EXHIBIT 99.1 UST-10 COVER SHEET - ------------------------------------------------------------------------------- MONTHLY FINANCIAL REPORT FOR CORPORATE OR PARTNERSHIP DEBTOR Case No. 02-23396 Report Month/Year 11-02 Debtor NETWORK COMMERCE, INC. - ------------------------------------------------------------------------------- INSTRUCTIONS: The debtor's monthly financial report shall include a cover sheet signed by the debtor and all UST forms and supporting documents. Exceptions, if allowed, are noted in the checklist below. Failure to comply with the reporting requirements of Local Bankruptcy Rule 2015-2(a), or the U.S. Trustee's reporting requirements, is cause for conversion or dismissal of the case. The debtor submits the following with this monthly financial report: Yes No - -------------------------------------------------------------------------------------------------- -------- ----- UST-12 COMPARATIVE BALANCE SHEET, or debtor's balance sheet. |X| |_| The debtor's balance sheet, if used, shall include a breakdown of pre- and post-petition liabilities. The breakdown may be provided as a separate attachment to the debtor's balance sheet. - -------------------------------------------------------------------------------------------------- -------- ----- UST-13 COMPARATIVE INCOME STATEMENT, OR DEBTOR'S INCOME STATEMENT. |X| |_| - -------------------------------------------------------------------------------------------------- -------- ----- UST-14 SUMMARY OF DISBURSEMENTS |X| |_| - -------------------------------------------------------------------------------------------------- -------- ----- UST-14 STATEMENT(S) OF CASH RECEIPTS AND DISBURSEMENTS Continuation A Continuation Sheet shall be completed for each bank account or Sheets other source of debtor funds and shall include a monthly bank statement and all supporting documents described in the instructions. |X| |_| - -------------------------------------------------------------------------------------------------- -------- ----- UST-15 STATEMENT OF AGED RECEIVABLES A detailed accounting of aged receivables shall be provided on, or in an |X| |_| attachment to, UST-15. - -------------------------------------------------------------------------------------------------- -------- ----- UST-16 STATEMENT OF AGED POST-PETITION PAYABLES A detailed accounting of aged post-petition payables shall be provided on, or in an attachment to, UST-16. |X| |_| - -------------------------------------------------------------------------------------------------- -------- ----- UST-17 STATEMENT OF OPERATIONS When applicable, UST-17 shall include supporting documents such as an escrow statement for the sale of real property, an auctioneer's report for property sold at auction, or a certificate of insurance or copy of debtor's bond for any change in insurance or bond coverage. |X| |_| - ------------------------------------------------------------------------------- DEBTOR'S CERTIFICATION I certify under penalty of perjury that the information contained in this monthly financial report are complete, true, and accurate to the best of my knowledge, information, and belief. Debtor's Signature /s/ N. Scott Dickson Date 12/31/02 The debtor, or trustee, if appointed, must sign the monthly financial report. Only an officer or director has authority to sign a financial report for a corporate debtor and only a general partner has authority to sign a financial report for partnership debtor. Debtor's counsel may not sign a financial report for the debtor. - ------------------------------------------------------------------------------- Monthly Financial Report - Corporate or Partnership Debtor Page 1 of 14 United States Trustee - Western District of Washington (Revised Aug. 2000) NETWORK COMMERCE INC. STATEMENTS OF OPERATIONS (in thousands) November 2002 ---------- (unaudited) Revenues .................................................. $ 273,104 Cost of Revenues .......................................... 63,210 --------- Gross Profit .............................................. 209,894 --------- Gross Profit % ......................................... 77% Operating expenses: Officer's Salaries ..................................... 28,750 Other Salaries/Direct labor ............................ 77,450 Employee Benefits/Payroll Taxes ........................ 26,792 Insurance .............................................. 21,106 Rent ................................................... 61,230 General & Administration ............................... 446,398 --------- Total operating expenses .................................. 661,726 --------- Loss from operations ...................................... (451,832) --------- Nonoperating (expense) income: Other income ........................................... -- Interest income ........................................ 190 Interest expense ....................................... (1,385) Other .................................................. (787) Gain (Loss) on Sale of Assets .......................... -- --------- Total nonoperating (expense) income ....................... (1,982) --------- Loss before Taxes ......................................... (453,814) Income Taxes .............................................. -- --------- Net loss (1) (2) .......................................... $(453,814) ========= (1) Includes non-cash items including the following: Depreciation $54,171, insurance $20,656, deferred rent $45,277, property taxes $11,093, deferred compensation $154,344, software licenses $5,239, leases which will be reversed in November $90,362. (2) Also includes $76,000 of expenses paid November 1, 2002 before bankruptcy petition was filed. NETWORK COMMERCE INC. BALANCE SHEETS (in thousands) 11/30/2002 ------------- (unaudited) ASSETS Current Assets: Cash, cash equivalents & ST Inv ..................... $ 225,018 Letter of Credit .................................... 57,292 Accounts receivable, net ............................ 386,453 Marketable equity securities ........................ 4,770 Prepaid expenses .................................... 486,017 Note receivable ..................................... 10,843 ------------- Total current assets .............................. 1,170,393 ------------- Property, Plant & Equipment: Real property/buildings ............................. 272,630 Equipment/software/furn & fix ....................... 15,315,577 Accumulated depreciation ............................ (14,673,282) ------------- Total property, plant & equipment ................. 914,925 ------------- Deposits ................................................. 412,208 Deferred domain names .................................... 166,409 Investments .............................................. 570,000 ------------- TOTAL ASSETS ............................................. $ 3,233,935 ============= LIABILITIES AND SHAREHOLDERS EQUITY Post-Petition Liabilities: Taxes payable ....................................... $ 5,436 Accounts payable .................................... 57,113 Note payable......................................... Rents and leases payable ............................ 180,104 Payroll ............................................. 7,131 Misc ................................................ (886) ------------- Total post-petition liabilities ................... 248,898 ------------- Pre-Petition Liabilities: Unsecured debt: Accounts payable .................................. 1,922,380 Accrued liabilities ............................... 1,837,065 CVI note payable .................................. 1,500,000 Priority debt: Taxes ............................................. 144,178 Wages ............................................. 135,165 Other.............................................. Undersecured debt ................................... 1,308,038 ------------- Total pre-petition liabilities .................... 6,846,826 ------------- Other Liabilities: Deferred revenue .................................... 1,156,720 Financed insurance .................................. 89,811 Flexible spending plans ............................. 1,381 ------------- Total Liabilities ........................................ 8,343,636 Shareholders' Equity: Common stock ........................................ 556,614,826 Common stock - warrants ............................. 18,248,590 Deferred compensation ............................... (1,069,481) Unrealized gain/loss ................................ (24,813) Accumulated deficit ................................. (578,878,823) ------------- Total shareholders equity ............................. (5,109,701) ------------- Total liabilities and shareholders' equity ............... $ 3,233,935 ============= NETWORK COMMERCE INC. STATEMENT OF SOURCES AND USES (in thousands) November 2002 -------- (unaudited) Beginning cash balance ..................................... 267,863 Sources of cash: Revenue ................................................. 166,165 Receivables ............................................. 77,756 Other ................................................... 7,232 -------- Total sources of cash ................................. 251,153 -------- Uses of cash: Accounts payable ........................................ 76,229 Bank fees and charge backs .............................. 12,169 Payroll ................................................. 101,628 -------- Total uses of cash .................................... 190,026 -------- Total change in cash ....................................... 61,127 Nov. 1 pre-petition accounts payable ....................... (109,278) -------- Ending cash balance ........................................ 219,712 ======== Case Number 02-23396 - ---------------------------------------------------------------------- -------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - ---------------------------------------------------------------------- -------- UST-14, SUMMARY OF DISBURSEMENTS - ------------------------------------------------------------------------------- INSTRUCTIONS: BEFORE COMPLETING THIS PAGE, prepare a UST-14 CONTINUATION SHEET (see next page) for each bank account or other source of the debtor's funds. The disbursement total from each CONTINUATION SHEET will be used to complete this SUMMARY OF DISBURSEMENTS. The debtor is responsible for providing accurate monthly disbursement totals for purposes of calculating its obligation pursuant to 28 U.S.C. ss. 1930 (a)(6) to pay statutory fees to the U.S. Trustee. The disbursement total encompasses all payments made by the bankruptcy estate during the reporting month, whether made directly by the debtor or by another party for the debtor. It includes checks written and cash payments for inventory and equipment purchases, payroll and related taxes and expenses, other operating costs, and debt reduction. It also includes payments made pursuant to joint check arrangements and those resulting from a sale or liquidation of the debtor's assets. The only transactions normally excluded from the disbursement total are transfers within the same reporting month between multiple debtor accounts. A fee payment is due within 30 days after the end of each calendar quarter, or on April 30, July 31, October 31, and January 31, respectively. Because the amount billed is an estimate, the debtor is responsible for paying the correct statutory fee based on its actual disbursements for the calendar quarter, or portion thereof the debtor was in Chapter 11. Failure to pay statutory fees to the U.S. Trustee is cause for conversion or dismissal of the case. A copy of the statutory fee schedule may be found on the U.S. Trustee's website located at: www.usdoj.gov/ust/r18/s_home.htm (select Library page) If you have questions about how to compute the disbursement total, please call the Bankruptcy Analyst assigned to your case at (206) 553-2000. - ------------------------------------------------------------------------------- Computation of Monthly Disbursement Total - ------------------------------------------------------------------------------------ ------------------------ Total disbursements from Continuation Sheet(s) 319,317.74 - ------------------------------------------------------------------------------------ ------------------------ Cash payments not included in total above (if any) - ------------------------------------------------------------------------------------ ------------------------ Disbursements made by other parties for the debtor (if any, explain) - ------------------------------------------------------------------------------------ ------------------------ 319,317.74 TOTAL DISBURSEMENTS THIS MONTH FROM ALL SOURCES - ------------------------------------------------------------------------------------ ------------------------ At the end of this reporting month, did the debtor have any delinquent statutory fees owing to the U.S. Trustee? Yes |_| No |X| If "yes," list each quarter that is delinquent and the amount due. - ------------------------------------------------------------------------------- (UST-14 CONTINUATION SHEETS, with attachments, should follow this page.) Monthly Financial Report - Corporate or Partnership Debtor Page 5 of 14 United States Trustee - Western District of Washington (Revised Aug. 2000) --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-14, CONTINUATION SHEET STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS - ------------------------------------------------------------------------------- INSTRUCTIONS: Prepare a CONTINUATION SHEET for each bank account or other source of the debtor's funds and attach supporting documents as indicated on the checklist below. - ------------------------------------------------------------------------------- - ------------------------------------------------------- ----------------------- Depository (bank) name Comerica Account number 1891657171 - ------------------------------------------------------- ----------------------- Purpose of this account (select one): |X| General operating account |_| General payroll account |_| Tax deposit account (payroll, sales, gambling, or other taxes) |_| Other (explain) - ------------------------------------------------------------------------------------ ------------------------ Beginning cash balance 243,188.19 - ------------------------------------------------------------------------------------ ------------------------ Add: Transfers in from other estate bank accounts 311,399.01 - ------------------------------------------------------------------------------------ ------------------------ Cash receipts deposited to this account 30,465.11 - ------------------------------------------------------------------------------------ ------------------------ Financing or other loaned funds (identify source) 0.00 - ------------------------------------------------------------------------------------ ------------------------ Total cash available this month 585,052.31 - ------------------------------------------------------------------------------------ ------------------------ Subtract: Transfers out to other estate bank accounts 380,966.84 - ------------------------------------------------------------------------------------ ------------------------ Cash disbursements from this account 1,513.96 (total checks written plus cash withdrawals, if any) - ------------------------------------------------------------------------------------ ------------------------ Adjustments, if any (explain) ADP Adjustment (113.81) - ------------------------------------------------------------------------------------ ------------------------ Ending cash balance 202,457.70 - ------------------------------------------------------------------------------------ ------------------------ Does this CONTINUATION SHEET include the following supporting documents, as required: Yes No o A monthly bank statement (or trust account statement); |X| |_| o A detailed list of receipts for that account (deposit log or receipts journal); |_| |_| o A detailed list of disbursements for that account (check register or disbursement journal); and, |_| |_| o If applicable, a detailed list of funds received and/or disbursed by another party for the debtor. |_| |_| - ---------------------------------------------------------------------------------------- -------------------- (UST-14 CONTINUATION SHEET, Number 1 of 8 --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-14, CONTINUATION SHEET STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS - ------------------------------------------------------------------------------- INSTRUCTIONS: Prepare a CONTINUATION SHEET for each bank account or other source of the debtor's funds and attach supporting documents as indicated on the checklist below. - ------------------------------------------------------------------------------- - ------------------------------------------------------- ----------------------- Depository (bank) name Comerica Account number 600003446 - ------------------------------------------------------- ----------------------- Purpose of this account (select one): |_| General operating account |_| General payroll account |_| Tax deposit account (payroll, sales, gambling, or other taxes) |X| Other (explain) Investment Account - ------------------------------------------------------------------------------------ ------------------------ Beginning cash balance 31,194.30 - ------------------------------------------------------------------------------------ ------------------------ Add: Transfers in from other estate bank accounts 69,363.03 - ------------------------------------------------------------------------------------ ------------------------ Cash receipts deposited to this account 0.00 - ------------------------------------------------------------------------------------ ------------------------ Financing or other loaned funds (identify source) 0.00 - ------------------------------------------------------------------------------------ ------------------------ Total cash available this month 100,557.33 - ------------------------------------------------------------------------------------ ------------------------ Subtract: Transfers out to other estate bank accounts 102,290.15 - ------------------------------------------------------------------------------------ ------------------------ Cash disbursements from this account 0.00 (total checks written plus cash withdrawals, if any) - ------------------------------------------------------------------------------------ ------------------------ Interest = 17.62 Adjustments, if any (explain) 10/31 Deposit in transit = 5703.40 5,721.02 - ------------------------------------------------------------------------------------ ------------------------ Ending cash balance 3,988.20 - ------------------------------------------------------------------------------------ ------------------------ Does this CONTINUATION SHEET include the following supporting documents, as required: Yes No o A monthly bank statement (or trust account statement); |X| |_| o A detailed list of receipts for that account (deposit log or receipts journal); |_| |_| o A detailed list of disbursements for that account (check register or disbursement journal); and, |_| |_| o If applicable, a detailed list of funds received and/or disbursed by another party for the debtor. |_| |_| - ---------------------------------------------------------------------------------------- -------------------- (UST-14 CONTINUATION SHEET, Number 8 of 8 --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-14, CONTINUATION SHEET STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS - ------------------------------------------------------------------------------- INSTRUCTIONS: Prepare a CONTINUATION SHEET for each bank account or other source of the debtor's funds and attach supporting documents as indicated on the checklist below. - ------------------------------------------------------------------------------- - ------------------------------------------------------- ----------------------- Depository (bank) name Comerica Account number 1891657288 - ------------------------------------------------------------------------------- Purpose of this account (select one): |_| General operating account |_| General payroll account |_| Tax deposit account (payroll, sales, gambling, or other taxes) |X| Other (explain) Checking - ------------------------------------------------------------------------------------ ------------------------ Beginning cash balance 0.00 - ------------------------------------------------------------------------------------ ------------------------ Add: Transfers in from other estate bank accounts 0.00 - ------------------------------------------------------------------------------------ ------------------------ Cash receipts deposited to this account 0.00 - ------------------------------------------------------------------------------------ ------------------------ Financing or other loaned funds (identify source) 0.00 - ------------------------------------------------------------------------------------ ------------------------ Total cash available this month 0.00 - ------------------------------------------------------------------------------------ ------------------------ Subtract: Transfers out to other estate bank accounts 0.00 - ------------------------------------------------------------------------------------ ------------------------ Cash disbursements from this account 0.00 (total checks written plus cash withdrawals, if any) - ------------------------------------------------------------------------------------ ------------------------ Adjustments, if any (explain) 0.00 - ------------------------------------------------------------------------------------ ------------------------ Ending cash balance 0.00 - ------------------------------------------------------------------------------------ ------------------------ Does this CONTINUATION SHEET include the following supporting documents, as required: Yes No o A monthly bank statement (or trust account statement); |X| |_| o A detailed list of receipts for that account (deposit log or receipts journal); |_| |_| o A detailed list of disbursements for that account (check register or disbursement journal); and, |_| |_| o If applicable, a detailed list of funds received and/or disbursed by another party for the debtor. |_| |_| - ------------------------------------------------------------------------------------- ----------------------- (UST-14 CONTINUATION SHEET, Number 2 of 8 --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-14, CONTINUATION SHEET STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS - ------------------------------------------------------------------------------- INSTRUCTIONS: Prepare a CONTINUATION SHEET for each bank account or other source of the debtor's funds and attach supporting documents as indicated on the checklist below. - ------------------------------------------------------------------------------- - ------------------------------------------------------- ----------------------- Depository (bank) name Comerica Account number 1892013861 - ------------------------------------------------------------------------------- Purpose of this account (select one): |_| General operating account |_| General payroll account |_| Tax deposit account (payroll, sales, gambling, or other taxes) |X| Other (explain) Checking - ------------------------------------------------------------------------------------ ------------------------ Beginning cash balance (12,026.73) - ------------------------------------------------------------------------------------ ------------------------ Add: Transfers in from other estate bank accounts 196,658.67 - ------------------------------------------------------------------------------------ ------------------------ Cash receipts deposited to this account 0.00 - ------------------------------------------------------------------------------------ ------------------------ Financing or other loaned funds (identify source) 0.00 - ------------------------------------------------------------------------------------ ------------------------ Total cash available this month 184,631.94 - ------------------------------------------------------------------------------------ ------------------------ Subtract: Transfers out to other estate bank accounts 0.00 - ------------------------------------------------------------------------------------ ------------------------ Cash disbursements from this account 197,533.67 (total checks written plus cash withdrawals, if any) - ------------------------------------------------------------------------------------ ------------------------ Checks cut in Oct, cashed in Nov = 12,026.73 Adjustments, if any (explain) Checks outstanding as of 11/30 = 875.00 12,901.73 - ------------------------------------------------------------------------------------ ------------------------ Ending cash balance 0.00 - ------------------------------------------------------------------------------------ ------------------------ Does this CONTINUATION SHEET include the following supporting documents, as required: Yes No o A monthly bank statement (or trust account statement); |X| |_| o A detailed list of receipts for that account (deposit log or receipts journal); |_| |_| o A detailed list of disbursements for that account (check register or disbursement journal); and, |_| |_| o If applicable, a detailed list of funds received and/or disbursed by another party for the debtor. |_| |_| - ---------------------------------------------------------------------------------------- -------------------- (UST-14 CONTINUATION SHEET, Number 3 of 8 Accounts Payable Vendor Payment Activity-Summary Tran No Tran Date Vendor Tran Amt HC 0000028714 APSC-0002824 11/1/02 MerrillPlace Merrill Place LLC 15,100.00 0000028715 APSC-0002824 11/1/02 wenzelpete Peter A. Wenzel, A Professional Corp. 1,200.00 0000028717 APSC-0002834 11/1/02 WolpertCharl Charles Wolpert 1,000.00 0000028716 APSC-0002825 11/1/02 fennerchris Christopher Fenner 1,477.80 0000000000 APSC-0002826 11/1/02 worldcom4572 WorldCom 457291108 7,500.00 0000000000 APSC-0002826 11/1/02 Cairncrosshe Cairncross & Hempelmann, P.S. 10,000.00 0000000000 APSC-0002827 11/1/02 Cairncrosshe Cairncross & Hempelmann, P.S. 10,000.00 0000000000 APSC-0002828 11/1/02 Cairncrosshe Cairncross & Hempelmann, P.S. 10,000.00 0000000000 APSC-0002829 11/1/02 Cairncrosshe Cairncross & Hempelmann, P.S. 10,000.00 0000000000 APSC-0002830 11/1/02 Cairncrosshe Cairncross & Hempelmann, P.S. 10,000.00 0000000000 APSC-0002831 11/1/02 Cairncrosshe Cairncross & Hempelmann, P.S. 10,000.00 0000000000 APSC-0002832 11/1/02 Cairncrosshe Cairncross & Hempelmann, P.S. 10,000.00 0000000000 APSC-0002833 11/1/02 Cairncrosshe Cairncross & Hempelmann, P.S. 5,000.00 0000000000 APSC-0002836 11/5/02 BirminghamT Birmingham Thorson & Barnett, P.C. 8,000.00 0000028718 APSC-0002837 11/6/02 samsbarry Barry Sams 540.00 0000028719 APSC-0002839 11/8/02 USpostalserv US Postal Service 250.00 0000028720 APSC-0002844 11/11/02 PacificParki Pacific Parking 185.00 0000000000 APSC-0002840 11/11/02 eNom, Inc. eNom, Inc. 5,000.00 0000028721 APSC-0002847 11/14/02 AFCO AFCO, inc 15,195.51 0000028725 APSC-0002847 11/14/02 KellyCecelia Kelly, Cecelia 700.00 0000000000 APSC-0002845 11/14/02 eNom, Inc. eNom, Inc. 5,000.00 0000028726 APSC-0002847 11/14/02 wellsfargosh Wells Fargo Shareowner Services 55.00 0000028722 APMC-0000803 11/14/02 aicreditcorp A. I. Credit Corporation -5,741.04Reversal 0000028722 APSC-0002847 11/14/02 aicreditcorp A. I. Credit Corporation 5,741.04Reversed 0000028722 APMC-0000805 11/14/02 aicreditcorp A. I. Credit Corporation 5,741.04 0000028723 APSC-0002847 11/14/02 Flexplanserv Flex-Plan Services, Inc. 487.23 0000028724 APSC-0002847 11/14/02 galtmedia Galtmedia 300.00 0000000000 APSC-0002848 11/15/02 VanguardGrou Vanguard Group 1,312.78 0000028727 APSC-0002849 11/18/02 Regenceblues Regence BlueShield 19,620.12 0000000000 APSC-0002850 11/19/02 eNom, Inc. eNom, Inc. 5,000.00 0000028730 APSC-0002851 11/20/02 VanguardGrou Vanguard Group 875.00 0000028731 APSC-0002851 11/20/02 WolpertCharl Charles Wolpert 400.00 0000028728 APSC-0002851 11/20/02 aicreditcorp A. I. Credit Corporation 5,741.04 0000028729 APSC-0002851 11/20/02 doubletree Doubletree Hotels 489.00 0000028732 APSC-0002852 11/21/02 WolpertCharl Charles Wolpert 200.00 0000000000 APSC-0002855 11/26/02 eNom, Inc. eNom, Inc. 7,500.00 0000000000 APSC-0002856 11/27/02 VanguardGrou Vanguard Group 1,317.43 0000028734 APSC-0002853 11/27/02 LamSteve Lam, Steve 320.00 Report Total: 185,506.95 Run Date: 12/13/2002 4:34:40 PM Business Date: 12/13/2002 Page 1 --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-14, CONTINUATION SHEET STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS - ------------------------------------------------------------------------------- INSTRUCTIONS: Prepare a CONTINUATION SHEET for each bank account or other source of the debtor's funds and attach supporting documents as indicated on the checklist below. - ------------------------------------------------------------------------------- - ------------------------------------------------------- ----------------------- Depository (bank) name Comerica Account number 1891657171 - ------------------------------------------------------------------------------- Purpose of this account (select one): |_| General operating account |_| General payroll account |_| Tax deposit account (payroll, sales, gambling, or other taxes) |X| Other (explain) Insurance - ------------------------------------------------------------------------------------ ------------------------ Beginning cash balance (6,741.23) - ------------------------------------------------------------------------------------ ------------------------ Add: Transfers in from other estate bank accounts 4,625.53 - ------------------------------------------------------------------------------------ ------------------------ Cash receipts deposited to this account 0.00 - ------------------------------------------------------------------------------------ ------------------------ Financing or other loaned funds (identify source) 0.00 - ------------------------------------------------------------------------------------ ------------------------ Total cash available this month (2,115.70) - ------------------------------------------------------------------------------------ ------------------------ Subtract: Transfers out to other estate bank accounts 0.00 - ------------------------------------------------------------------------------------ ------------------------ Cash disbursements from this account 4,625.53 (total checks written plus cash withdrawals, if any) - ------------------------------------------------------------------------------------ ------------------------ Checks outstanding 10/31, cleared in 11/02 = 4625.53 Adjustments, if any (explain) Checks outstanding 11/30/02 = 1353.50/GE Refund=762.20 6,741.23 - ------------------------------------------------------------------------------------ ------------------------ Ending cash balance 0.00 - ------------------------------------------------------------------------------------ ------------------------ Does this CONTINUATION SHEET include the following supporting documents, as required: Yes No o A monthly bank statement (or trust account statement); |X| |_| o A detailed list of receipts for that account (deposit log or receipts |_| |_| journal); o A detailed list of disbursements for that account (check register or disbursement journal); and, |_| |_| o If applicable, a detailed list of funds received and/or disbursed by another party for the debtor. |_| |_| - ---------------------------------------------------------------------------------------- -------------------- (UST-14 CONTINUATION SHEET, Number 4 of 8 --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-14, CONTINUATION SHEET STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS - ------------------------------------------------------------------------------- INSTRUCTIONS: Prepare a CONTINUATION SHEET for each bank account or other source of the debtor's funds and attach supporting documents as indicated on the checklist below. - ------------------------------------------------------------------------------- - ------------------------------------------------------- ----------------------- Depository (bank) name Comerica Account number 1891657189 - ------------------------------------------------------------------------------- Purpose of this account (select one): |_| General operating account |X| General payroll account |_| Tax deposit account (payroll, sales, gambling, or other taxes) |_| Other (explain) - ------------------------------------------------------------------------------------ ------------------------ Beginning cash balance 12,217.64 - ------------------------------------------------------------------------------------ ------------------------ Add: Transfers in from other estate bank accounts 100,121.11 - ------------------------------------------------------------------------------------ ------------------------ Cash receipts deposited to this account 0.00 - ------------------------------------------------------------------------------------ ------------------------ Financing or other loaned funds (identify source) 0.00 - ------------------------------------------------------------------------------------ ------------------------ Total cash available this month 112,338.75 - ------------------------------------------------------------------------------------ ------------------------ Subtract: Transfers out to other estate bank accounts - ------------------------------------------------------------------------------------ ------------------------ Cash disbursements from this account 104,322.59 (total checks written plus cash withdrawals, if any) - ------------------------------------------------------------------------------------ ------------------------ Checks cut in Oct, checks cashed in Nov = 2694.78 Adjustments, if any (explain) Outstanding Checks as of 11/30 = 4289.06 6,983.84 - ------------------------------------------------------------------------------------ ------------------------ Ending cash balance 15,000.00 - ------------------------------------------------------------------------------------ ------------------------ Does this CONTINUATION SHEET include the following supporting documents, as required: Yes No o A monthly bank statement (or trust account statement); |X| |_| o A detailed list of receipts for that account (deposit log or receipts journal); |_| |_| o A detailed list of disbursements for that account (check register or disbursement journal); and, |X| |_| o If applicable, a detailed list of funds received and/or disbursed by another party for the debtor. |_| |_| - ---------------------------------------------------------------------------------------- -------------------- (UST-14 CONTINUATION SHEET, Number 5 of 8 --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-14, CONTINUATION SHEET STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS - ------------------------------------------------------------------------------- INSTRUCTIONS: Prepare a CONTINUATION SHEET for each bank account or other source of the debtor's funds and attach supporting documents as indicated on the checklist below. - ------------------------------------------------------------------------------- - ------------------------------------------------------- ----------------------- Depository (bank) name Comerica Account number 1891657239 - ------------------------------------------------------- ----------------------- Purpose of this account (select one): |_| General operating account |_| General payroll account |_| Tax deposit account (payroll, sales, gambling, or other taxes) |X| Other (explain) Lockbox - ------------------------------------------------------------------------------------ ------------------------ Beginning cash balance 0.00 - ------------------------------------------------------------------------------------ ------------------------ Add: Transfers in from other estate bank accounts 5,414.94 - ------------------------------------------------------------------------------------ ------------------------ Cash receipts deposited to this account 220,688.14 - ------------------------------------------------------------------------------------ ------------------------ Financing or other loaned funds (identify source) 0.00 - ------------------------------------------------------------------------------------ ------------------------ Total cash available this month 226,103.08 - ------------------------------------------------------------------------------------ ------------------------ Subtract: Transfers out to other estate bank accounts 214,812.26 - ------------------------------------------------------------------------------------ ------------------------ Cash disbursements from this account 11,290.82 (total checks written plus cash withdrawals, if any) - ------------------------------------------------------------------------------------ ------------------------ Adjustments, if any (explain) 0.00 - ------------------------------------------------------------------------------------ ------------------------ Ending cash balance 0.00 - ------------------------------------------------------------------------------------ ------------------------ Does this CONTINUATION SHEET include the following supporting documents, as required: Yes No o A monthly bank statement (or trust account statement); |X| |_| o A detailed list of receipts for that account (deposit log or receipts journal); |_| |_| o A detailed list of disbursements for that account (check register or disbursement journal); and, |_| |_| o If applicable, a detailed list of funds received and/or disbursed by another party for the debtor. |_| |_| - ---------------------------------------------------------------------------------------- -------------------- (UST-14 CONTINUATION SHEET, Number 6 of 8 --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-14, CONTINUATION SHEET STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS - ------------------------------------------------------------------------------- INSTRUCTIONS: Prepare a CONTINUATION SHEET for each bank account or other source of the debtor's funds and attach supporting documents as indicated on the checklist below. - ------------------------------------------------------------------------------- - ------------------------------------------------------- ----------------------- Depository (bank) name Comerica Account number 1891659607 - ------------------------------------------------------- ----------------------- Purpose of this account (select one): |_| General operating account |_| General payroll account |_| Tax deposit account (payroll, sales, gambling, or other taxes) |X| Other (explain) IDR Account - ------------------------------------------------------------------------------------ ------------------------ Beginning cash balance 31.17 - ------------------------------------------------------------------------------------ ------------------------ Add: Transfers in from other estate bank accounts 0.00 - ------------------------------------------------------------------------------------ ------------------------ Cash receipts deposited to this account 0.00 - ------------------------------------------------------------------------------------ ------------------------ Financing or other loaned funds (identify source) 0.00 - ------------------------------------------------------------------------------------ ------------------------ Total cash available this month 31.17 - ------------------------------------------------------------------------------------ ------------------------ Subtract: Transfers out to other estate bank accounts 0.00 - ------------------------------------------------------------------------------------ ------------------------ Cash disbursements from this account 31.17 (total checks written plus cash withdrawals, if any) - ------------------------------------------------------------------------------------ ------------------------ Adjustments, if any (explain) 0.00 - ------------------------------------------------------------------------------------ ------------------------ Ending cash balance 0.00 - ------------------------------------------------------------------------------------ ------------------------ Does this CONTINUATION SHEET include the following supporting documents, as required: Yes No o A monthly bank statement (or trust account statement); |X| |_| o A detailed list of receipts for that account (deposit log or receipts journal); |_| |_| o A detailed list of disbursements for that account (check register or disbursement journal); and, |_| |_| o If applicable, a detailed list of funds received and/or disbursed by another party for the debtor. |_| |_| - ---------------------------------------------------------------------------------------- -------------------- (UST-14 CONTINUATION SHEET, Number 7 of 8 --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-14, SUMMARY OF DISBURSEMENTS (contd.) Payments on Pre-Petition Unsecured Debt (requires court approval) - ------------------------------------------------------------------------------- Did the debtor, or another party on behalf of the debtor, make any payments during this reporting month on pre-petition unsecured debt? Yes |_| No |X| If "Yes", list each payment. - ------------------------------------------------------------------------------- Payment Date of court Payee's name Nature of payment Payment date amount approval - ------------------------------- ------------------------------ ----------------- ------------ --------------- - ------------------------------- ------------------------------ ----------------- ------------ --------------- - ------------------------------- ------------------------------ ----------------- ------------ --------------- - ------------------------------- ------------------------------ ----------------- ------------ --------------- - ------------------------------- ------------------------------ ----------------- ------------ --------------- Payments to Attorneys and Other Professionals (requires court approval) - ------------------------------------------------------------------------------- Did the debtor, or another party on behalf of the debtor, make any payments during this reporting month to a professional such as an attorney, accountant, realtor, appraiser, auctioneer, business consultant, or other professional person? Yes |_| No |X| If "Yes", list each payment. - ------------------------------------------------------------------------------- Payment Date of court Professional's name Type of work performed Payment date amount approval - ------------------------------- ------------------------------ ----------------- ------------ --------------- - ------------------------------- ------------------------------ ----------------- ------------ --------------- - ------------------------------- ------------------------------ ----------------- ------------ --------------- - ------------------------------- ------------------------------ ----------------- ------------ --------------- - ------------------------------- ------------------------------ ----------------- ------------ --------------- Payments to an Officer, Director, Partner, or Other Insider of The Debtor - ------------------------------------------------------------------------------- Did the debtor, or another party on behalf of the debtor, make any payments during this reporting month to an officer, director, partner, or other insider of the debtor? Yes |X| No |_| If "Yes", list each payment. - ------------------------------------------------------------------------------- Payment Purpose of Payee's name Relationship to Debtor Payment date amount payment - ------------------------------- ------------------------------ ----------------- ------------ --------------- N. Scott Dickson Acting CEO & CFO 11/15/02 $7,291.67 Salary - ------------------------------- ------------------------------ ----------------- ------------ --------------- N. Scott Dickson Acting CEO & CFO 11/30/02 $7,291.67 Salary - ------------------------------- ------------------------------ ----------------- ------------ --------------- Joseph Shatara Sr. VP Ehost 11/15/02 $7,083.33 Salary - ------------------------------- ------------------------------ ----------------- ------------ --------------- Joseph Shatara Sr. VP Ehost 11/30/02 $7,083.33 Salary - ------------------------------------------------------------------------------------------------------------- INSTRUCTIONS: Use the last column to describe the purpose of each payment, such as gross wages or salary, reimbursement for business expenses, loan repayment, advance, draw, bonus, dividend, stock distribution, or other reason for the payment (explain). - ------------------------------------------------------------------------------- Monthly Financial Report - Corporate or Partnership Debtor Page 6 of 14 United States Trustee - Western District of Washington (Revised Aug. 2000) --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-15, STATEMENT OF AGED RECEIVABLES - ------------------------------------------------------------------------------- INSTRUCTIONS: Complete all portions of UST-15, STATEMENT OF AGED RECEIVABLES, unless the debtor asserts the following two statements are true for this reporting month: 1) At the beginning of the reporting month, the debtor did not have any uncollected receivables from prior months which includes both pre-petition and post-petition accounts receivable; and, 2) During the reporting month, the debtor did not have any receivables activity, including the accrual of new accounts receivable, or the collection or writeoff of accounts receivable from prior months. Check here |_| if the debtor asserts that both statements are correct and skip to UST-16, STATEMENT OF POST-PETITION PAYABLES, on the next page. - ------------------------------------------------------------------------------- Accounts Receivable Aging - ----------------- -------------- --------------- -------------- -------------- --------------- -------------- Balance at Current Past due Past due Past due Uncollectible month end portion 31-60 days 61-90 days over 90 days receivables - ----------------- -------------- --------------- -------------- -------------- --------------- -------------- Pre-petition 2,160,195.29 157,003.42 178.49 18,265.95 4371.11 1,980,376.32 receivables - ----------------- -------------- --------------- -------------- -------------- --------------- -------------- Post-petition 114,668.78 114,668.78 0 0 0 0 receivables - ----------------- -------------- --------------- -------------- -------------- --------------- -------------- TOTALS 2,274,864.07 271,620.20 178.49 18,265.95 4,371.11 1,980,376.32 - ----------------- -------------- --------------- -------------- -------------- --------------- -------------- Explain what efforts the debtor made during this reporting month to collect receivables over 60 days past due. Email, phone calls, collection agencies, sending pre-paid overnight envelopes to customer(s). - ------------------------------------------------------------------------------- Does the debtor have any accounts receivable due from an officer, director, partner, or other insider of the debtor? If yes, explain. Yes, Notes from prior acquisitions = 132,700 Loans to former officers = 454,696 - ------------------------------------------------------------------------------- Accounts Receivable Reconciliation - ---------------------------------------------------------- -------------------------------------------------- Closing balance from prior month 2,250,616.53 - ---------------------------------------------------------- -------------------------------------------------- New accounts receivable added this month 272,898.18 - ---------------------------------------------------------- -------------------------------------------------- Subtotal 2,523,514.71 - ---------------------------------------------------------- -------------------------------------------------- Less accounts receivable collected 248,650.64 - ---------------------------------------------------------- -------------------------------------------------- Closing balance for current month 2,274,864.07 - ---------------------------------------------------------- -------------------------------------------------- Monthly Financial Report - Corporate or Partnership Debtor Page 7 of 14 United States Trustee - Western District of Washington (Revised Aug. 2000) 11-30-2002 A/R Detail - --------------------------------------------------------------------------------------------------------------------------------- ACCOUNT NAME Balance Current Over 30 Days Over 60 Days Over 90 Days Uncollectible - --------------------------------------------------------------------------------------------------------------------------------- Accudata America $675.00 $75.00 $600.00 $0.00 $0.00 $0.00 Adteractive $7,443.50 $7,445.50 -$2.00 $0.00 $0.00 $0.00 The Affinity Group $140.00 $0.00 $0.00 $0.00 $0.00 $140.00 AFGMedia.com $275.00 $275.00 $0.00 $0.00 $0.00 $0.00 American Home Owners / RealHome.com -$1,515.50 -$1,515.50 $0.00 $0.00 $0.00 $0.00 American Software Association $40.00 $0.00 $0.00 $0.00 $0.00 $40.00 Apollo Group / University of Phoenix $2,785.53 $0.00 $0.00 $0.00 $0.00 $2,785.53 Applied Semantics -$917.74 -$533.15 -$384.59 $0.00 $0.00 $0.00 Best Deals Magazine $20.00 $0.00 $0.00 $0.00 $0.00 $20.00 Beverly Collins $59.85 $0.00 $0.00 $0.00 $0.00 $59.85 BidBay.com $30,986.81 $0.00 $0.00 $0.00 $0.00 $30,986.81 Blunko Enterprises, LLC $245.80 $0.00 $0.00 $0.00 $0.00 $245.80 BTB.com / Map Marketing -$1,000.00 $0.00 -$1,000.00 $0.00 $0.00 $0.00 Capital Pros Network $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Cash Flow Circle $4,594.87 $4,594.87 $0.00 $0.00 $0.00 $0.00 CDF Media -$2,391.10 $0.00 -$535.56 -$324.29 $0.00 -$1,531.25 ClickforMail $100.00 $0.00 $0.00 $0.00 $0.00 $100.00 Click Zen $51.00 $0.00 $0.00 $0.00 $0.00 $51.00 Clutch Interactive -$500.00 $0.00 -$500.00 $0.00 $0.00 $0.00 Commodore Casino -$3,750.00 -$3,750.00 $0.00 $0.00 $0.00 $0.00 ConsumerInfo.com $464.00 $464.00 $0.00 $0.00 $0.00 $0.00 Content Watch Marketing $150.00 $0.00 $0.00 $0.00 $0.00 $150.00 Date.com Inc. -$1,929.92 -$1,705.04 -$225.97 $0.00 $1.09 $0.00 Delightful Deliveries $750.00 $0.00 $0.00 $0.00 $0.00 $750.00 Digital River $92,209.17 $0.00 $0.00 $0.00 $0.00 $92,209.17 DirectQlick.com $125.80 $0.00 $0.00 $0.00 $0.00 $125.80 DirectSynergy $84.00 $0.00 $0.00 $0.00 $84.00 $0.00 Dotzoo $2,890.00 $2,590.00 $300.00 $0.00 $0.00 $0.00 Drugstore.com $750.00 $0.00 $0.00 $0.00 $750.00 $0.00 EasyMail Interactive $192.00 $0.00 $0.00 $0.00 $0.00 $192.00 eDiets $40.00 $0.00 $0.00 $0.00 $0.00 $40.00 eDynamic $12.00 $12.00 $0.00 $0.00 $0.00 $0.00 eHealthInsurance -$4,160.88 $0.00 $0.00 -$4,665.88 $0.00 $505.00 eLens.com $104.00 $0.00 $0.00 $0.00 $0.00 $104.00 Email Creation $1,250.00 $1,250.00 $0.00 $0.00 $0.00 $0.00 eNexiDirect $12,000.00 $0.00 $0.00 $0.00 $0.00 $12,000.00 EnterCasino.com (Tradal Ltd.) $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 eUniverse, Inc. $1,992.00 $728.00 $0.00 $1,125.00 $139.00 $0.00 Floragraph $99.45 $0.00 $0.00 $0.00 $0.00 $99.45 FlowersUSA.com $55.50 $0.00 $0.00 $0.00 $0.00 $55.50 FoundMoney.com $46.50 $46.50 $0.00 $0.00 $0.00 $0.00 Freeze.com $8,052.00 $6,963.00 $0.00 $1,089.00 $0.00 $0.00 FunnyMoney.com $1,164.00 $0.00 $0.00 $0.00 $0.00 $1,164.00 GiantRewards.com $1,009.65 $1,009.65 $0.00 $0.00 $0.00 $0.00 11-30-2002 A/R Detail (Contd.) - --------------------------------------------------------------------------------------------------------------------------------- ACCOUNT NAME Balance Current Over 30 Days Over 60 Days Over 90 Days Uncollectible - --------------------------------------------------------------------------------------------------------------------------------- GotMarketing.com Inc. -$324.86 $0.00 -$324.86 $0.00 $0.00 $0.00 Great Life Network $45.00 $0.00 $0.00 $0.00 $0.00 $45.00 HomeGain.com, Inc. $32.00 $0.00 $0.00 $0.00 $32.00 $0.00 iiiz, Inc. $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 Impulse Marketing $416.25 $0.00 $0.00 $0.00 $0.00 $416.25 Infopia, Inc. $1,037.57 $0.00 $0.00 $0.00 $0.00 $1,037.57 In USA Group $5.00 $0.00 $0.00 $5.00 $0.00 $0.00 iWon.com $93.15 $0.00 $0.00 $0.00 $0.00 $93.15 Johnson Lane -$60.50 -$60.50 $0.00 $0.00 $0.00 $0.00 Jordan Publishing / Foreclosure World -$3,600.00 -$3,600.00 $0.00 $0.00 $0.00 $0.00 Kabloom $1,000.00 $1,000.00 $0.00 $0.00 $0.00 $0.00 KoolTech / Sea Silver USA, Inc. -$844.92 $0.00 -$812.85 -$32.07 $0.00 $0.00 Lead Click Media $13,992.66 $10,392.66 $0.00 $3,600.00 $0.00 $0.00 Limited Quantities $1,086.62 $0.00 $0.00 $1,086.62 $0.00 $0.00 Logika Corporation $270.74 $270.74 $0.00 $0.00 $0.00 $0.00 Lowermybills.com $598.31 $598.31 $0.00 $0.00 $0.00 $0.00 LowestCostRX.com / Low Cost Drugs, Inc.$592.76 $592.76 $0.00 $0.00 $0.00 $0.00 LuggagePoint.com $2,815.37 $0.00 $0.00 $0.00 $2,815.37 $0.00 Mal Dunn Associates, Inc. $9,984.28 $0.00 $4,004.48 $4,770.21 $1,792.12 -$582.53 Media 67 $6,265.19 $6,265.19 $0.00 $0.00 $0.00 $0.00 Media Resource Group $1,500.00 $750.00 $0.00 $750.00 $0.00 $0.00 Merchant Direct $3,098.07 $0.00 $2,348.07 $750.00 $0.00 $0.00 MindShare Interactive LLC $8,190.50 $1,107.90 $0.00 $6,866.00 $189.60 $27.00 Mosaic UK Ltd. $20.00 $0.00 $0.00 $20.00 $0.00 $0.00 Netflip.com $32.00 $0.00 $0.00 $0.00 $0.00 $32.00 Nextiva $270.10 $215.10 $0.00 $55.00 $0.00 $0.00 NextWeb Media $609.80 $0.00 $0.00 $600.00 $0.00 $9.80 Next Generation Computers $29.25 $0.00 $0.00 $0.00 $0.00 $29.25 Omaha Creative Group, Inc. -$10.00 -$10.00 $0.00 $0.00 $0.00 $0.00 OptIn Inc. -$4,205.27 -$4,205.27 $0.00 $0.00 $0.00 $0.00 Orb, Inc. $320.00 $0.00 $0.00 $0.00 $0.00 $320.00 PayByCheck.com LLC $140.00 $0.00 $0.00 $0.00 $0.00 $140.00 PennMedia $328.13 $274.00 $0.00 $54.13 $0.00 $0.00 Perfume Emporium $90.00 $0.00 $0.00 $0.00 $0.00 $90.00 Persona, Inc. $722,800.26 $0.00 $0.00 $0.00 $0.00 $722,800.26 Planet of Music, Inc. $69,465.59 $0.00 $0.00 $0.00 $0.00 $69,465.59 ProClaim Media $276.08 $482.44 $0.00 -$206.36 $0.00 $0.00 Property Source $108.87 $108.87 $0.00 $0.00 $0.00 $0.00 QuickInks.com $770.00 $0.00 $0.00 $0.00 $770.00 $0.00 Quotes123.com $26.25 $0.00 $0.00 $0.00 $0.00 $26.25 ResponseBase. LLC -$150.74 $1,750.00 -$1,900.74 $0.00 $0.00 $0.00 Restoration Media Inc. -$1,032.12 $0.00 -$1,032.12 $0.00 $0.00 $0.00 RHC Direct, LLC $598.11 $0.00 $0.00 $2,868.18 -$2,270.07 $0.00 Rhinoceros, LLC $68.00 $0.00 $0.00 $0.00 $68.00 $0.00 ROI Network $1,060.03 $0.00 $1,060.03 $0.00 $0.00 $0.00 11-30-2002 A/R Detail (Contd.) - --------------------------------------------------------------------------------------------------------------------------------- ACCOUNT NAME Balance Current Over 30 Days Over 60 Days Over 90 Days Uncollectible - --------------------------------------------------------------------------------------------------------------------------------- SnapNames.com -$48.75 -$48.75 $0.00 $0.00 $0.00 $0.00 StoresOnline, Inc. $10,880.93 $10,880.93 $0.00 $0.00 $0.00 $0.00 Synergemail $4,205.62 $0.00 -$415.40 -$324.59 $0.00 $4,945.61 The Boulder Group $216.00 $0.00 $0.00 $0.00 $0.00 $216.00 Tranzact Media LLC $150.00 $150.00 $0.00 $0.00 $0.00 $0.00 Tree Classics $634.49 $1,634.49 -$1,000.00 $0.00 $0.00 $0.00 Unbeatabledeals.com $78.74 $0.00 $0.00 $0.00 $0.00 $78.74 WebAssured.com $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 WebLoyalty.com Inc. $180.00 $0.00 $0.00 $180.00 $0.00 $0.00 Webstorm Media $24.00 $0.00 $0.00 $0.00 $0.00 $24.00 X10.com $2,032.00 $2,032.00 $0.00 $0.00 $0.00 $0.00 GiftSpot (GiftCertificates.com) $66,400.00 $0.00 $0.00 $0.00 $0.00 $66,400.00 eLiberation.com (ePilot.com) $62,599.72 $0.00 $0.00 $0.00 $0.00 $62,599.72 Surefire Reserve-500258 $83,767.86 $83,767.86 $0.00 $0.00 $0.00 $0.00 Surefire Reserve-400545 $15,825.96 $15,825.96 $0.00 $0.00 $0.00 $0.00 Ehost November Transactions $112,704.68 $112,704.68 $0.00 $0.00 $0.00 $0.00 Hallmark $322,737.00 $322,737.00 Discovery Communications $12,580.00 $12,580.00 Farid Tabibzadeh $341,022.00 $0.00 $0.00 $0.00 $0.00 $341,022.00 Shahab Emrani $113,674.00 $0.00 $0.00 $0.00 $0.00 $113,674.00 Joseph Shatara $71,857.00 $0.00 $0.00 $0.00 $0.00 $71,857.00 Michael Sculley $50,000.00 $0.00 $0.00 $0.00 $0.00 $50,000.00 uBarter - Adept Escrow $10,843.00 $10,843.00 $0.00 $0.00 $0.00 $0.00 ------------------------------------------------------------------------------------------ $2,274,864.07 $271,672.20 $178.49 $18,265.95 $4,371.11 $1,980,376.32 ------------------------------------------------------------------------------------------ ------------------------------------------------------------------------------------------ Balance Current Over 30 Days Over 60 Days Over 90 Days Uncollectible ------------------------------------------------------------------------------------------ --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-16, STATEMENT OF POST-PETITION PAYABLES PART A - TAXES - ------------------------------------------------------------------------------- INSTRUCTIONS: Complete both pages of PART A - TAXES unless the debtor asserts the following statement is true for this reporting month: At the end of this reporting month, the debtor did not have any unpaid post-petition taxes which includes both current and delinquent tax obligations. Check here |_| if the debtor asserts the statement is correct, and skip to PART B - OTHER PAYABLES on Page 10. - ------------------------------------------------------------------------------- Reconciliation of Unpaid Post-Petition Taxes - ------------------------------- --------------------- ----------------- ------------------- ------------------ Type of tax (1) (2) (3) (4) Post-petition Unpaid Unpaid taxes accrued Post-petition tax post-petition post-petition taxes this month payments made taxes at end of from prior (new this reporting reporting month reporting month obligations) month (Column 1+2-3=4) - ------------------------------- --------------------- ----------------- ------------------- ------------------ Federal Taxes - ------------------------------- --------------------- ----------------- ------------------- ------------------ Employee withholding taxes 0.00 16,138.95 16,138.95 0.00 - ------------------------------- --------------------- ----------------- ------------------- ------------------ FICA/Medicare--Employee 0.00 3,775.99 3,775.99 0.00 - ------------------------------- --------------------- ----------------- ------------------- ------------------ FICA/Medicare--Employer 0.00 3,775.96 3,775.96 0.00 - ------------------------------- --------------------- ----------------- ------------------- ------------------ Unemployment 0.00 <29.67> <29.67> 0.00 - ------------------------------- --------------------- ----------------- ------------------- ------------------ State Taxes - ------------------------------- --------------------- ----------------- ------------------- ------------------ Dept. of Revenue 0.00 4,096.56 0.00 4,096.56 - ------------------------------- --------------------- ----------------- ------------------- ------------------ Dept. of Labor & Industries 0.00 205.65 0.00 205.65 - ------------------------------- --------------------- ----------------- ------------------- ------------------ Empl. Security Dept. 0.00 482.76 482.76 0.00 - ------------------------------- --------------------- ----------------- ------------------- ------------------ Other Taxes Local city/county 0.00 - ------------------------------- --------------------- ----------------- ------------------- ------------------ Gambling 0.00 - ------------------------------- --------------------- ----------------- ------------------- ------------------ Personal property 0.00 - ------------------------------- --------------------- ----------------- ------------------- ------------------ Real property 0.00 - ------------------------------- --------------------- ----------------- ------------------- ------------------ Other Seattle B&O 0.00 1,133.38 0.00 1,133.38 - ------------------------------- --------------------- ----------------- ------------------- ------------------ Total Unpaid Post-Petition Taxes $ 5,435.59 - ------------------------------------------------------------------------------------------- ------------------ Monthly Financial Report - Corporate or Partnership Debtor Page 8 of 14 United States Trustee - Western District of Washington (Revised Aug. 2000) --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-16, STATEMENT OF POST-PETITION PAYABLES PART A - TAXES (contd.) Delinquent Tax Reports and Tax Payments - ----------------------- ------------------------- --------------------- --------------------- --------------- Taxing agency Tax reporting period Report due date Payment due date Amount due - ----------------------- ------------------------- --------------------- --------------------- --------------- 0 - ----------------------- ------------------------- --------------------- --------------------- --------------- - ----------------------- ------------------------- --------------------- --------------------- --------------- - ----------------------- ------------------------- --------------------- --------------------- --------------- - ----------------------- ------------------------- --------------------- --------------------- --------------- - ----------------------- ------------------------- --------------------- --------------------- --------------- - ----------------------- ------------------------- --------------------- --------------------- --------------- - ------------------------------------------------------------------------------- Explain the reason for any delinquent tax reports or tax payments: - ------------------------------------------------------------------------------- Monthly Financial Report - Corporate or Partnership Debtor Page 9 of 14 United States Trustee - Western District of Washington (Revised Aug. 2000) --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-16, STATEMENT OF POST-PETITION PAYABLES PART B - OTHER PAYABLES - ------------------------------------------------------------------------------- INSTRUCTIONS: Complete both pages of PART B - OTHER PAYABLES unless the debtor asserts that this statement is true for this reporting month: Except for taxes and professional fees disclosed in PART A and PART C of this report, respectively, the debtor has no other unpaid post-petition payables from the current reporting month, or from any prior reporting months. Check here |_| if the debtor asserts the statement is correct, and skip to PART C - ESTIMATED PROFESSIONAL FEES on Page 12. - ------------------------------------------------------------------------------- Reconciliation of Post-Petition Payables (excluding taxes and professional fees) - --------------------------------------------------------------------------- --------------------------------- Closing balance from prior month 0.00 - --------------------------------------------------------------------------- --------------------------------- New payables added this month 313,446.04 - --------------------------------------------------------------------------- --------------------------------- Subtotal 313,446.04 - --------------------------------------------------------------------------- --------------------------------- Less payments made this month 76,229.15 - --------------------------------------------------------------------------- --------------------------------- Closing balance for this reporting month 237,216.89 - --------------------------------------------------------------------------- --------------------------------- Breakdown of Closing Balance by Age - --------------------------------------------------------------------------- --------------------------------- Current portion 115,154.49 - --------------------------------------------------------------------------- --------------------------------- Past due 1-30 days 122,062.40 - --------------------------------------------------------------------------- --------------------------------- Past due 31-60 days - --------------------------------------------------------------------------- --------------------------------- Past due 61-90 days - --------------------------------------------------------------------------- --------------------------------- Past due over 90 days - --------------------------------------------------------------------------- --------------------------------- Total $ 237,216.89 - --------------------------------------------------------------------------- --------------------------------- For accounts payable more than 30 days past due, explain why payment has not been made: - ------------------------------------------------------------------------------- Monthly Financial Report - Corporate or Partnership Debtor Page 10 of 14 United States Trustee - Western District of Washington (Revised Aug. 2000) --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-16, STATEMENT OF POST-PETITION PAYABLES PART B - OTHER PAYABLES (contd.) - ------------------------------------------------------------------------------- INSTRUCTIONS: List each post-petition payable delinquent more than 30 days. Alternatively, attach the debtor's accounts payable aging report if the report: 1) clearly separates pre-and post-petition accounts payable, and, 2) identifies each delinquent payable by vendor's name, invoice date, invoice amount, and payment due date. - ------------------------------------------------------------------------------- Delinquent Post-Petition Payables (excluding taxes and professional fees) - ---------------------------- -------------------------- -------------------------- -------------------------- Vendor name Invoice date Invoice amount Payment due date - ---------------------------- -------------------------- -------------------------- -------------------------- N/A - ---------------------------- -------------------------- -------------------------- -------------------------- - ---------------------------- -------------------------- -------------------------- -------------------------- - ---------------------------- -------------------------- -------------------------- -------------------------- - ---------------------------- -------------------------- -------------------------- -------------------------- - ---------------------------- -------------------------- -------------------------- -------------------------- - ---------------------------- -------------------------- -------------------------- -------------------------- - ---------------------------- -------------------------- -------------------------- -------------------------- - ---------------------------- -------------------------- -------------------------- -------------------------- - ---------------------------- -------------------------- -------------------------- -------------------------- Monthly Financial Report - Corporate or Partnership Debtor Page 11 of 14 United States Trustee - Western District of Washington (Revised Aug. 2000) --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-16, STATEMENT OF POST-PETITION PAYABLES PART C - ESTIMATED PROFESSIONAL FEES - ------------------------------------------------------------------------------- INSTRUCTIONS: Report only post-petition professional fees and expenses. To the extent possible, use billing statements to report the actual amounts due. If billing statements are not available, use the best information available to estimate the fees and costs. - ------------------------------------------------------------------------------- Fees and Total estimated Amount of retainer Fees and expenses expenses added fees and expenses Type of professional (if applicable) from prior months this month at month end - ------------------------------- -------------------- ------------------- ------------------ --------------------- Debtor's counsel 75,000 0 44,000 44,000 - ------------------------------- -------------------- ------------------- ------------------ --------------------- Debtor's accountant - ------------------------------- -------------------- ------------------- ------------------ --------------------- Debtor's other professional - ------------------------------- -------------------- ------------------- ------------------ --------------------- Trustee's counsel - ------------------------------- -------------------- ------------------- ------------------ --------------------- Creditors' Committee Counsel - ------------------------------- -------------------- ------------------- ------------------ --------------------- Creditors' Committee other - ------------------------------------------------------------------------------------------- --------------------- Total estimated post-petition professional fees and costs $ 44,000 - ------------------------------------------------------------------------------------------- --------------------- Monthly Financial Report - Corporate or Partnership Debtor Page 12 of 14 United States Trustee - Western District of Washington (Revised Aug. 2000) --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-17, STATEMENT OF OPERATIONS INSTRUCTIONS: Answer each question fully and attach additional sheets if necessary to provide a Yes No complete response. - -------------------------------------------------------------------------------------------------------- ----- ------ Question 1 - Sale of Debtor's Assets. Did the debtor, or another party on behalf of the debtor, sell, transfer, or otherwise dispose of any of the debtor's assets during the reporting month? Include only sales out of the ordinary course. If yes, identify each asset, date of court approval for the sale, method of disposition, and gross and net sale proceeds received. If real property was sold, attach a copy of the closing statement. If assets were sold at auction, attach a copy of the auctioneer's report. |_| |X| - -------------------------------------------------------------------------------------------------------- ----- ------ Question 2 - Financing. During the reporting month, did the debtor receive any funds from an outside funding source? If yes, indicate the source of funds, date paid to debtor, dollar amount, and date of court approval. |_| |X| - -------------------------------------------------------------------------------------------------------- ----- ------ Question 3 - Insider Loans. During the reporting month, did the debtor receive any funds from an officer, director, partner, or other insider of the debtor? If yes, indicate the source of funds, date paid to debtor, dollar amount, and date of court approval. |_| |X| - -------------------------------------------------------------------------------------------------------- ----- ------ Question 4 - Insurance and Bond Coverage. Did the debtor renew or replace any insurance policies during this reporting month? If yes, attach a certificate of insurance for each renewal or change in coverage. |_| |X| Were any of the debtor's insurance policies canceled or otherwise terminated for any reason during the reporting month? If yes, explain. |X| |_| AFCO - cancelled Nov. 19, reinstated Nov. 27. November payment was late. Were any claims made during this reporting month against the debtor's bond? (Answer "No" if the debtor is not required to have a bond.) If yes, explain. |_| |X| - -------------------------------------------------------------------------------------------------------- ----- ------ Monthly Financial Report - Corporate or Partnership Debtor Page 13 of 14 United States Trustee - Western District of Washington (Revised Aug. 2000) --------- Case Number 02-23396 --------- Debtor NETWORK COMMERCE, INC. Report Mo/Yr 11-2002 - --------------------------------------------------------------------- --------- UST-17, STATEMENT OF OPERATIONS (contd.) - ------------------------------------------------------------------------------- Question 5 - Personnel Changes. Complete the following: Full-time Part-time ----------------- --------------- Number of employees at beginning of month 40 1 ----------------- --------------- Employees added 1 0 ----------------- --------------- Employees resigned/terminated 27 1 ----------------- --------------- Number employees at end of month 14 0 ----------------- --------------- Gross Monthly Payroll and Taxes $116,696 - --------------------------------------------------------------------------------------------- --------------- Question 6 - Significant Events. Explain any significant new developments during the reporting month. N/A - ------------------------------------------------------------------------------- Question 7 - Case Progress. Explain what progress the debtor made during the reporting month toward confirmation of a plan of reorganization. The Debtor has finalized it's schedules and is assessing the extent of it's salable assets and claims against those assets. The Debtor is also beginning the formulation of a Plan and asset disposition strategies. The Debtor has achieved certain settlements of litigation claims and will be taking appropriate steps with regards to finalizing same. - ------------------------------------------------------------------------------- WHERE TO FILE A MONTHLY FINANCIAL REPORT: Local Bankruptcy Rule 2015-2(a) requires the debtor to file its monthly financial report with the U.S. Bankruptcy Court, and to serve copies of such report on the U.S. Trustee, and on each member of any committees elected or appointed pursuant to the Bankruptcy Code and to their authorized agents. File the original (select only one) Send a copy to each of the following: - ------------------------------------------- ------------------------------------ For a chapter 11 case filed in Seattle, WA: Office of the United States Trustee 600 Park Place Building United States Bankruptcy Court 1200 Sixth Avenue 315 Park Place Building Seattle, WA 98101 1200 Sixth Avenue Seattle, WA 98101 If applicable, each member of any committees elected or appointed, and to their authorized For a chapter 11 case filed in Tacoma, WA: agents. United States Bankruptcy Court Debtor's counsel. 1717 Pacific Avenue, Suite 2100 Tacoma, WA 98402 Monthly Financial Report - Corporate or Partnership Debtor Page 14 of 14 United States Trustee - Western District of Washington (Revised Aug. 2000)