SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C. 20549 ______________________________________ FORM 8-K CURRENT REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 Date of Report (date of earliest event reported): December 28, 1999 ATLANTIC CITY BOARDWALK ASSOCIATES, L.P. ____________________________________ (Exact name of registrant as specified in its charter) New Jersey 33-27399 22-2469174 (State or other (Commission (IRS Employer jurisdiction of File Number) Identification incorporation) Number) Indiana Avenue & the Boardwalk Atlantic City, New Jersey 08401 (Address of principal executive offices) (Zip Code) Registrant's telephone number, Including area code: (609) 340-3400 This Current Report contains 17 pages. Item 5. Other Events On October 5, 1999, Atlantic City Boardwalk Partnership, L.P. (the "Partnership") filed a petition for reorganization in the United States Bankruptcy Court, District of New Jersey under Chapter 11 of the United States Bankruptcy Code. The Partnership owns the land, buildings, parking facility and non-gaming depreciable, tangible property (collectively, "Hotel Assets") of The Claridge Hotel and Casino ("Claridge") located in Atlantic City, New Jersey. The Partnership leases the Hotel Assets to The Claridge at Park Place, Incorporated ("New Claridge"), a wholly-owned subsidiary of The Claridge Hotel and Casino Corporation ("Corporation"), under operating leases. Following its bankruptcy filing, the Partnership sent a no-action request letter to the Securities and Exchange Commission seeking concurrence of the staff that it would take no enforcement action against the Partnership if it modified its reporting requirements in light of the Partnership's financial situation and lack of trading activity in its securities. The Partnership proposed filing copies of its monthly United States Trustee reports under cover of Form 8-K in lieu of Forms 10-K and 10-Q. While the Partnership has not yet received a response to its no-action request, it is nevertheless filing a copy of its second trustee report as an exhibit to this form. Item 7. Exhibits 99.1 United States Trustee Report of the Partnership for November 1999. SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized. ATLANTIC CITY BOARDWALK ASSOCIATES, L.P. By: /s/Gerald C. Heetland Gerald C. Heetland, General Partner Dated: December 28, 1999 OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 MONTHLY REPORTING REQUIREMENTS All Chapter 11 debtors must serve the U.S. Trustee with the documents and reports identified below no later than the 15th day of the month following the end of the month covered by the report. Debtor Name: Atlantic City Boardwalk Associates, L.P. Case Number: 99-18903 JHW For the month of: November 1999 - -------------------------------------------------------------------- --------------- --------------- ----------------- Document Previously Explanation Required Documents Attached Submitted Attached - -------------------------------------------------------------------- --------------- --------------- ----------------- 1. Income Statement (X) ( ) ( ) 2. Balance Sheet (X) ( ) ( ) 3. Statement of Cash Receipts and Disbursement (X) ( ) ( ) 4. Statement of Aged Receivables (X) ( ) ( ) 5. Statement of Aged Payables (X) ( ) ( ) 6. Statement of Operations, Taxes, Insurance and (X) ( ) ( ) Personnel 7. Tax Receipts (X) ( ) ( ) 8. Other documents/reports as (X) ( ) ( ) required by the U.S. Trustee: Bank statements ---------------------------------------------------- ---------------------------------------------------- The undersigned individuals certifies under penalty of perjury (28 U.S.C. Section 1746) that to the best of the individual's knowledge, the documents appended are true and correct. By:___________________________________ Dated: December __, 1999 Gerald C. Heetland, General Partner Title of Debtor Representative OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 INCOME STATEMENT For the Month Ending: 11/30/99 Debtor Name: Atlantic City Boardwalk Associates, L.P. Case Number: 99-18903 JHW Prior Current Month Month Payments Under Operating Leases 1,505,125 1,961,512 ------------------------------ ------------------------------------- Less: Returns and Allowances ------------------------------ ------------------------------------- Payments Under Operating Leases 1,505,125 1,961,512 ------------------------------ ------------------------------------- Cost of Sales: (1) ------------------------------ ------------------------------------- Beginning Inventory ------------------------------ ------------------------------------- Add: Purchases ------------------------------ ------------------------------------- Less: Ending Inventory ------------------------------ ------------------------------------- Cost of Goods Sold ------------------------------ ------------------------------------- Other Operating Expenses: 826,070(a) 851,151 Facilities and Maintenance Exp. ------------------------------ ------------------------------------- Officers Salaries 9,435 10,834 ------------------------------ ------------------------------------- Direct Labor/Salaries 1,045 961 ------------------------------ ------------------------------------- Benefits/Payroll Taxes 261 238 ------------------------------ ------------------------------------- Supplies ------------------------------ ------------------------------------- Insurance ------------------------------ ------------------------------------- Rent 839 964 ------------------------------ ------------------------------------- Depreciation 135,105 209,092 ------------------------------ ------------------------------------- General & Administrative 40,074 57,770 ------------------------------ ------------------------------------- Net Operating Profit (Loss) 492,296 830,502 ------------------------------ ------------------------------------- Prior Current Month Month Add: Other Income(2) 31,355(a) 36,000(a) ------------------------------ ------------------------------------- ------------------------------------- Less: Other Expenses ------------------------------ ------------------------------------- ------------------------------------- Interest Expense (773,840) (890,402) ------------------------------ ------------------------------------- ------------------------------------- Other(3) ------------------------------ ------------------------------------- ------------------------------------- Total Other Expenses (773,840) (890,402) ------------------------------ ------------------------------------- ------------------------------------- Gain (Loss) Sale of Assets ------------------------------ ------------------------------------- ------------------------------------- Profit (Loss) Before Taxes (250,189) (23,900) ------------------------------ ------------------------------------- ------------------------------------- Income Taxes ------------------------------ ------------------------------------- ------------------------------------- Net Profit (Loss) (250,189) (23,900) ------------------------------ ------------------------------------- - -------------------------------------------------------------------------------- 1. If perpetual inventory records are not maintained, use of the prior period gross percentage is acceptable but must be disclosed. 2. Identify the source if the amount is $500.00 or more. 3. Provide details on "other" expenses over $500.00. (a) Accrued interest earned on Note receivable from Claridge Hotel and Casino Corporation. OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 BALANCE SHEET As of 11/30/99 Debtor Name: Atlantic City Boardwalk Associates, L.P. Case Number: 99-18903 JHW ASSETS Prior Month Current Month Current Assets Cash 123,837 136,492 ------------------------------- ------------------------------------ Inventory ------------------------------- ------------------------------------ Accounts Receivable 1,391,430 1,644,135 ------------------------------- ------------------------------------ Notes Receivable ------------------------------- ------------------------------------ Other (attach list) 608,421(a) 599,531(a) ------------------------------- ------------------------------------ Total Current Assets 2,123,688 2,380,158 ------------------------------- ------------------------------------ Fixed Assets ------------------------------- ------------------------------------ Property and Equipment 197,336,532 197,336,532 ------------------------------- ------------------------------------ Accumulated Depreciation (180,851,131) (181,060,095) ------------------------------- ------------------------------------ Total Fixed Assets 16,485,401 16,276,437 ------------------------------- ------------------------------------ Other Assets (attach list) 24,260,908(b) 24,296,780(b) ------------------------------- ------------------------------------ TOTAL ASSETS 42,869,997 42,953,375 ------------------------------- ------------------------------------ LIABILITIES Post-petition Liabilities: Accounts Payable 79,781 96,281 ------------------------------- ------------------------------------ Notes Payable ------------------------------- ------------------------------------ Rents & Leases Payable ------------------------------- ------------------------------------ Taxes Payable ------------------------------- ------------------------------------ Accrued Interest ------------------------------- ------------------------------------ Other: ------------------------------- ------------------------------------ Total Post-petition Liabilities: 79,781 96,281 ------------------------------- ------------------------------------ Pre-petition Liabilities ------------------------------------ Unsecured Debt 68,342 36,559 ------------------------------- ------------------------------------ Notes Payable-Secured 86,898,027 87,020,839 ------------------------------- ------------------------------------ Other Debt (priority claims) ------------------------------- ------------------------------------ Taxes 250 ------------------------------- ------------------------------------ Wages ------------------------------- ------------------------------------ Deposits ------------------------------- ------------------------------------ Other: ----------------- ------------------------------- ------------------------------------ Total Pre-petition Liabilities 86,966,619 87,057,398 ------------------------------- ------------------------------------ TOTAL LIABILITIES 87,046,400 87,153,679 ------------------------------- ------------------------------------ OWNER EQUITY (DEFICIT) Preferred Stock ------------------------------- ------------------------------------ Common Stock ------------------------------- ------------------------------------ Capital Surplus ------------------------------- ------------------------------------ Retained Earnings ------------------------------- ------------------------------------ PARTNERS' INVESTMENT (DEFICIT) (44,176,403) 44,200,304 ------------------------------- TOTAL OWNER EQUITY (NET WORTH) (44,176,403) (44,200,304) ================================ ===================================== TOTAL LIABILITIES AND OWNER EQUITY 42,869,997 42,953,375 - ------------------------------------------------------ ================================ ===================================== NOTES: 1. Explain significant events, including contingent liabilities and pending lawsuits, which may have a material effect on the financial condition of the debtor. 2. Value assets at lower of cost or market and identify which method is being used. 3. Explain the method of inventory valuation if other than the lower of cost or market 4. Identify any changes in stock holdings of "insiders" during the reporting period. (1) Other Current Assets: Prior Current Month Month Accounts Receivable - Trustees to Bondholders $ 329,848 $ 329,848 Interest receivable - Partner Notes 33,697 33,697 Prepaid Expenses 50,011 50,011 Other Facilities and Maintenance Assets 194,865 185,975 ------------- -------- $ 608,421 $ 599,531 ============= ======== (2) Other Non-Current Assets: Deferred Rent from Claridge at Park Place $ 16,177,500 16,177,500 Note Receivable and Accrued Int-Claridge at Park Place 8,082,000 8,082,000 Intangible Assets, Net of Amortization 1,408 1,280 ------------- ----------- $ 24,260,908 $ 24,296,780 ============= =========== OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS For the Month Ending: 11/30/99 Debtor Name: Atlantic City Boardwalk Account Name: Atlantic City Boardwalk Associates, L.P. Associates, L.P. Case Number: 99-18903 JHW Debtor in Possession Account Depository: Bank of America CASH RECEIPTS (attach additional sheets as necessary) Date Description (Source) Amount 11/1/99 Beginning Cash Balance $ 123,787.79 11/5/99 Payment from Claridge at Park Place 77,000.00 Total Cash Receipts $ 77,000.00 - -------------------------------------------------------------------------------- CASH DISBURSEMENTS (attach additional sheets as necessary) Date Check No. Payee Description Amount 11/10/99 1002 Nevada Power Company Utilities 85.21 11/10/99 1004 AT&T Telephone 259.17 11/10/99 1005 Federal Express Delivery 44.82 11/10/99 1006 Sprint Telephone 15.35 11/10/99 1007 Sprint Telephone 272.50 11/10/99 1008 All-Pro Cleaning Cleaning 50.00 11/10/99 1009 Masco Properties Rent 963.68 11/10/99 1010 Nevada Dept of Taxation Taxes 7.50 11/10/99 1011 Computing Resources Payroll Service 57.95 11/10/99 1012 Sales and Use Tax Sales Tax 250.50 11/10/99 1014 Diebold Credit Corp. Lease Payment 2,057.20 11/10/99 1015 Genserve, Inc. Capital expenditure 9,399.72 11/10/99 1016 Jersey Architectural Door Capital expenditure 1,229.60 11/10/99 1017 Mechanical Supply Capital expenditure 734.20 11/11/99 1018 Anthony C. Atchley Genl Partner Fee 5,416.67 11/10/99 1019 Gerald C. Heetland Genl Partner Fee 5,416.67 11/11/99 1020 Nevada Power Company Utilities 32.62 11/11/99 1021 All-Pro Cleaning Cleaning 50.00 11/11/99 1022 Federal Express Delivery 102.14 11/16/99 1023 AT&T Telephone 77.50 11/16/99 1024 Petty Cash Office Supplies 90.00 11/16/99 1025 Clark County Assessor Property Taxes 25.81 11/18/99 1026 U.S. Postmaster Postage 275.00 11/24/99 1027 Genserve, Inc. Capital expenditure 9,399.73 11/24/99 1028 Genserve, Inc. Capital expenditure 9,399.73 11/24/99 1029 Diebold Credit Corporation Lease payment 2,057.20 11/24/99 1030 Diebold Credit Corporation Lease payment 2,057.20 11/24/99 1031 Masco Properties Office rent 963.68 11/24/99 1032 Nevada Power Company Utilities 27.34 11/24/99 1033 Sprint Telephone 172.87 11/30/99 1034 Anthony C. Atchley Genl Partner Fee 5,416.67 11/30/99 1035 Gerald C. Heetland Genl Partner Fee 5,416.67 Total Cash Disbursements $(61,824.90) ---------- Adjustments (explain) $ 11/5/99 Wire Transfer Fee (15.00) 11/18/99 Transfer to DIP Payroll Acct. (1,016.90) 11/30/99 Transfer to DIP Payroll Acct. (1,496.51) --------- Total Adjustments (2,528.41) ----------- Ending Cash Balance (must be reconcilable to the bank statement for account cited above) $136,434.48 =========== OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 - -------------------------------------------------------------------------------- STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS For the Month Ending: 11/30/99 Debtor Name: Atlantic City Boardwalk Account Name: Atlantic City Boardwalk Associates, L.P. Associates, L.P. Case Number: 99-18903 JHW Debtor in Possession Payroll Account Depository: Bank of America CASH RECEIPTS (attach additional sheets as necessary) Date Description (Source) Amount 11/1/99 Beginning Cash Balance $ 0 11/18/99 Transfer from DIP Account 1,016.90 11/30/99 Transfer from DIP Account 1,496.51 -------- Total Cash Receipts 2,513.41 -------- Total Cash Receipts $ 0 ------------------- - -------------------------------------------------------------------------------- CASH DISBURSEMENTS (attach additional sheets as necessary) Date Check No. Payee Description Amount 11/18/99 N/A Barbara Constantine Payroll (790.39) 11/18/99 N/A Qwik Pay Payroll taxes and fees (217.51) 11/30/99 N/A Barbara Constantine Payroll (1,215.19) 11/30/00 N/A Qwik Pay Payroll taxes and fees (281.32) Total Cash Disbursements $(2,504.41) ---------- Adjustments (explain) $ 0 ---------- Ending Cash Balance (must be reconcilable to the bank statement for account cited above) $ 9.00 ========== Exhibit 6 - -------------------------------------------------------------------------------- OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 STATEMENT OF AGED RECEIVABLES For the Month Ending: 11/30/99 Debtor Name: Atlantic City Boardwalk Associates, L.P. Case Number: 99-18903 JHW - ------------------------- ---------------------- ----------------------- ---------------------- ---------------------- Total Due Current Past Due Past Due Past Due (0-30 Days) (31-60 Days) (61-90 Days) (91+Days) - ------------------------- ---------------------- ----------------------- ---------------------- ---------------------- Pre-petition 1,183,198 905,218 277,980 - ------------------------- ---------------------- ----------------------- ---------------------- ---------------------- Post-petition 460,937 252,705 208,232 - ------------------------- ---------------------- ----------------------- ---------------------- --------------------- Totals 1,644,135 252,705 208,232 905,218 277,980 - ------------------------- ----------------------- ---------------------- --------------------- --------------------- Notes: 1. Please explain what actions have been taken to collect receivables more than 60 days past due. All accounts receivable are due from Claridge at Park Place, Inc. CPPI is bankruptcy debtor under Chapter 11. Some of the prepetition receivables are being held in escrow pursuant to an Order of the Bankruptcy Court in the CPPI bankruptcy case. - -------------------------------------------------------------------------------- 2. Provide details on all receivables due from any affiliate of debtor in an attachment. - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- ACCOUNTS RECEIVABLE RECONCILIATION: --------------------- 1. Opening Balance (total from prior report) $ 1,391,430 --------------------- 2. New Accounts this Month 252,705 --------------------- 3. Balance (add lines 1 and 2) 1,644,135 --------------------- 4. Amount Collected on Prior Accounts 0 --------------------- 5. Closing Balance (subtract line 4 from line 3) $ 1,644,135 OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 STATEMENT OF AGED PAYABLES For the Month Ending: 11/30/99 Debtor Name: Atlantic City Boardwalk Associates, L.P. Case Number: 99-18903 JHW - -------------------- ------------------ ------------------- ------------------ ------------------- ------------------ Account Current Past Due Past Due Past Due Name: Description: (0-30 Days) (31-60 Days) (61-90 Days) (91+Days) A/P Other 96,281 TOTALS 96,281 - ------------------- ------------------ ------------------- ------------------ ------------------- ------------------- You may combine all payables less than 30 days past due and show on one line. Note: Please include only post-petition debts and explain why accounts over 30 days past due have not been paid. ACCOUNTS PAYABLE RECONCILIATION: 1. Opening Balance (total from prior report) 79,781 2. Total New Indebtedness Incurred This Month 55,781 3. Balance (add lines 1 and 2) 135,562 4. Amount Paid on Prior Accounts Payable (39,281) 5. Closing Balance (subtract line 4 from line 3) 96,281 OFFICE OF THE UNITED STATES TRUSTEE - REGION 3 STATEMENT OF OPERATIONS, TAXES, INSURANCE AND PERSONNEL For the Month Ending: 11/30/99 Debtor Name: Atlantic City Boardwalk Associates, L.P. Case Number: 99-18903 JHW 1. What efforts have been made toward the preparation of a plan of reorganization? The Debtor is in the process of preparing a joint plan of reorganization with the Claridge at Park Place, Inc. and the Claridge Hotel and Casino Corporation and expects to file the joint plan by the end of January 2000. 2. Has the debtor, subsequent to the filing of the petition, made any payments on its pre petition unsecured debt, except as have been authorized by the Court? [ ] Yes [X] No Identify amount, who was paid and date paid: ----------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- 3. Provide a narrative report of significant events affecting debtor's business (attach separate sheet if necessary.) Certain payments to the Debtor under Operating Leases with the Claridge at Park Place, Inc. are being held in escrow and are not available to the Debtor. However, the Debtor's maintenance and service obligations for the leased Property have been paid. 4. List any payment(s) on debt that has been personally guaranteed by any principal, partner or officer of the business. None 5. If assets have been sold in other than the ordinary course of business, please provide details as to the asset sold, date of sale, total sales price, deductions (i.e. commissions), and net amount received. N/A - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- 6. STATUS OF TAXES Amount Withheld or Post-Petition Taxes Accrued Amount Paid Date Paid Past Due - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- FEDERAL TAXES - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- FICA 139.23 11/18/99 209.61 11/30/99 Withholding 50.00 11/18/99 50.00 11/30/99 - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Unemployment - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Income - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Other - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- STATE TAXES - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Dept. of Labor & Industries 7.50 11/10/99 - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Income - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Employment Sec. 2.73 11/18/99 4.11 11/30/99 - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Dept. of Revenue - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- B&O - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Sales 250.50 11/10/99 - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Excise - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- OTHER TAXES - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- City Business - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- License - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Personal Property 25.81 11/16/99 - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Real Property - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Other (List) - ----------------------------- ------------------------- ------------------- ------------------- ---------------------- Explain reason for any past due post-petition taxes: - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- - -------------------------------------------------------------------------------- 7. SCHEDULE OF SALARY AND OTHER PAYMENTS TO PRINCIPALS/ EXECUTIVES/ INSIDERS* Payee Name Position Nature of Payment Amount - ----------------------------------- --------------------------------- -------------------------------- ----------------------------- Anthony C. Atchley General Partner General Partner fee 5,416.67(a) - ----------------------------------- --------------------------------- -------------------------------- ----------------------------- Gerald C. Heetland General Partner General Partner fee 5,416.67(a) - ----------------------------------- --------------------------------- -------------------------------- ----------------------------- *List accrued salaries whether or not paid and any draws of any kind or perks such as car etc. made to or for the benefit of any proprietor, owner, partner, shareholder, officer, director or insider. (a) Amount represents November's General Partner fee. October's General Partner fee, as scheduled in October's Statement of Operations, Taxes, Insurance and Personnel," was also paid in November. 8. SCHEDULE OF PAYMENTS TO ATTORNEYS AND OTHER PROFESSIONALS - ------------------------------- ---------------------- --------------------- ---------------------- ---------------- --------------- Appointment Amount Paid Date of Court Aggregate Estimated Date This Month Approval Received Balance Due - ------------------------------- ---------------------- --------------------- ---------------------- ---------------- --------------- - ------------------------------- ---------------------- --------------------- ---------------------- ---------------- --------------- Debtor's Counsel 10/29/99 nunc pro $ 0 90,000 tunc to 10/5/99 - ------------------------------- ---------------------- --------------------- ---------------------- ---------------- --------------- Creditors' $ Committee Counsel - ------------------------------- ---------------------- --------------------- ---------------------- ---------------- --------------- - ------------------------------- ---------------------- --------------------- ---------------------- ---------------- --------------- Trustee Counsel $ - ------------------------------- ---------------------- --------------------- ---------------------- ---------------- --------------- - ------------------------------- ---------------------- --------------------- ---------------------- ---------------- --------------- Accountant 10/29/99 nunc pro $ 0 6,000 tunc to 10/5/99 - ------------------------------- ---------------------- --------------------- ---------------------- ---------------- --------------- Other: $ - ------------------------------- ---------------------- --------------------- ---------------------- ---------------- --------------- Identify fees accrued but not paid: Debtor's Counsel - $90,000; Accountant - $6,000 9. Explain any changes in insurance coverage which occurred during the reporting period. 10. PERSONNEL - ---------------------------------------------- -------------------------------------------- --------------------------------------- Full Time Part Time - ---------------------------------------------- -------------------------------------------- ---------------------------------------- Total number of employees at beginning of period 1 - ---------------------------------------------- -------------------------------------------- ---------------------------------------- Number hired during the period 0 - ---------------------------------------------- -------------------------------------------- ---------------------------------------- Number of terminated or resigned during period 0 - ---------------------------------------------- -------------------------------------------- ---------------------------------------- Total number of employees on payroll at 1 period end - --------------------------------------------- -------------------------------------------- ----------------------------------------- Total payroll for the period $961