85 | | |
10/23/01 | | 17428 | | NEW LINE PICTURES | | Film Payable | | 978.08 | | |
10/23/01 | | 17429 | | PARAMOUNT PICTURES | | Film Payable | | 11,034.58 | | |
10/23/01 | | 17430 | | WARNER BROTHERS | | Film Payable | | 46,195.71 | | |
10/26/01 | | 17431 | | AIRBORNE EXPRESS | | Film transport | | 182.00 | | |
10/26/01 | | 17432 | | CALIFORNIA TILE & FLOOR COVERING | | MG Lobby | | 11,000.00 | | |
6
10/26/01 | | 17433 | | CONTINENTAL STOCK TRANSFER | | Outside Services | | 528.36 | | |
10/26/01 | | 17434 | | CT CORPORATION SYSTEM | | Computer | | 460.00 | | |
10/26/01 | | 17435 | | DREAM WORKS DISTRIBUTION, LLC | | Film Payable | | 175.14 | | |
10/26/01 | | 17436 | | GENESYS CONFERENCING | | Outside Services | | 186.00 | | |
10/26/01 | | 17437 | | MANULIFE FINANCIAL | | Emp. Benefits | | 2,713.67 | | |
10/26/01 | | 17438 | | MCCANN-ERICKSON, INC. | | Advertising | | 1,249.45 | | |
10/26/01 | | 17439 | | MERRILL COMMUNICATIONS L.L.C. | | Public Relations | | 3,018.00 | | |
10/26/01 | | 17440 | | TERRY MILLIMAN | | R&M | | 40.00 | | |
10/26/01 | | 17441 | | MURPHY'S PRINTING | | Ticket Stock | | 12,040.00 | | |
10/26/01 | | 17442 | | PACIFIC BELL | | Telephone | | 29.19 | | |
10/26/01 | | 17443 | | PARAMOUNT PICTURES | | Film Payable | | 518.00 | | |
10/26/01 | | 17444 | | PC CONNECTION SALES CORP | | Computer | | 382.26 | | |
10/26/01 | | 17445 | | PRUDENTIAL | | Emp. Benefits | | 253.10 | | |
10/26/01 | | 17446 | | R & J FIAL ENTERPRISES | | Janitorial | | 37.23 | | |
10/26/01 | | 17447 | | ROCKY MOUNTAIN EMPLOYEE BENE. | | Emp. Benefits | | 618.75 | | |
10/26/01 | | 17448 | | SKY COURIER | | Film transport | | 145.60 | | |
10/26/01 | | 17449 | | SOLOMON FRIEDMAN | | Advertising | | 400.00 | | |
10/26/01 | | 17450 | | SOURCE ONE | | R&M | | 136.03 | | |
10/26/01 | | 17451 | | STAPLES CREDIT PLAN | | Office supplies | | 186.87 | | |
10/26/01 | | 17452 | | STRUCTURAL TERMITE & PEST | | R&M | | 85.00 | | |
10/26/01 | | 17453 | | UNIVERSAL PICTURES | | Film Payable | | 709.04 | | |
10/26/01 | | 17454 | | U.S. TRUSTEE | | Outside Services | | 10,000.00 | | |
10/26/01 | | 17455 | | ROY M. VAN ASCH, JANITORIAL | | Janitorial | | 1,875.80 | | |
10/26/01 | | 17456 | | WAXIE SANITARY SUPPLY | | Janitorial | | 579.00 | | |
10/26/01 | | 17457 | | WARNER BROTHERS | | Film Payable | | 3,000.00 | | |
10/26/01 | | 17458 | | HERITAGE FOODS LLC | | Concessions | | 845.56 | | |
10/26/01 | | 17459 | | ICEE—USA CORP. | | Concessions | | 4,693.20 | | |
10/26/01 | | 17460 | | METROPOLITAN PROVISIONS | | Concessions | | 9,946.64 | | |
10/26/01 | | 17461 | | OTIS SPUNKMEYER, INC. | | Concessions | | 378.50 | | |
7
10/26/01 | | 17462 | | PEPSI-COLA COMPANY | | Concessions | | 2,943.55 | | |
10/29/01 | | 17463 | | COCA-COLA ENTERPRISES | | Concessions | | 5,000.00 | | |
10/30/01 | | 17464 | | 20TH CENTURY FOX | | Film Payable | | 11,444.11 | | |
10/30/01 | | 17465 | | BUENA VISTA | | Film Payable | | 23,943.03 | | |
10/30/01 | | 17466 | | IDP DISTRIBUTION | | Film Payable | | 5,903.78 | | |
10/30/01 | | 17467 | | MGM FILMS | | Film Payable | | 8,510.71 | | |
10/30/01 | | 17468 | | MIRAMAX FILMS | | Film Payable | | 14,728.70 | | |
10/30/01 | | 17469 | | NEW LINE PICTURES | | Film Payable | | 352.95 | | |
10/30/01 | | 17470 | | PARAMOUNT PICTURES | | Film Payable | | 5,029.42 | | |
10/30/01 | | 17471 | | WARNER BROTHERS | | Film Payable | | 20,380.16 | | |
| | | | | | | | | | 1,014,761.03 |
Wire Transfers | | | | | | | | |
10/1/01 | | 431 | | PEPSI-COLA COMPANY | | Concessions | | 2,872.26 | | |
10/1/01 | | 432 | | METROPOLITAN PROVISIONS | | Concessions | | 4,854.01 | | |
10/11/01 | | 433 | | PEPSI-COLA COMPANY | | Concessions | | 539.55 | | |
10/11/01 | | 434 | | METROPOLITAN PROVISIONS | | Concessions | | 8,538.16 | | |
10/15/01 | | 435 | | SONY PICTURES | | Film payable | | 30,500.00 | | |
10/24/01 | | 436 | | TREASURER AND TAX COLLECTOR | | MG18 Property Tax | | 53,776.18 | | |
10/29/01 | | 437 | | SONY PICTURES | | Film payable | | 44,000.00 | | |
| | | | | | | | | | 145,080.16 |
Direct Debits to Union Bank of California Acct # 0700494381 | | |
1-Oct | | | | UBOC Loan Payment | | | | 117,452.33 | | |
5-Oct | | | | ADP Fees | | | | 735.77 | | |
19-Oct | | | | ADP Fees | | | | 616.13 | | |
25-Oct | | | | Bank Service Charges | | | | 1.43 | | |
26-Oct | | | | ADP Payroll Fees | | | | 7.00 | | |
29-Oct | | | | Sales Tax Payment | | | | 14,170.00 | | |
31-Oct | | | | Internet Service Fees & Postage | | | | 81.88 | | |
31-Oct | | | | Bank Service Charges | | | | 3,569.74 | | |
| | | | Net Purchase of Change | | | | 10,500.00 | | |
31-Oct | | | | | | | | | | |
| | | | | | | | | | 147,134.28 |
Disbursements for Cinemas | | | | | | |
30-Oct | | | | Balance of account transferred to Theater's Master acct. | | | | 2,104.46 | | |
| | | | | | | | | | 2,104.46 |
Disbursements from Elective Creditor Distribution Fund | | | | |
24-Oct | | 2001 | | MIDLAND BANK | | | | 325,000.00 | | |
8
24-Oct | | 2002 | | MELLOW MANOR PRODUCTIONS INC. | | | | 1,595.54 | | |
24-Oct | | 2003 | | SOURCE ONE | | | | 2,381.08 | | |
24-Oct | | 2004 | | ARTHUR ANDERSEN LLP | | | | 7,995.00 | | |
24-Oct | | 2005 | | MEDIA TECHNOLOGY SOURCE, INC. | | | | 9,815.74 | | |
| | | | | | | | | | 346,787.36 |
Intercompany Transfers | | | | | | |
9-Oct | | | | To UBOC Acct. # 07007494365 | | Payroll | | 55,000.00 | | |
10-Oct | | | | To UBOC Acct. # 2180038712 | | Payroll | | 10,000.00 | | |
23-Oct | | | | To UBOC Acct. # 07007494365 | | Payroll | | 104,000.00 | | |
| | | | | | | | | | 169,000.00 |
TOTAL ACCOUNTS PAYABLE DISBURSEMENTS | | | | | | 1,824,867.29 |
B. (PAYROLL ACCOUNT)
1. TOTAL RECEIPTS PER ALL PRIOR PAYROLL ACCOUNT REPORTS | | 1,956,535.93 |
2. LESS: TOTAL DISBURSEMENTS PER ALL PRIOR PAYROLL ACCOUNT REPORTS | | 1,973,567.90 |
3. BEGINNING BALANCE | | (17,031.97) |
4. RECEIPTS DURING CURRENT PERIOD TRANSFERRED FROM GENERAL ACCOUNT | | 169,000.00 |
5. BALANCE: | | | | 151,968.03 |
6. LESS: TOTAL DISBURSEMENTS DURING CURRENT PERIOD | | 192,291.90 |
7. ENDING BALANCE | | (40,323.87) |
8. PAYROLL ACCOUNT NUMBER | | 07007494365 |
DEPOSITORY NAME AND LOCATION | | Union Bank of California 445 South Figueroa St., Los Angeles, CA 90051 |
9
TOTAL DISBURSEMENTS DURING CURRENT PERIOD (Payroll Account)
October 12, 2001 Payroll Run—Summary of Expense
| |
| |
|
---|
| Wages Earned—Normal Recurring | | 70,485.22 | | |
| Wages Earned—Adjustments & Voids | | 760.14 | | |
| Wage Garnishments | | 148.38 | | |
| Federal Income Taxes | | 16,269.47 | | |
| Social Security | | 8,765.00 | | |
| Medicare | | 2,970.05 | | |
| State Unemployment Taxes—Employer | | 849.95 | | |
| Federal Unemployment Taxes | | 219.34 | | |
| State Unemployment Taxes—Employee | | 541.12 | | |
| State Income Taxes | | 3,723.50 | | |
| | 104,732.17 | | |
October 12, 2001 Payroll Run—Summary of Disbursements | | | | |
| ADP Checks Issued [Net salary plus tax] | | 103,972.03 | | |
| Manual Checks, etc. | | 760.14 | | |
| | | | | 104,732.17 |
October 26, 2001 Payroll Run—Summary of Expense | | | | |
| Wages Earned—Normal Recurring | | 61,863.91 | | |
| Wages Earned—Adjustments & Voids | | 1,311.33 | | |
| Wage Garnishments | | 212.00 | | |
| Federal Income Taxes | | 8,892.53 | | |
| Social Security | | 9,297.06 | | |
| Medicare | | 2,398.08 | | |
| State Unemployment Taxes—Employer | | 876.27 | | |
| Federal Unemployment Taxes | | 226.13 | | |
| State Unemployment Taxes—Employee | | 554.81 | | |
| State Income Taxes | | 1,927.61 | | |
| | 87,559.73 | | |
October 26, 2001 Payroll Run—Summary of Disbursements | | | | |
| ADP Checks Issued [Net salary plus tax] | | 86,248.40 | | |
| Manual Checks Issued | | 1,311.33 | | |
| | | | 87,559.73 |
TOTAL PAYROLL ACCOUNT DISBURSEMENTS | | 192,291.90 |
10
B. (TAX ACCOUNT)
1. | | TOTAL RECEIPTS PER ALL PRIOR TAX ACCOUNT REPORTS | | 159,000.00 |
2. | | LESS: TOTAL DISBURSEMENTS PER ALL PRIOR TAX ACCOUNT REPORTS | | 131,257.29 |
3. | | BEGINNING BALANCE | | 27,742.71 |
4. | | RECEIPTS DURING CURRENT PERIOD TRANSFERRED FROM GENERAL ACCOUNT | | 0.00 |
5. | | BALANCE: | | 27,742.71 |
6. | | LESS: TOTAL DISBURSEMENTS DURING CURRENT PERIOD Date: 10/29/01, wire transfer, To: CA State Board of Equalization | | 14,170.00 |
| | TOTAL DISBURSEMENTS THIS PERIOD | | 14,170.00 |
7. | | ENDING BALANCE | | 13,572.71 |
8. | | TAX ACCOUNT NUMBER | | 02180038712 |
| | DEPOSITORY NAME AND LOCATION | | Union Bank of California 445 South Figueroa St., Los Angeles, CA 90051 |
D. SUMMARY SCHEDULE OF CASH
ENDING BALANCE FOR PERIOD | | | |
| GENERAL ACCOUNT | | 290,516.85 | |
| PAYROLL ACCOUNT | | (40,323.87 | ) |
| TAX ACCOUNT | | 13,572.71 | |
| OTHER ACCOUNTS*: | | 2,095,522.70 | |
| OTHER MONIES*: | | 0.00 | |
| PETTY CASH** | | 0.00 | |
TOTAL CASH AVAILABLE | | 1,359,288.39 | |
- *
- Specify the fund and the type of holding (i.e., CD, Savings Account, Investment securities, etc.) and the depository name, location, and account number
- **
- Attach exhibit itemizing all petty cash transactions
NOTE: Attach copies of all monthly accounts from financial institutions for each account
11
OTHER ACCOUNTS (Supplement to schedule I.D.)
Bank / Account Type
| | Account #
| | Balance
|
---|
Bank of America | | | | |
| Master Concentration | | 14501-09188 | | 0.00 |
| Merchant | | 14501-09189 | | 0.00 |
| Moviefone | | 14502-09192 | | 0.00 |
Union Bank of California | | | | |
| Master Concentration | | 0700494-349 | | 1,217,741.15 |
| Merchant | | 0700494-357 | | 207,908.60 |
| Moviefone | | 0700494-146 | | 0.00 |
| Elective Creditor Distribution Fund | | 457000-1170 | | 669,872.95 |
| FOB Cinemastar Luxury Cinemas, Inc. | | 0700494-373 | | 0.00 |
Total | | | | 2,095,522.70 |
II. STATUS OF PAYMENTS TO SECURED CREDITORS, LESSORS,
AND OTHER PARTIES TO EXECUTORY CONTRACTS
Creditor, Lessor, ETC.
| | Frequency of Payments (Mo./Qtr.)
| | Amount of Payment
| | Post-Petition Payments Not Made (Number)
| | Total Due
|
---|
Oceanside Mission Market Place (Lessor MM 13 Theater) | | Monthly | | $ | 57,678.10 | | 0 | | $ | 0.00 |
Coudres Family Ptrship (Lessor PR 10 Theater) | | Monthly | | $ | 35,740.55 | | 0 | | $ | 0.00 |
MDA—San Bernardino (Lessor SB20 Thtr) | | Monthly | | $ | 96,851.61 | | 0 | | $ | 0.00 |
Mission Grove Theater Properties I&II (Lessor MG 18 Theater) | | Monthly | | $ | 89,050.40 | | 0 | | $ | 0.00 |
United Title Company (Lessor—Corp Offices) | | Monthly | | $ | 4,983.40 | | 0 | | $ | 0.00 |
Union Bank of California ($2,000,000 loan, principal and interest) | | Monthly | | $ | 57,472.22 | | 0 | | $ | 0.00 |
Midland Loan Services (Mortgage Note on Chula Vista Property) | | Monthly | | $ | 17,646.36 | | 10 | | $ | 17,646.36 |
12
III. TAX LIABILITIES
FOR THE REPORTING PERIOD: | | |
| GROSS SALES SUBJECT TO SALES TAX | | 111,592.92 |
| TOTAL WAGES PAID | | 192,291.90 |
| |
|
---|
| | Total Post-Petition Amounts Owing
| | Amount Delinquent
| | Date Delinquent Amount Due
|
---|
FEDERAL WITHHOLDING | | | | | | |
STATE WITHHOLDING | | | | | | |
FICA—EMPLOYER'S SHARE | | | | | | |
FICA—EMPLOYEE'S SHARE | | | | | | |
FEDERAL UNEMPLOYMENT | | | | | | |
STATE WITHHOLDING | | | | | | |
SALES AND USE | | 8,369.48 | | 0.00 | | |
REAL PROPERTY | | 17,445.59 | | 17,445.59 | | 4/10/01 |
OTHER (SPECIFY) | | | | | | |
TOTAL | | 25,815.07 | | 17,445.59 | | |
IV. AGING OF ACCOUNTS PAYABLE AND ACCOUNTS RECEIVABLE
| |
| | Accounts Receivable
|
---|
| | Accounts Payable* (Post-Petition Only)
|
---|
| | Pre-Petition
| | Post-Petition
|
---|
30 days or less | | 53,447.25 | | | | |
31-60 days | | 200.00 | | | | |
61-90 days | | | | | | |
91-120 days | | | | | | |
Over 120 days | | | | | | |
TOTALS: | | 53,647.25 | | | | |
V. INSURANCE COVERAGE
| | Name of Carrier
| | Amount of Coverage
| | Policy Expiration Date
| | Premium Paid Through:
|
---|
General Liability | | Royal Insurance of America | | $ | 2,000,000 | | 10/14/01 | | 12/14/01 |
Umbrella Liability | | St. Paul's Insurance Company | | $ | 10,000,000 | | 10/14/01 | | 12/14/01 |
Automobile Liability | | Royal Insurance of America | | $ | 1,000,000 | | 10/14/01 | | 12/14/01 |
Directors & Officers Liability | | National Union Fire Insurance Company | | $ | 5,000,000 | | 6/20/01 | | 11/15/01 |
Workers Compensation | | State (of CA) Compensation Insurance Fund | | | Variable | | n/a | | 11/30/01 |
Property | | Royal Insurance of America | | $ | 35,212,960 | | 10/14/01 | | 12/14/01 |
Vacant Property | | Royal Indemnity Company | | $ | 1,500,000 | | 12/14/01 | | 12/14/01 |
Foreign Package | | ACE USA | | $ | 1,000,000 | | 10/15/01 | | 12/14/01 |
13
VI. UNITED STATES TRUSTEE QUARTERLY FEES
(TOTAL PAYMENTS)
Qtrly Period Ending
| | Total Disbursements
| | Qtrly Fees
| | Date Paid
| | Amount Paid
| | Qtrly Fee Still Owing
|
---|
3/31/01 | | 3,552,815.00 | | 8,000.00 | | 5/17/01 | | 8,000.00 | | 0.00 |
6/30/01 | | 4,473,768.00 | | 8,000.00 | | 7/11/01 | | 8,000.00 | | 0.00 |
9/30/01 | | 6,430,686.00 | | 10,000.00 | | 10/26/01 | | 10,000.00 | | 0.00 |
- *
- Post-Petition Accounts Payableshould not include professionals' fees and expenses which have been incurred but not yet awarded by the Court. Post-Petition Accounts Payableshould include professionals' fees and expenses authorized by Court Order but which remain unpaid as of the close of the period of the report.
14
VII. PROFIT AND LOSS STATEMENT (ACCRUAL BASIS ONLY)
| | Current Month
| | Cumulative Post-Petition
| |
---|
Admission Revenue | | 746,299 | | 10,713,555 | |
Concession Revenue | | 287,124 | | 4,213,607 | |
Video Revenue | | 16,863 | | 218,253 | |
Screen Advertising | | 10,366 | | 92,654 | |
Other Revenues | | 4,028 | | 32,652 | |
| |
| |
| |
Theater Revenue | | 1,064,679 | | 15,270,720 | |
Film Rental Expense | | 456,529 | | 5,826,177 | |
Concession COGS | | 44,956 | | 622,358 | |
| |
| |
| |
Theater Cost of Goods Sold | | 501,485 | | 6,448,536 | |
| |
| |
| |
Theater Gross Margin | | 563,194 | | 8,822,184 | |
| |
| |
| |
Salaries | | 120,500 | | 1,419,939 | |
Payroll Taxes | | 11,530 | | 149,534 | |
Rent Expense | | 268,111 | | 2,801,347 | |
CAM Expense | | 31,257 | | 316,960 | |
Utility Expense | | 68,230 | | 647,773 | |
Advertising Expense | | 19,993 | | 202,121 | |
Co-op Advertising Expense | | 7,496 | | 76,371 | |
Repairs & Maint Expense | | 15,366 | | 128,073 | |
Janitorial Services | | 21,491 | | 218,886 | |
Janitorial Supplies Expense | | 4,901 | | 62,210 | |
Insurance Expense | | 4,814 | | 173,768 | |
Property Taxes | | 18,396 | | 275,175 | |
Security Expense | | 3,113 | | 39,627 | |
Travel & Entertainment | | 215 | | 4,059 | |
Vehicle Expense | | 0 | | 0 | |
Supplies Expense | | 9,417 | | 94,562 | |
Banking Fees | | 844 | | 67,287 | |
Equipment Rental Expense | | 0 | | 11,152 | |
Outside Services Expense | | 0 | | 7 | |
Other Theater Expense | | 4,659 | | 61,514 | |
Pre-Opening Expense | | 0 | | 0 | |
| |
| |
| |
Theater Operating Expenses | | 610,333 | | 6,750,364 | |
| |
| |
| |
Operating Income | | (47,138 | ) | 2,071,820 | |
| |
| |
| |
General & Administrative Expenses | | 184,154 | | 1,333,135 | |
Deprec & Amortization | | 209,927 | | 1,362,519 | |
Interest Expense | | 33,611 | | 438,801 | |
Interest/Dividend Income | | (156 | ) | (17,070 | ) |
Taxes | | 482 | | 4,817 | |
Non-Recurring Income/Expense | | (21,398 | ) | (106,936 | ) |
| |
| |
| |
Non-Operating (Income)/Expense | | 406,619 | | 3,015,266 | |
| |
| |
| |
Net Income | | (453,758 | ) | (943,446 | ) |
| |
| |
| |
15
VIII. BALANCE SHEET (ACCRUAL BASIS ONLY)
| | Current Month End
| |
---|
Cash | | 2,744,817 | |
Accts Receivable | | 591 | |
Conc Inventory | | 28,910 | |
Concession Rebates | | 7,869 | |
Supplies Inventory | | 9,044 | |
Prepaids | | 870,353 | |
| |
| |
Current Assets | | 916,768 | |
Fixed Assets | | 24,370,063 | |
Accumulated Depreciation | | (13,805,349 | ) |
| |
| |
Net Fixed Assets | | 10,564,714 | |
Deposits—Leases | | 0 | |
Deposits—Concession | | 890 | |
Deposits | | 0 | |
Investment CLT SA de CV | | 22,875 | |
Investment in Mexico | | 339,643 | |
Goodwill—Mexico | | (160,350 | ) |
| |
| |
Other Assets | | 199,396 | |
| |
| |
Assets | | 14,425,695 | |
| |
| |
Accounts Payable | | 2,174,959 | |
Accrued Payroll | | 245,240 | |
Other Accruals | | 1,554,085 | |
Deferred Revenue | | 487,410 | |
Concession Advances | | (16,283 | ) |
Short Term Notes Payable | | 0 | |
| |
| |
Current Liabilities | | 4,445,411 | |
Capital Leases | | (10,401 | ) |
Credit Facility Debt | | 1,198,000 | |
Notes Payable | | 1,717,721 | |
| |
| |
Debt and Capital Leases | | 2,905,321 | |
Deferred Rent Accrual | | 4,254,227 | |
Intercompany Accounts | | 2,139,979 | |
| |
| |
Long-Term Liabilities | | 6,394,207 | |
Common Stock | | 62,892 | |
Additional Paid In Capital | | 29,642,292 | |
Treasury Stock | | 0 | |
Retained Earnings | | (26,278,047 | ) |
Current Year Retained Earnings | | (3,763,039 | ) |
Current Year Dividends | | 0 | |
| |
| |
Shareholders' Equity | | 680,758 | |
| |
| |
Liabilities & Equity | | 14,425,695 | |
| |
| |
16
IX. QUESTIONNAIRE
- 1.
- Has the debtor-in-possession made any payments on its pre-petition unsecured debt, except as has been authorized by the court?
No /x/
Yes / /
Explain:
- 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?
No /x/
Yes / /
Amount, to whom, and for what period:
- 3.
- State what progress was made during the reporting period toward filing a plan of reorganization: Plan became effective on October 18, 2001.
- 4.
- Describe potential future events which may have a significant impact on the case.
- 5.
- Attach copies of all Orders granting relief from the automatic stay that were entered during the reporting period.
- 6.
- Did you receive any exempt income this month, which is not set forth in the operating report?
No /x/
Yes / /
If yes, please set forth the amounts and the source of the income.
I,Donald H. Harnois, Jr., Chief Financial Officer, declare under penalty of perjury that I have fully read and understood the foregoing debtor-in-possession operating report and that the information contained herein is true and complete to the best of my knowledge.
Date: November 19, 2001 | | /s/ DONALD H. HARNOIS, JR. Principal for debtor-in-possession |
17
QuickLinks
I. CASH RECEIPTS AND DISBURSEMENTS A. (GENERAL ACCOUNT *)TOTAL DISBURSEMENTS DURING CURRENT PERIOD (General Account)B. (PAYROLL ACCOUNT)TOTAL DISBURSEMENTS DURING CURRENT PERIOD (Payroll Account)B. (TAX ACCOUNT)D. SUMMARY SCHEDULE OF CASHOTHER ACCOUNTS (Supplement to schedule I.D.)II. STATUS OF PAYMENTS TO SECURED CREDITORS, LESSORS, AND OTHER PARTIES TO EXECUTORY CONTRACTSIII. TAX LIABILITIESIV. AGING OF ACCOUNTS PAYABLE AND ACCOUNTS RECEIVABLEV. INSURANCE COVERAGEVI. UNITED STATES TRUSTEE QUARTERLY FEES (TOTAL PAYMENTS)IX. QUESTIONNAIRE