1 Unitel Video March April, 2000 Page 1 Operating Report INCOME STATEMENT Sep-99 Oct-99 Nov-99 Dec-99 ----------- ----------- ----------- ----------- Revenues $ 2,365,691 $ 2,134,301 $ 1,907,497 $ 1,617,218 Cost of Sales Rent $ 148,817 $ 151,527 $ 151,096 $ 157,126 Payroll $ 354,647 $ 422,958 $ 336,332 $ 473,707 Equipment leases $ 35,726 $ 23,144 $ 23,144 $ 28,909 Other COGS $ 538,898 $ 641,690 $ 447,481 $ 347,907 ----------- ----------- ----------- ----------- Total COGS $ 1,078,088 $ 1,239,319 $ 958,053 $ 1,007,649 =========== =========== =========== =========== Operating Expenses Officer/insider compensation $ 74,173 $ 72,250 $ 54,875 $ 75,952 Overhead payroll $ 76,799 $ 52,397 $ 46,904 $ 67,379 Insurance $ 6,726 $ 10,216 $ 89,953 $ 6,726 Other SG&A $ 84,473 $ 82,651 $ 57,962 $ 47,444 ----------- ----------- ----------- ----------- Total Operating Expenses $ 242,171 $ 217,514 $ 249,694 $ 197,501 =========== =========== =========== =========== Gain/(Loss) on sale of equipment $ 25,000 $ - $ - $(3,083,631) Depreciation & Amortization $ 428,747 $ 428,352 $ 420,715 $ 434,582 Interest expense $ 287,112 $ 283,060 $ 277,175 $ 319,822 Reorganization expenses Professional fees (Kaye Scholer, Getzler, Heller, Houlihan-L) $ 252,832 $ 321,233 $ 312,921 $ 266,452 U.S. Trustee fees $ 1,000 Total Reorganization Expenses $ 253,832 $ 321,233 $ 312,921 $ 266,452 =========== =========== =========== =========== Net Profit (loss) $ 100,741 $ (355,177) $ (311,061) $(3,692,419) =========== =========== =========== =========== Jan-00 Feb-00 Mar-00 Apr-00 ----------- ----------- ----------- ----------- Revenues $ 1,722,591 $ 1,872,347 $ 1,881,651 $ 1,746,691 Cost of Sales Rent $ 133,670 $ 133,670 $ 192,660 $ 113,693 Payroll $ 363,798 $ 424,452 $ 395,025 $ 367,108 Equipment leases $ 288,393 $ 122,478 $ 100,240 $ 120,425 Other COGS $ 239,449 $ 266,839 $ 104,075 $ 150,203 ----------- ----------- ----------- ----------- Total COGS $ 1,025,310 $ 947,439 $ 792,000 $ 751,429 =========== =========== =========== =========== Operating Expenses Officer/insider compensation $ 47,515 $ 42,154 $ 12,257 $ 10,769 Overhead payroll $ 30,355 $ 28,965 $ 73,914 $ 44,890 Insurance $ 29,045 $ 22,468 $ 82,966 $ 28,689 Other SG&A $ 78,995 $ 135,592 $ 404,178 $ 71,054 ----------- ----------- ----------- ----------- Total Operating Expenses $ 185,910 $ 229,179 $ 573,315 $ 155,402 =========== =========== =========== =========== Gain/(Loss) on sale of equipment $ - $ 14,000 $ (124,580) $ (552,381) Depreciation & Amortization $ 425,341 $ 425,340 $ 425,341 $ 425,341 Interest expense $ 291,065 $ 265,758 $ 265,258 $ 249,490 Reorganization expenses Professional fees (Kaye Scholer, Getzler, Heller, Houlihan-L) $ 283,032 $ 247,500 $ 261,653 $ 318,813 U.S. Trustee fees Total Reorganization Expenses $ 283,032 $ 247,500 $ 261,653 $ 318,813 Net Profit (loss) $ (488,067) $ (228,869) $ (560,496) $ (706,165) =========== =========== =========== =========== Notes: Officer/insider compensation is payroll only; doesn't include payroll tax; payroll tax is included in the direct portion Interest expense includes many equipment leases 2 Unitel Video March April, 2000 Page 2 Operating Report BALANCE SHEET Jan-00 Feb-00 Mar-00 Apr-00 ------------ ------------ ------------ ------------ Cash $ 45,216 $ 191,998 $ 544,943 $ 515,130 Net accounts receivable $ 2,349,943 $ 1,849,260 $ 1,793,188 $ 1,995,468 Prepaid corporate tax & expenses, deferred tax asset $ 479,147 $ 484,922 $ 480,300 $ 484,010 ------------ ------------ ------------ ------------ Total Current Assets $ 2,874,306 $ 2,526,180 $ 2,818,431 $ 2,994,608 ============ ============ ============ ============ PP&E $ 79,603,038 $ 79,603,038 $ 77,509,166 $ 74,937,026 Accumulated depreciation $ 45,604,142 $(46,017,982) $(44,695,359) $(44,187,561) ------------ ------------ ------------ ------------ Net PP&E $ 33,998,896 $ 33,585,056 $ 32,813,807 $ 30,749,465 ------------ ------------ ------------ ------------ Deferred taxes $ 2,157,058 $ 2,157,058 $ 2,157,058 $ 2,157,058 Other Assets $ 1,952,834 $ 1,936,579 $ 1,902,986 $ 1,829,154 Goodwill $ 1,387,243 $ 1,375,743 $ 1,364,243 $ 1,352,743 ============ ============ ============ ============ Total Assets $ 42,370,337 $ 41,580,616 $ 41,056,525 $ 39,083,028 ============ ============ ============ ============ Prepetition accounts payable $ 7,288,034 $ 7,143,712 $ 7,151,106 $ 7,151,106 Postpetition accounts payable $ 794,673 $ 637,413 $ 670,568 $ 705,813 Accrued expenses and other current liabilities $ 3,542,399 $ 3,738,353 $ 3,856,929 $ 3,998,484 Payroll & related expense $ 755,135 $ 825,111 $ 838,166 $ 850,733 Current maturity of secured long-term debt $ 19,788,655 $ 18,904,949 $ 18,883,795 $ 18,822,660 Current maturity of unsecured long-term debt $ 1,380,726 $ 1,355,990 $ 1,377,144 $ 1,438,279 ------------ ------------ ------------ ------------ Total current liabilities $ 33,549,622 $ 32,605,528 $ 32,777,708 $ 32,967,075 ------------ ------------ ------------ ------------ Secured long-term debt $ 12,791,869 $ 13,150,373 $ 13,035,761 $ 11,641,196 Unsecured long-term debt $ 947,081 $ 971,817 $ 950,663 $ 889,528 Accrued retirement expense $ 917,276 $ 917,276 $ 917,276 $ 917,276 ------------ ------------ ------------ ------------ Long-term liabilities $ 14,656,226 $ 15,039,466 $ 14,903,700 $ 13,448,000 ------------ ------------ ------------ ------------ Common stock $ 26,755 $ 26,755 $ 26,755 $ 26,755 Add'l paid-in capital $ 27,286,352 $ 27,286,352 $ 27,286,352 $ 27,286,352 Treasury stock $ (7,645,089) $ (7,645,089) $ (7,645,089) $ (7,645,089) Retained earnings $(20,851,414) $(20,851,414) $(20,851,425) $(20,851,425) YTD Income/loss $ (4,652,115) $ (4,880,982) $ (5,441,476) $ (6,148,640) ------------ ------------ ------------ ------------ Total stockholders' equity $ (5,835,511) $ (6,064,378) $ (6,624,883) $ (7,332,047) ------------ ------------ ------------ ------------ Total liabilities & stockholders' equity $ 42,370,337 $ 41,580,616 $ 41,056,525 $ 39,083,028 ============ ============ ============ ============ 3 Unitel Video March April, 2000 Page 3 Operating Report March'00 CASH RECEIPTS AND DISBURSEMENTS PAYROLL NY MOBILE PETTY CASH TOTAL 1 Cash-Beginning of Month $ 10,527 $ 90,029 $ 28,588 $30,000 $ 159,144 RECEIPTS 2 Cash Sales $ 0 $ 0 3 Accounts Receivable Collections $ 0 $ 0 4 Loans & Advances $ 0 $1,548,547 $281,142 $ 0 $1,829,689 5 Sale of Assets $ 0 $ 0 6 Lease & Rental Income $ 0 7 Wages $ 0 8 Other-Transfers between accounts $494,313 -$ 494,313 -$ 13,583 $13,583 $ 0 9 Total Receipts(Total Lines 2-8) $494,313 $1,054,234 $267,559 $13,583 $1,829,689 DISBURSEMENTS 10 Net Payroll $249,435 $ 0 $ 0 $ 249,435 11 Payroll Taxes $151,105 $ 0 $ 0 $ 151,105 12 Sales, Use & Other Taxes Paid $ 0 $ 6,872 $ 0 $ 6,872 13 Inventory Purchases $ 0 $ 0 $ 0 14 Mortgage Payments $ 0 $ 0 $ 0 15 Other Secured Note Payments $ 0 $ 0 $ 0 16 Rental & Lease Payments $ 356,647 $ 0 $ 356,647 17 Utilities $ 126,690 $ 9,626 $ 136,316 18 Insurance $ 71,661 $ 59,155 $ 1,025 $ 131,841 19 Vehicles Expenses $ 25 $ 0 $ 25 20 Travel $ 1,267 $ 5,166 $ 6,433 21 Entertainment $ 0 $ 0 $ 0 22 Repairs & Maintenance $ 113,359 $ 70,127 $ 183,485 23 Supplies $ 2,527 $ 7,171 $ 9,698 24 Advertising $ 0 25 Household Expenses $ 0 26 Charitable Contributions $ 0 27 Gifts $ 0 28 Other (Attach List) $ 27,423 $ 45,675 $153,580 $13,583 $ 240,262 29 Total Lines 10-28 $499,624 $ 712,216 $246,695 $13,583 $1,472,118 REORGANIZATION EXPENSES 30 Professional Fees-KS,Getzler $ 0 $ 0 31 U.S. Trustee Fees $ 0 $ 0 32 Other - Bankruptcy Services $ 21,653 $ 21,653 33 Total Lines 30-32 $ 0 $ 21,653 $ 0 $ 0 $ 21,653 34 Total Disbursements (Line 29-33) $499,624 $ 733,868 $246,695 $13,583 $1,493,770 35 Net Cash Flow (Line 9- Line 34) -$ 5,311 $ 320,366 $ 20,864 $ 0 $ 335,919 Reconciling Difference $ 0 36 CASH-END OF MONTH (LINE 1 + LINE 35) $ 5,216 $ 410,395 $ 49,452 $30,000 $ 495,063 28 OTHER CASH DISBURSEMENTS PAYROLL NY MOBILE PETTY CASH TOTAL Security $ 23,356 $ 330 $ 23,686 Utility Deposits $ 0 $ 0 $ 0 Equipment Rental $ 13,863 $ 77,381 $ 91,243 Shipping, Postage & Messenger $ 1,134 $ 9,174 $ 10,308 Bank Charges $ 81 $ 81 $ 60 $ 221 Freelancers $ 0 $ 14,226 $ 14,226 401K $ 27,181 $ 0 $ 27,181 Union Dues $ 162 $ 663 $ 825 Perdiems, Airfare, Hotels $ 0 $13,583 $ 13,583 Equipment R&M, Truck Rentals, Fuel $ 51,527 $ 51,527 Miscellaneous $ 0 $ 7,243 $ 219 $ 0 $ 7,462 TOTAL OTHER CASH DISBURSEMENTS $ 27,423 $ 45,675 $153,580 $13,583 $ 240,262 April'00 CASH RECEIPTS AND DISBURSEMENTS PAYROLL NY MOBILE PETTY CASH TOTAL 1 Cash-Beginning of Month $ 5,216 $ 410,395 $ 49,452 $30,000 $ 495,063 RECEIPTS 2 Cash Sales $ 0 $ 0 3 Accounts Receivable Collections $ 0 $ 0 4 Loans & Advances $ 0 $1,662,017 $178,726 $1,840,743 5 Sale of Assets $ 0 $ 0 6 Lease & Rental Income $ 0 7 Wages $ 0 8 Other-Transfers between accounts $419,109 -$ 419,109 -$ 10,758 $10,758 $ 0 9 Total Receipts(Total Lines 2-8) $419,109 $1,242,908 $167,968 $10,758 $1,840,743 DISBURSEMENTS 10 Net Payroll $233,185 $ 0 $ 0 $ 233,185 11 Payroll Taxes $139,422 $ 0 $ 0 $ 139,422 12 Sales, Use & Other Taxes Paid $ 0 $ 1,443 $ 0 $ 1,443 13 Inventory Purchases $ 0 $ 0 $ 0 14 Mortgage Payments $ 0 $ 0 $ 0 15 Other Secured Note Payments $ 0 $ 0 $ 0 16 Rental & Lease Payments $1,018,605 $ 14,000 $1,032,605 17 Utilities $ 68,711 $ 6,044 $ 74,755 18 Insurance $ 21,224 $ 18,575 $ 2,050 $ 41,849 19 Vehicles Expenses $ 0 $ 0 $ 0 20 Travel $ 2,219 $ 15,000 $ 17,219 21 Entertainment $ 0 $ 0 $ 0 22 Repairs & Maintenance $ 16,781 $ 8,661 $ 25,442 23 Supplies $ 31,232 $ 18,749 $ 49,981 24 Advertising $ 0 25 Household Expenses $ 0 26 Charitable Contributions $ 0 27 Gifts $ 0 28 Other (Attach List) $ 25,262 $ 161,121 $ 35,747 $10,758 $ 232,888 29 Total Lines 10-28 $419,093 $1,318,687 $100,250 $10,758 $1,848,788 REORGANIZATION EXPENSES 30 Professional Fees-KS,Getzler $ 0 $ 0 31 U.S. Trustee Fees $ 0 $ 0 32 Other - Bankruptcy Services $ 2,018 $ 2,018 33 Total Lines 30-32 $ 0 $ 2,018 $ 0 $ 0 $ 2,018 34 Total Disbursements (Line 29-33) $419,093 $1,320,705 $100,250 $10,758 $1,850,806 35 Net Cash Flow (Line 9- Line 34) $ 17 -$ 77,797 $ 67,718 $ 0 -$ 10,062 Reconciling Difference $ 0 36 CASH-END OF MONTH (LINE 1 + LINE 35) $ 5,232 $ 332,598 $117,170 $30,000 $ 485,001 28 OTHER CASH DISBURSEMENTS PAYROLL NY MOBILE PETTY CASH TOTAL Security $ 24,316 $ 0 $ 24,316 Utility Deposits $ 0 $ 0 $ 0 Equipment Rental $ 0 $ 0 $ 0 Shipping, Postage & Messenger $ 3,140 $ 467 $ 3,608 Bank Charges $ 6 $ 81 $ 48 $ 135 Freelancers $ 7,013 $ 0 $ 7,013 401K $ 25,094 $ 0 $ 25,094 Union Dues $ 162 $ 663 $ 825 Perdiems, Airfare, Hotels $ 0 $10,758 $ 10,758 Equipment R&M, Truck Rentals, Fuel $ 50,886 $ 34,495 $ 85,381 Miscellaneous $ 0 $ 75,686 $ 73 $ 0 $ 75,759 TOTAL OTHER CASH DISBURSEMENTS $ 25,262 $ 161,121 $ 35,747 $10,758 $ 232,888 4 Unitel Video March April, 2000 Page 4 Operating Report MARCH BANK RECONCILIATIONS ACCOUNT #1 ACCOUNT #2 ACCOUNT #3 - ------------------------------------------- --------------------------------------------------------------- A BANK: FLEET FLEET MELLON B ACCOUNT NUMBER: 9417-544821 9415-859803 038-5545 C PURPOSE (TYPE) PAYROLL A/P A/P BALANCE PER BANK STATEMENT $17,037 $651,439 $191,493 TOTAL DEPOSITS NOT CREDITED OUTSTANDING CHECKS $10,270 $241,044 $142,041 +/- OTHER RECONCILING ITEMS (ATTACH LIST) $ 1,551 $ 0 MONTH END BALANCE PER BOOKS $ 5,216 $410,395 $ 49,452 NUMBER OF LAST CHECK WRITTEN 1806/6198 9415 41932 - ----------------------------------------------------------------------------------------------------------------------------------- CLOSED CLOSED BANK RECONCILIATIONS ACCOUNT #5 ACCOUNT #6 ACCOUNT #7 ACCOUNT #8 ACCOUNT #9 - ----------------------------------------------------------------------------------------------------------------------------------- A BANK: WELLS FARGO WELLS FARGO UNION BOC PNC BANK B ACCOUNT NUMBER: 4159-405224 0290-519198 IMPREST 0720089084 10-0959-6087 C PURPOSE (TYPE) PAYROLL A/P PETTY CASH A/P A/P - - Balance per Bank Statement $ 0 $ 0 $ 0 $ 917 $ 40,746 TOTAL DEPOSITS NOT CREDITED $ 0 $ 0 $ 0 $ 0 $ 0 OUTSTANDING CHECKS $ 0 $ 0 +/- OTHER RECONCILING ITEMS (ATTACH LIST) $15,000 $14,083 $ 4,518 MONTH END BALANCE PER BOOKS $ 0 $ 0 $15,000 $15,000 $ 45,264 NUMBER OF LAST CHECK WRITTEN INVESTMENT ACCOUNTS - NONE CURRENCY ON HAND $ 500 TOTAL CASH-END OF MONTH $544,943 - ------------------------------------------------------------------------------------------------------------------------------------ APRIL BANK RECONCILIATIONS ACCOUNT #1 ACCOUNT #2 ACCOUNT #3 - ------------------------------------------------------------------------------------------------------------------------------------ A BANK: FLEET FLEET MELLON B ACCOUNT NUMBER: 9417-544821 9415-859803 038-5545 C PURPOSE (TYPE) PAYROLL A/P A/P BALANCE PER BANK STATEMENT $11,364 $632,020 $145,135 TOTAL DEPOSITS NOT CREDITED OUTSTANDING CHECKS $ 4,581 $299,422 $ 27,965 +/- OTHER RECONCILING ITEMS (ATTACH LIST) $ 1,551 $ 0 MONTH END BALANCE PER BOOKS $ 5,232 $332,598 $117,170 NUMBER OF LAST CHECK WRITTEN 1861/6211 9808 41995 - ------------------------------------------------------------------------------------------------------------------------------------ CLOSED CLOSED BANK RECONCILIATIONS ACCOUNT #5 ACCOUNT #6 ACCOUNT #7 ACCOUNT #8 ACCOUNT #9 - ------------------------------------------------------------------------------------------------------------------------------------ A BANK: WELLS FARGO WELLS FARGO UNION BOC PNC BANK B ACCOUNT NUMBER: 4159-405224 0290-519198 IMPREST 0720089084 10-0959-6087 C PURPOSE (TYPE) PAYROLL A/P PETTY CASH A/P A/P - - BALANCE PER BANK STATEMENT $ 0 $ 0 $ 0 $ 0 $ 31,248 TOTAL DEPOSITS NOT CREDITED $ 0 $ 0 $ 0 $ 0 $ 0 OUTSTANDING CHECKS $ 0 $ 0 +/- OTHER RECONCILING ITEMS (ATTACH LIST) $ 15,000 $ 15,000 -$ 1,618 MONTH END BALANCE PER BOOKS $ 0 $ 0 $ 15,000 $ 15,000 $ 29,630 NUMBER OF LAST CHECK WRITTEN INVESTMENT ACCOUNTS - NONE CURRENCY ON HAND $ 500 TOTAL CASH-END OF MONTH $515,130 - ------------------------------------------------------------------------------------------------------------------------------------ 5 Unitel Video March April, 2000 Page 5 Operating Report - -------------------------------------------------------------------------------- ACCOUNTS RECEIVABLE AGING MAR-00 APR-00 - -------------------------------------------------------------------------------- 0-30 DAYS OLD $ 1,285,922 $ 1,692,736 31-60 DAYS OLD $ 294,990 $ 50,407 61-90 DAYS OLD $ 11,384 $ 49,542 91+ DAYS OLD $ 208,498 $ 202,783 TOTAL ACCOUNTS RECEIVABLE $ 1,800,794 $ 1,995,468 LESS NON-TRADE A/R $ 7,606 $ 85,697 ACCOUNTS RECEIVABLE (NET) $ 1,793,188 $ 1,909,771 - -------------------------------------------------------------------------------- AGING OF POSTPETITION ACCOUNTS PAYABLE MARCH 0-30 DAYS 31-60 DAYS 61-90 DAYS 91+ DAYS TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ ACCOUNTS PAYABLE $ 451,381 -$150,742 $64,871 $304,057 $ 669,567 - ------------------------------------------------------------------------------------------------------------------------------------ AGING OF POSTPETITION ACCOUNTS PAYABLE APRIL 0-30 DAYS 31-60 DAYS 61-90 DAYS 91+ DAYS TOTAL - ------------------------------------------------------------------------------------------------------------------------------------ ACCOUNTS PAYABLE $ 101,095 $382,259 -$150,742 $373,200 $ 705,813 - ------------------------------------------------------------------------------------------------------------------------------------ STATUS OF POSTPETITION TAXES MARCH BEGINNING AMOUNT ENDING TAX DELINQUENT TAX LIABILITY WITHHELD/ACCRUED AMOUNT PAID LIABILITY TAXES ==================================================================================================================================== FEDERAL - ------------------------------------------------------------------------------------------------------------------------------------ Withholding $ 65,338 $ 65,338 $ - FICA - Employee $ 30,159 $ 30,159 $ - FICA - Employer $ 30,159 $ 30,159 $ - Unemployment $ 544 $ 544 $ - Income Other - ------------------------------------------------------------------------------------------------------------------------------------ Total Federal Taxes $ 126,198 $ 126,198 $ - - ------------------------------------------------------------------------------------------------------------------------------------ STATE & LOCAL - ------------------------------------------------------------------------------------------------------------------------------------ Withholding $ 19,041 $ 19,041 Sales $ 67 $ 1,243 $ - $ 1,310 Excise Unemployment $ 5,635 $ 5,635 Real Property $ 129,874 $ - $ - $ 129,874 Personal Property Commercial rent tax 78,487 $ - $ - $ 78,487 - ------------------------------------------------------------------------------------------------------------------------------------ TOTAL STATE AND LOCAL $ 208,428 $ 25,920 $ 24,677 $ 209,671 - ------------------------------------------------------------------------------------------------------------------------------------ TOTAL TAXES $ 208,428 $ 152,118 $ 150,875 $ 209,671 - ------------------------------------------------------------------------------------------------------------------------------------ STATUS OF POSTPETITION TAXES APRIL BEGINNING AMOUNT ENDING DELINQUENT TAX LIABILITY WITHHELD/ACCRUED AMOUNT PAID TAX LIABILITY TAXES ================================================================================================================================== FEDERAL - ---------------------------------------------------------------------------------------------------------------------------------- Withholding $ 61,630 $ 61,630 $ - FICA - Employee $ 28,216 $ 28,216 $ - FICA - Employer $ 28,216 $ 28,216 $ - Unemployment $ 282 $ 282 $ - Income Other - ---------------------------------------------------------------------------------------------------------------------------------- Total Federal Taxes $ 118,344 $ 118,344 $ - - ---------------------------------------------------------------------------------------------------------------------------------- STATE & LOCAL - ---------------------------------------------------------------------------------------------------------------------------------- Withholding $ 17,892 $ 17,892 Sales $ 1,310 $ - $ 1,310 Excise Unemployment $ 3,186 $ 3,186 Real Property $ 129,874 $ - $ - $ 129,874 Personal Property Commercial rent tax 78,487 $ - $ - $ 78,487 - ---------------------------------------------------------------------------------------------------------------------------------- TOTAL STATE AND LOCAL $ 209,671 $ 21,078 $ 21,078 $ 209,671 - ---------------------------------------------------------------------------------------------------------------------------------- TOTAL TAXES $ 209,671 $ 139,422 $ 139,422 $ 209,671 - ---------------------------------------------------------------------------------------------------------------------------------- 6 Unitel Video March April, 2000 Page 6 Operating Report PAYMENTS TO INSIDERS AND PROFESSIONALS INSIDERS NAME Position Type of Payment Amount Paid Cumulative Unpaid Balance - ------------------------------------------------------------------------------------------------------------------------- - ------------------------------------------------------------------------------------------------------------------------- - ------------------------------------------------------------------------------------------------------------------------- - ------------------------------------------------------------------------------------------------------------------------- TOTAL PAYMENTS TO INSIDERS $ - - ------------------------------------------------------------------------------------------------------------------------- PROFESSIONALS Date of Court Order NAME Type of Professional Authorizing Payment Amount Approved Amount Paid Date of Payment - ------------------------------------------------------------------------------------------------------------------------------------ Rosenman & Colin Legal fees $ 66,400.00 04/05/00 Connolly Bove Lodge & Hultz Legal fees $ 10,393.00 04/03/00 - ------------------------------------------------------------------------------------------------------------------------------------ ADEQUATE PROTECTION PAYMENTS SCHEDULED MONTHLY NAME OF CREDITOR PAYMENTS DUE AMOUNTS PAID DURING MONTH TOTAL UNPAID POSTPETITION - ------------------------------------------------------------------------------------------------------------------------------------ Bear Stearns - mortgage $111,000 $111,000 each month - ------------------------------------------------------------------------------------------------------------------------------------ Heller Financial $106,000 - March - ------------------------------------------------------------------------------------------------------------------------------------ $110,000 - April - ------------------------------------------------------------------------------------------------------------------------------------ - ------------------------------------------------------------------------------------------------------------------------------------ QUESTIONNAIRE YES NO - ------------------------------------------------------------------------------------------------------------------------------------ 1. Have any assets been sold or transferred outside the normal course of business this reporting period? X - ------------------------------------------------------------------------------------------------------------------------------------ 2. Have any funds been disbursed from any account other than a debtor in possession account? X - ------------------------------------------------------------------------------------------------------------------------------------ 3. Are any postpetition receivables (accounts, notes or loans) due from related parties? X - ------------------------------------------------------------------------------------------------------------------------------------ 4. Have any payments been made on prepetition liabilities this reporting period? X - ------------------------------------------------------------------------------------------------------------------------------------ 5. Have any postpetition loans been received by the debtor from any party? X - ------------------------------------------------------------------------------------------------------------------------------------ 6. Are any postpetition payroll taxes past due? X - ------------------------------------------------------------------------------------------------------------------------------------ 7. Are any postpetition state or federal income taxes past due? X - ------------------------------------------------------------------------------------------------------------------------------------ 8. Are any postpetition real estate taxes past due? X - ------------------------------------------------------------------------------------------------------------------------------------ 9. Are any other postpetition taxes past due? X - ------------------------------------------------------------------------------------------------------------------------------------ 10. Are any amounts owed to postpetition creditors past due? X - ------------------------------------------------------------------------------------------------------------------------------------ 11. Have any prepetition taxes been paid during the reporting period? X - ------------------------------------------------------------------------------------------------------------------------------------ 12. Are any wage payments past due? X - ------------------------------------------------------------------------------------------------------------------------------------ INSURANCE YES NO - ------------------------------------------------------------------------------------------------------------------------------------ 1. Are worker's compensation, general liability and other necessary insurance coverages in effect? X - ------------------------------------------------------------------------------------------------------------------------------------ 2. Are all premium payments paid current? X - ------------------------------------------------------------------------------------------------------------------------------------ 3. Please itemize policies below - ------------------------------------------------------------------------------------------------------------------------------------ INSURANCE POLICIES TYPE OF INSURANCE BROKER PAYMENT - ------------------------------------------------------------------------------------------------------------------------------------ Directors & Officers Liability; Misc. Professional ARC Excess & Surplus, LLC - financing $6,725 monthly through Liability; Pension Trust Fiduciary Liability through AI Credit 3/00; expires 6/00 - ------------------------------------------------------------------------------------------------------------------------------------ Property Policy FM Global -- financing through AFCO Down payment -- $34,449; 7 installments of $11,849 - ------------------------------------------------------------------------------------------------------------------------------------ General liability; auto disability; mobile liability; SCS Agency 9 payments of $10,113 commencing foreign liability; DICE; workers' comp & two umbrella 12-3-99; disability through 10/00 liability policies - ------------------------------------------------------------------------------------------------------------------------------------ Travel accident HG Enterprises Renewed through 11/00 - ------------------------------------------------------------------------------------------------------------------------------------ PERSONNEL - March PERSONNEL - April - ------------------------------------------------------------------------------------------------------------------------------------ FULL TIME PART TIME FULL TIME PART TIME - ------------------------------------------------------------------------------------------------------------------------------------ 1. Total number of employees at beginning of period 58 46 56 50 - ------------------------------------------------------------------------------------------------------------------------------------ 2. Number of employees hired during the period 0 24 0 12 - ------------------------------------------------------------------------------------------------------------------------------------ 3. Number of employees terminated or resigned during the period 2 20 17 26 - ------------------------------------------------------------------------------------------------------------------------------------ 4. Total number of employees on payroll at end of period 56 50 39 36 - ------------------------------------------------------------------------------------------------------------------------------------ 7 Page 7 Unitel Video March April, 2000 Operating Report CHANGE OF ADDRESS Mailing address has not changed FLEET OPERATING BANK RECONCILIATION BALANCE PER BANK 03/31/2000 $ 651,438.66 LESS O/S CHECKS $ 241,043.97 ADJUSTED BANK BALANCE $ -- BOOK BALANCE 03/31/2000 $ 410,394.69 DIFFERENCE $ -- Outstanding Check List: CK # AMOUNT 8132 $ 8,741.22 8206 $ 474.00 8297 $ 17.94 8318 $ 104.20 8416 $ 47.50 9032 $ 273.15 9176 $ 66,400.42 9219 $ 500.00 9277 $ 500.00 9282 $ 811.88 9308 $ 232.46 9315 $ 23.05 9327 $ 30.00 9328 $ 3,116.00 9346 $ 6,568.08 9355 $ 38.33 9371 $ 124.00 9373 $ 1,000.00 9377 $ 95.00 9383 $ 2,837.27 9384 $ 3,281.16 9385 $ 7,644.62 9386 $ 950.00 9387 $ 1,328.82 9388 $ 91.97 9389 $ 888.51 9390 $ 270.60 9391 $ 396.81 9392 $ 285.26 9393 $ 162.75 9394 $ 12,476.00 9395 $ 219.55 9396 $ 16,627.34 9397 $ 55,011.50 9398 $ 3,860.54 9399 $ 1,410.96 9400 $ 212.40 9402 $ 17,500.00 9403 $ 408.82 9404 $ 5,980.62 9405 $ 4,274.04 9406 $ 362.02 9407 $ 6,188.93 9408 $ 350.00 9409 $ 166.65 9410 $ 3,539.47 9411 $ 170.00 9412 $ 1,450.00 9413 $ 866.00 9414 $ 2,688.66 9415 $ 45.47 TOTAL $241,043.97 FLEET OPERATING BANK RECONCILIATION BALANCE PER BANK 04/30/2000 $632,020.38 LESS O/S CHECKS $299,422.14 ADJUSTED BANK BALANCE $ -- BOOK BALANCE 04/30/2000 $332,598.24 DIFFERENCE $ -- Outstanding Check List: CK # AMOUNT 8132 $ 8,741.22 8206 $ 474.00 8297 $ 17.94 8318 $ 104.20 8416 $ 47.50 9032 $ 273.15 9176 $ 66,400.42 9277 $ 500.00 9308 $ 232.46 9396 $ 16,627.34 9452 $ 500.00 9455 $ 68.92 9470 $ 313.13 9476 $ 2,091.69 9485 $ 3,560.46 9486 $ 28,092.22 9487 $ 31,731.74 9489 $ 71,883.50 9490 $ 160.00 9491 $ 10.42 9492 $ 270.62 9494 $ 63.62 9495 $ 215.00 9496 $ 815.29 9497 $ 358.08 9498 $ 2,746.49 9499 $ 75.78 9500 $ 1,028.00 9501 $ 2,400.00 9502 $ 15.00 9503 $ 3,710.00 9504 $ 2,581.01 9505 $ 155.65 9506 $ 3,453.18 9508 $ 5,567.34 9509 $ 321.94 9510 $ 333.95 9511 $ 400.53 9513 $ 7,770.19 9515 $ 553.05 9516 $ 10,113.30 9517 $ 6,725.94 9518 $ 11,849.50 9519 $ 23.26 9520 $ 2,017.77 9521 $ 3,647.41 9522 $ 60.65 9523 $ 314.33 9524 $ 4.95 TOTAL $299,422.14 8 Page 8 Unitel Video March April, 2000 Operating Report MELLON OPERATING BANK RECONCILIATION BALANCE PER BANK 03/31/2000 $191,493.32 LESS O/S CHECKS $142,041.24 ADJUSTED BALANCE $ -- BOOK BALANCE 03/31/2000 $ 49,452.08 DIFFERENCE $ -- Ck # Amount 39264 $ 2,105.00 39329 $ 251.32 39654 $ 105.60 40597 $ 1,199.70 41751 $ 128.78 42821 $ 1,050.00 41835 $ 225.00 41837 $ 240.32 41849 $ 1,350.00 41851 $ 982.75 41852 $ 746.58 41853 $ 206.25 41856 $ 467.21 41857 $ 1,643.47 41858 $ 234.65 41866 $ 4,125.00 41869 $ 318.75 41876 $ 86.67 41880 $ 14,000.00 41882 $ 23,244.00 41883 $ 2,622.60 41884 $ 1,416.00 41885 $ 37.75 41886 $ 6,457.50 41888 $ 1,534.44 41889 $ 2,756.08 41890 $ 194.25 41891 $ 106.39 41892 $ 200.32 41893 $ 1,166.68 41894 $ 1,910.02 41895 $ 260.24 41896 $ 327.88 41897 $ 658.05 41898 $ 7,163.13 41899 $ 149.91 41900 $ 435.58 41902 $ 280.00 41903 $ 6,421.45 41904 $ 348.25 41905 $ 592.02 41906 $ 17,350.50 41907 $ 51.98 41908 $ 239.27 41909 $ 5,000.00 41910 $ 7,161.19 41911 $ 24.00 41912 $ 122.09 41913 $ 495.00 41914 $ 550.00 41915 $ 8.70 41916 $ 41.68 41917 $ 422.24 41918 $ 479.13 41919 $ 88.93 41920 $ 46.59 41921 $ 108.07 41922 $ 37.50 41923 $ 38.28 41924 $ 1,092.55 41925 $ 1,600.00 41926 $ 302.07 41927 $ 3,080.89 41928 $ 2,598.93 41929 $ 166.01 41930 $ 2,674.05 41931 $ 4,200.00 41932 $ 6,300.00 3/31/00 $ 12.00 TOTAL $142,041.24 MELLON OPERATING BANK RECONCILIATION BALANCE PER BANK 04/30/2000 $145,134.95 LESS O/S CHECKS $ 27,964.90 ADJUSTED BALANCE $ -- BOOK BALANCE 04/30/2000 $117,170.05 DIFFERENCE $ -- Ck # Amount 4/28/00 $ 12.00 39264 $ 2,105.00 39329 $ 251.32 39654 $ 105.60 40597 $ 1,199.70 41955 $14,000.00 41956 $ 400.00 41969 $ 649.49 41975 $ 1,025.00 41976 $ 675.00 41981 $ 506.82 41982 $ 613.40 41983 $ 400.64 41984 $ 45.00 41985 $ 1,423.88 41986 $ 135.00 41987 $ 176.35 41989 $ 204.79 41990 $ 637.61 41991 $ 1,282.03 41992 $ 1,910.02 41993 $ 113.93 41995 $ 92.32 TOTAL $27,964.90 9 Page 9 Unitel Video March April, 2000 Operating Report PETTY CASH RECONCILIATION -- PITTSBURGH Petty Cash Reimbursement as of: 3/31/00 MISCELLANEOUS Per Diem $ 1,750.00 Met-Jan $ -- GA&E $ -- EE Exp $ -- $ 1,750.00 ACCOUNTABLE LOG Barry $ 250.00 Jones $ 250.00 Samler $ 2,000.00 Bielich $ 150.00 Morse $ 600.00 Dahistrom $ 400.00 Samler $ (500.00) Samler $ (662.90) Morse $ (29.98) Mayer $ (691.64) Barry $ 500.00 Dahistrom $ 500.00 Will $ 25.00 $ 2,790.48 EXPENSE REPORTS Morse $ 29.98 Mayer $ 691.64 Samler $ 403.00 $ -- $ 1,124.62 TOTAL REIMBURSEMENT $ 5,665.10 Cash on Hand Cash $ 2,913.45 Total Cash on Hand $ 2,913.45 Past Reimbursement Due to Petty Cash $ 6,421.45 Total to Balance $15,000.00 PETTY CASH RECONCILIATION -- PITTSBURGH Petty Cash Reimbursement as of: 3/31/00 MISCELLANEOUS Per Diem $ 1,025.00 Met-Jan $ -- GA&E $ 38.16 EE Exp $ -- $ 1,063.16 ACCOUNTABLE LOG Samler $ 1,600.00 Lewis $ -- Hajbura Canby $ 2.00 Mayer $ 500.00 $ 2,102.00 EXPENSE REPORTS Hajbura Lewis $ 1,158.41 Canby Samler $ -- $ 1,158.41 TOTAL REIMBURSEMENT $ 4,323.57 Cash on Hand Cash $ 1,919.08 Total Cash on Hand $ 1,919.08 Past Reimbursement Due to Petty Cash $ 8,757.35 Total to Balance $15,000.00 PETTY CASH RECONCILIATION -- BURBANK Burbank Petty Cash Reimbursement as of: 3/31/00 MISCELLANEOUS Page 1 Checks $ 1,894.63 Page 2 Cash Receipts $ 504.38 Page 3 Per Diem $ 500.00 $ -- $ 2,899.01 ACCOUNTABLE LOG Kevin Nicholson $ 200.00 Hugh Healy $ 175.00 Tim Kubit $ 175.00 $ -- $ -- $ 550.00 EXPENSE REPORTS Tom Green $ 285.57 $ 285.57 TOTAL REIMBURSEMENT $ 3,734.58 Cash on Hand Cash $ 2,402.01 Checkbook $ 6,163.41 Total Cash on Hand $ 8,565.42 Past Reimbursement Due to Petty Cash $ -- OUTSTANDING ADVANCES Hayes $ 1,000.00 Kendall $ 1,500.00 Finney $ 200.00 $ 2,700.00 TOTAL TO BALANCE $15,000.00 PETTY CASH RECONCILIATION -- BURBANK Petty Cash Reimbursement as of: 4/30/00 MISCELLANEOUS Per Diem $ 500.00 Cash receipts $ 504.38 Checks $ 1,894.63 EE Exp $ -- $ 2,899.01 ACCOUNTABLE LOG Kevin Nicholson $ 200.00 Hugh Healy $ 175.00 Tim Kubit $ 175.00 Hayes $ 1,000.00 Kendell $ 1,500.00 Finney $ 200.00 $ 3,250.00 EXPENSE REPORTS Tom Geren $ 285.57 $ -- $ 285.57 TOTAL REIMBURSEMENT $ -- $ 6,434.58 Cash on Hand Cash $ 2,402.01 Bank $ 6,163.41 Total Cash on Hand $ 8,565.42 Total to Balance $15,000.00 10 [LOGO] Mellon Bank Business Checking MELLON BANK NA WESTERN REGION CRAFTON-INGRAM SHOPPING CTR 800-527-1800 UNITEL MOBILE VIDEO A DIV OF 100 UNITEL VIDEO INC 95 4100 STEUBENVILLE PIKE PITTSBURGH PA 15205-9643 PAGE: 1 ACCOUNT NUMBER: 038-5545 STATEMENT FROM: MAR 31, 2000 TO: APR 28, 2000 0 BZ 105 ================================================================================ Account Summary ================================================================================ ACTIVITY ITEMS DOLLAR SUBTOTALS DOLLAR TOTALS OPENING BALANCE 191,493.32 DEPOSITS 0 .00 WIRE TRANSFER CREDITS 4 178,726.00 OTHER CREDITS 0 .00 TOTAL CREDITS 4 178,726.00 CHECKS PAID 105 225,036.37 OTHER DEBITS 4 48.00 TOTAL DEBITS 109 225,084.37 CLOSING BALANCE 145,134.95 ================================================================================ Daily Transactions ==================================================================================================== DATE TRANSACTION DESCRIPTION CHECKS/DEBITS DEPOSITS/CREDITS - ---------------------------------------------------------------------------------------------------- 03-31 CLOSING BALANCE PREVIOUS STATEMENT ............................................... 191,493.32 04-03 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 43,711.21 DAILY BALANCE........................ 147,782.11 04-04 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 2,876.54 DAILY BALANCE........................ 144,905.57 04-05 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 2,842.75 DAILY BALANCE........................ 142,062.82 04-06 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 22,664.68 DAILY BALANCE........................ 119,398.14 04-07 WIRE TRANSFER CREDIT ............................................................. 41,251.00 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 20,981.08 WIRE XFER SERVICE 1 ITEM(S) 12.00 DAILY BALANCE........................ 139,656.06 04-10 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 8,292.50 DAILY BALANCE........................ 131,363.56 11 [LOGO] Mellon Bank UNITEL MOBILE VIDEO A DIV OF PAGE: 2 UNITEL VIDEO INC ACCOUNT NUMBER: 038-5545 STATEMENT TO: APR 28, 2000 ================================================================================ Daily Transactions ==================================================================================================== DATE TRANSACTION DESCRIPTION CHECKS/DEBITS DEPOSITS/CREDITS - ---------------------------------------------------------------------------------------------------- 04-11 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 8,754.30 DAILY BALANCE........................ 122,609.26 04-12 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 8,671.88 DAILY BALANCE........................ 113,937.38 04-13 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 8,109.09 DAILY BALANCE........................ 105,828.29 04-14 WIRE TRANSFER CREDIT ............................................................. 44,304.00 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 6,210.68 WIRE XFER SERVICE 1 ITEM(S) 12.00 DAILY BALANCE........................ 143,909.61 04-17 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 8,371.18 DAILY BALANCE........................ 135,538.43 04-18 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 200.23 DAILY BALANCE........................ 135,338.20 04-19 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 2,177.60 DAILY BALANCE........................ 133,160.60 04-20 WIRE TRANSFER CREDIT ............................................................. 68,324.00 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 7,255.80 WIRE XFER SERVICE 1 ITEM(S) 12.00 DAILY BALANCE........................ 194,216.80 04-21 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 1,005.95 DAILY BALANCE........................ 193,210.80 04-24 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 1,074.03 DAILY BALANCE........................ 192,136.82 04-25 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 14,789.03 DAILY BALANCE........................ 177,347.79 04-26 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 25,697.40 DAILY BALANCE........................ 151,650.39 04-27 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 22,591.84 DAILY BALANCE........................ 129,058.55 04-28 WIRE TRANSFER CREDIT ............................................................. 24,847.00 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 8,758.60 WIRE XFER SERVICE 1 ITEM(S) 12.00 CLOSING BALANCE ................... 145,134.95 ================================================================================ Check Detail ============================================================================================== CHECK NO. AMOUNT DATE REFERENCE NO. CHECK NO. AMOUNT DATE REFERENCE NO. - ---------------------------------------------------------------------------------------------- 41751 128.78 04-28 200133297 41852 746.58 04-10 600013690 41821* 1,050.00 04-28 200133295 41853 206.25 04-03 700485997 41835* 225.00 04-28 200135041 41856* 467.21 04-03 700486058 41837* 240.32 04-07 700100074 41857 1,643.47 04-28 200133296 41849* 1,350.00 04-03 700485762 41858 234.65 04-07 700100075 41851* 982.75 04-04 600299558 41866* 4,125.00 04-03 700485609 12 [LOGO] Mellon Bank UNITEL MOBILE VIDEO A DIV OF PAGE: 3 UNITEL VIDEO INC ACCOUNT NUMBER: 038-5545 STATEMENT TO: APR 28, 2000 ================================================================================ Check Detail ============================================================================================== CHECK NO. AMOUNT DATE REFERENCE NO. CHECK NO. AMOUNT DATE REFERENCE NO. - ---------------------------------------------------------------------------------------------- 41869* 318.75 04-03 500755183 41934 248.36 04-21 400046942 41876* 86.67 04-05 100434769 41935 1,025.00 04-26 300023743 41880* 14,000.00 04-03 700488666 41936 72.80 04-20 600720103 41882* 23,244.00 04-03 700489789 41937 43.70 04-14 400082808 41883 2,622.60 04-06 800645326 41938 450.00 04-21 500559201 41884 1,416.00 04-04 500285475 41939 88.69 04-21 800737877 41885 37.75 04-12 700716322 41940 663.14 04-19 400515873 41886 6,457.50 04-06 200660641 41941 92.93 04-19 400524058 41888* 1,534.44 04-07 700101439 41942 96.00 04-18 800252419 41889 2,756.08 04-05 500618188 41943 52.25 04-17 700517386 41890 194.25 04-07 500404330 41944 104.23 04-18 700789606 41891 106.39 04-11 700479235 41945 253.00 04-19 100283656 41892 200.32 04-10 800013037 41946 377.25 04-17 500667219 41893 1,166.68 04-07 400702320 41947 745.10 04-25 100525955 41894 1,910.02 04-10 200324084 41948 2,209.10 04-14 700360500 41895 260.24 04-07 700101414 41949 218.90 04-21 400039173 41896 327.88 04-04 400343360 41950 3,827.03 04-25 500119011 41897 658.05 04-14 600669818 41951 5,000.00 04-20 500202748 41898 7,163.13 04-06 400573434 41952 2,183.00 04-20 400872253 41899 149.91 04-04 500292460 41953 5,000.00 04-28 300474381 41900 435.58 04-10 600007785 41954 8,860.00 04-27 100118496 41902* 280.00 04-13 700033898 41961* 206.50 04-24 800012554 41903 6,421.45 04-06 100769302 41962 10,934.65 04-27 400085224 41904 348.25 04-24 800823391 41963 519.28 04-24 700502713 41905 592.02 04-11 400425628 41964 175.00 04-26 300020721 41906 17,350.50 04-07 700306223 41965 400.00 04-27 600693965 41907 51.98 04-19 400521613 41966 6,838.03 04-26 300131827 41908 239.27 04-12 800360919 41967 450.00 04-28 200135044 41909 5,000.00 04-10 300022464 41968 35.00 04-25 600509238 41910 7,161.19 04-11 500156726 41970* 276.11 04-25 500119009 41911 24.00 04-19 500110440 41971 355.00 04-25 600494923 41912 122.09 04-13 200871055 41972 294.06 04-25 200534866 41913 495.00 04-11 500161616 41973 522.96 04-26 200711794 41914 550.00 04-14 600678004 41974 16,975.01 04-26 300020720 41915 8.70 04-11 800198378 41977* 73.45 04-27 100070714 41916 41.68 04-17 700571283 41978 6,580.38 04-25 800138269 41917 422.24 04-12 700681600 41979 161.40 04-26 200733351 41918 479.13 04-12 500380193 41980 2,676.35 04-25 500119008 41919 88.93 04-11 600197714 41988* 261.35 04-28 800386695 41920 46.59 04-12 700700104 41994* 2,323.74 04-27 500686846 41921 108.07 04-13 600642113 41922 37.50 04-14 600670167 41923 38.28 04-14 700353645 41924 1,092.55 04-19 400530346 41925 1,600.00 04-17 700493558 41926 302.07 04-11 600177104 41927 3,080.89 04-12 700716556 41928 2,598.93 04-13 800584527 41929 166.01 04-12 700687660 41930 2,674.05 04-14 100667263 41931 4,200.00 04-12 200649676 41932 6,300.00 04-17 700518242 41933 5,000.00 04-13 500540499 * INDICATES A BREAK IN THE LISTING OF CONSECUTIVE CHECK NUMBERS. - -------------------------------------------------------------------------------- IMPORTANT INFORMATION: PLEASE EXAMINE AND RECONCILE YOUR STATEMENT PROMPTLY. ERRORS AND IMPROPER TRANSFERS MUST BE REPORTED TO THE BANK WITHIN 14 DAYS. IF YOU HAVE ANY QUESTIONS, PLEASE CALL YOUR LOCAL BRANCH OFFICE OR CALL THE BUSINESS TELEPHONE BANKING CENTER AT 800-527-1800. STATEMENT RECONCILEMENT FORMS ARE AVAILABLE THROUGH YOUR LOCAL BRANCH OFFICE. 13 ACCOUNT STATEMENT BANK 1 ONE [LOGO] Date: 04/30/2000 Account Number: 5590264 PAGE 1 OF 7 Statement Inquiries Telephone: (312) 732-2100 0 [BAR CODE] 0428/50/L/1111/00/R HELLER FINANCIAL INC UNITEL VIDEO INC 555 W 57TH ST NEW YORK, NY 10019-2925 --------------- ACCOUNT SUMMARY --------------- - -------------------------------------------------------------------------------- Account Number: 5590264 HELLER FINANCIAL INC UNITEL Statement Period: 04/01/2000 through 04/30/2000 Last Statement Balance 0.00 Deposits and Other Credits 1,324,366.73 Withdrawals and Checks 1,324,366.73 Ending Balance 0.00 - -------------------------------------------------------------------------------- --------------------- DAILY BALANCE SUMMARY --------------------- - -------------------------------------------------------------------------------- Deposits and Ending Date Other Credits Withdrawals Checks Balance - -------------------------------------------------------------------------------- 04-03 161,355.50 161,355.50 0.00 0.00 04-04 24,968.00 24,968.00 0.00 0.00 04-05 20,243.21 20,243.21 0.00 0.00 04-06 8,754.94 8,754.94 0.00 0.00 04-07 284,866.89 284,866.89 0.00 0.00 04-10 76,595.00 76,595.00 0.00 0.00 04-11 83,803.64 83,803.64 0.00 0.00 04-12 27,165.55 27,165.55 0.00 0.00 04-13 2,736.10 2,736.10 0.00 0.00 04-17 83,449.00 83,449.00 0.00 0.00 04-18 77,408.50 77,408.50 0.00 0.00 04-19 22,682.63 22,682.63 0.00 0.00 04-20 255,467.05 255,467.05 0.00 0.00 04-21 5,703.01 5,703.01 0.00 0.00 04-24 2,355.00 2,355.00 0.00 0.00 - -------------------------------------------------------------------------------- MEMBER FDIC 8177 [LOGO] EQUAL HOUSING LENDER 14 ACCOUNT STATEMENT Date: 04/30/2000 Account Number: 5590264 PAGE 2 OF 7 Statement Inquiries Telephone: (312) 732-2100 0 HELLER FINANCIAL INC UNITEL VIDEO INC Deposits and Ending Date Other Credits Withdrawals Checks Balance - -------------------------------------------------------------------------------- 04-26 182,239.45 182,239.45 0.00 0.00 04-27 1,546.85 1,546.85 0.00 0.00 04-28 3,026.41 3,026.41 0.00 0.00 -------------------------- DEPOSITS AND OTHER CREDITS -------------------------- - -------------------------------------------------------------------------------------------------- BAI Customer Bank Date Source Code Amount Reference # Reference # - -------------------------------------------------------------------------------------------------- 04-03 LKBX 115 161,355.50 16:00 00000000013045 00000000000940200046 * LOCK BOX DEPOSIT 04-04 LKBX 115 24,968.00 16:00 00000000013045 00000000000950200026 * LOCK BOX DEPOSIT 04-05 LKBX 115 20,243.21 16:00 00000000013045 00000000000960200028 * LOCK BOX DEPOSIT 04-06 LKBX 115 8,754.94 16:00 00000000013045 00000000000970200027 * LOCK BOX DEPOSIT 04-07 LKBX 115 284,866.89 16:00 00000000013045 00000000000980200032 * LOCK BOX DEPOSIT 04-10 LKBX 115 76,595.00 16:00 00000000013045 00000000001010200049 * LOCK BOX DEPOSIT 04-11 LKBX 115 83,803.64 16:00 00000000013045 00000000001020200027 * LOCK BOX DEPOSIT 04-12 LKBX 115 27,165.55 16:00 00000000013045 00000000001030200027 * LOCK BOX DEPOSIT 04-13 LKBX 115 2,736.10 16:00 00000000013045 00000000001040200030 * LOCK BOX DEPOSIT 04-17 LKBX 115 83,449.00 16:00 00000000013045 00000000001080200047 * LOCK BOX DEPOSIT 04-18 LKBX 115 77,408.50 16:00 00000000013045 00000000001090200026 * LOCK BOX DEPOSIT 04-19 LKBX 115 22,682.63 16:00 00000000013045 00000000001100200026 * LOCK BOX DEPOSIT 04-20 LKBX 115 255,467.05 16:00 00000000013045 00000000001110200027 * LOCK BOX DEPOSIT 04-21 LKBX 115 5,703.01 16:00 00000000013045 00000000001120200028 * LOCK BOX DEPOSIT 8178 15 ACCOUNT STATEMENT BANK 1 ONE [LOGO] Date: 04/30/2000 Account Number: 5590264 PAGE 3 OF 7 Statement Inquiries Telephone: (312) 732-2100 0 HELLER FINANCIAL INC UNITEL VIDEO INC BAI Customer Bank Date Source Code Amount Reference # Reference # - -------------------------------------------------------------------------------------------------- 04-24 LKBX 115 2,355.00 16:00 00000000013045 00000000001150200040 * LOCK BOX DEPOSIT 04-26 LKBX 115 182,239.45 16:00 00000000013045 00000000001170200032 * LOCK BOX DEPOSIT 04-27 LKBX 115 562.94 16:00 00000000013045 00000000001180200024 * LOCK BOX DEPOSIT 04-27 DRIVER 275 983.91 I-GEN100042700002590 00000000000000003893 * DDA ZBA CREDIT - SUB ACCOUNT 04-28 LKBX 115 3,026.41 16:00 00000000013045 00000000001190200026 * LOCK BOX DEPOSIT ---------------------------- WITHDRAWALS AND OTHER DEBITS ---------------------------- BAI Customer Bank Date Source Code Amount Reference # Reference # - -------------------------------------------------------------------------------------------------- 04-03 DRIVER 575 161,355.50 I-GEN100040300002822 00000000000000004293 * DDA ZBA DEBIT - SUB ACCOUNT 04-04 DRIVER 575 24,968.00 I-GEN100040400002643 00000000000000003994 * DDA ZBA DEBIT - SUB ACCOUNT 04-05 DRIVER 575 20,243.21 I-GEN100040500002543 00000000000000004018 * DDA ZBA DEBIT - SUB ACCOUNT 04-06 DRIVER 575 5,754.94 I-GEN100040600002621 00000000000000003951 * DDA ZBA DEBIT - SUB ACCOUNT 04-07 DRIVER 575 284,866.89 I-GEN100040700002718 00000000000000003990 * DDA ZBA DEBIT - SUB ACCOUNT 04-10 DRIVER 575 76,595.00 I-GEN100041000002985 00000000000000004304 * DDA ZBA DEBIT - SUB ACCOUNT 04-11 DRIVER 575 83,803.64 I-GEN100041100002639 00000000000000003950 * DDA ZBA DEBIT - SUB ACCOUNT 04-12 DRIVER 575 27,165.55 I-GEN100041200002508 00000000000000003907 * DDA ZBA DEBIT - SUB ACCOUNT 04-13 DRIVER 575 2,736.10 I-GEN100041300002620 00000000000000003915 * DDA ZBA DEBIT - SUB ACCOUNT 04-17 DRIVER 575 83,449.00 I-GEN100041700002805 00000000000000004285 * DDA ZBA DEBIT - SUB ACCOUNT 04-18 DRIVER 575 77,408.50 I-GEN100041800002544 00000000000000003925 * DDA ZBA DEBIT - SUB ACCOUNT 04-19 DRIVER 575 22,682.63 I-GEN100041900002512 00000000000000004024 * DDA ZBA DEBIT - SUB ACCOUNT MEMBER FDIC 8179 [LOGO] EQUAL HOUSING LENDER 16 ACCOUNT STATEMENT Date: 04/30/2000 Account Number: 5590264 PAGE 4 OF 7 Statement Inquiries Telephone: (312) 732-2100 0 HELLER FINANCIAL INC UNITEL VIDEO INC BAI Customer Bank Date Source Code Amount Reference # Reference # - -------------------------------------------------------------------------------------------------- 04-20 DRIVER 575 255,467.05 I-GEN100042000002599 00000000000000003899 * DDA ZBA DEBIT - SUB ACCOUNT 04-21 DRIVER 575 5,703.01 I-GEN100042100003199 00000000000000004680 * DDA ZBA DEBIT - SUB ACCOUNT 04-24 DRIVER 575 2,355.00 I-GEN100042400002713 00000000000000004132 * DDA ZBA DEBIT - SUB ACCOUNT 04-26 DRIVER 575 182,239.45 I-GEN100042600002464 00000000000000003883 * DDA ZBA DEBIT - SUB ACCOUNT 04-27 ACH 555 1,546.85 0000013045 072000322078209VECT5 * REDEPOSITED ITEM RETURNED 04-28 DRIVER 575 3,026.41 I-GEN100042800002672 00000000000000003973 * DDA ZBA DEBIT - SUB ACCOUNT *SEE SUPPLEMENTAL INFORMATION LISTING ------------------------ SUPPLEMENTAL INFORMATION ------------------------ - -------------------------------------------------------------------------------- 04/03/2000 00000000000940200046 161,355.50 CR LOCKBOX NO: 13045 FOR 4 ITEMS AT 16:00 04/03/2000 00000000000000004293 161,355.50 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/04/2000 00000000000950200026 24,968.00 CR LOCKBOX NO: 13045 FOR 1 ITEMS AT 16:00 04/04/2000 00000000000000003994 24,968.00 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/05/2000 00000000000960200028 20,243.21 CR LOCKBOX NO: 13045 FOR 3 ITEMS AT 16:00 04/05/2000 00000000000000004018 20,243.21 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/06/2000 00000000000970200027 8,754.94 CR LOCKBOX NO: 13045 FOR 1 ITEMS AT 16:00 04/06/2000 00000000000000003951 8,754.94 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/07/2000 00000000000980200032 284,866.89 CR LOCKBOX NO: 13045 FOR 4 ITEMS AT 16:00 - -------------------------------------------------------------------------------- 8180 17 ACCOUNT STATEMENT BANK 1 ONE [LOGO] Date: 04/30/2000 Account Number: 5590264 PAGE 5 OF 7 Statement Inquiries Telephone: (312) 732-2100 0 HELLER FINANCIAL INC UNITEL VIDEO INC 04/07/2000 00000000000000003990 284,866.89 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/10/2000 00000000001010200049 76,595.00 CR LOCKBOX NO: 13045 FOR 3 ITEMS AT 16:00 04/10/2000 00000000000000004304 76,595.00 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/11/2000 00000000001020200027 83,803.64 CR LOCKBOX NO: 13045 FOR 4 ITEMS AT 16:00 04/11/2000 00000000000000003950 83,803.64 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/12/2000 00000000001030200027 27,165.55 CR LOCKBOX NO: 13045 FOR 2 ITEMS AT 16:00 04/12/2000 00000000000000003907 27,165.55 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/13/2000 00000000001040200030 2,736.10 CR LOCKBOX NO: 13045 FOR 2 ITEMS AT 16:00 04/13/2000 00000000000000003915 2,736.10 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/17/2000 00000000001080200047 83,449.00 CR LOCKBOX NO: 13045 FOR 2 ITEMS AT 16:00 04/17/2000 00000000000000004285 83,449.00 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/18/2000 00000000001090200026 77,408.50 CR LOCKBOX NO: 13045 FOR 4 ITEMS AT 16:00 04/18/2000 00000000000000003925 77,408.50 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/19/2000 00000000001100200026 22,682.63 CR LOCKBOX NO: 13045 FOR 6 ITEMS AT 16:00 04/19/2000 00000000000000004024 22,682.63 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/20/2000 00000000001110200027 255,467.05 CR LOCKBOX NO: 13045 FOR 4 ITEMS AT 16:00 MEMBER FDIC 8181 [LOGO] EQUAL HOUSING LENDER 18 ACCOUNT STATEMENT Date: 04/30/2000 Account Number: 5590264 PAGE 6 OF 7 Statement Inquiries Telephone: (312) 732-2100 0 HELLER FINANCIAL INC UNITEL VIDEO INC 04/20/2000 00000000000000003899 255,467.05 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/21/2000 00000000001120200028 5,703.01 CR LOCKBOX NO: 13045 FOR 2 ITEMS AT 16:00 04/21/2000 00000000000000004680 5,703.01 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/24/2000 00000000001150200040 2,355.00 CR LOCKBOX NO: 13045 FOR 1 ITEMS AT 16:00 04/24/2000 00000000000000004132 2,355.00 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/26/2000 00000000001170200032 182,239.45 CR LOCKBOX NO: 13045 FOR 5 ITEMS AT 16:00 04/26/2000 00000000000000003883 182,239.45 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 04/27/2000 00000000001180200024 562.94 CR LOCKBOX NO: 13045 FOR 1 ITEMS AT 16:00 04/27/2000 072000322078209 VECT5 1,546.85 DR BANK ONE, NA 47VECTOR05 CHECK RTNS CHECK RETURN UNIT 000427 042700 OTC RETURNED DEPOSIT CHECK 07 75331* 072000322078209 STORE# 0000013045 STOP PAYMENT 04/27/2000 00000000000000003893 983.91 CR ZBA CREDIT - SUB ACCOUNT 000000005298695 04/28/2000 00000000001190200026 3,026.41 CR LOCKBOX NO: 13045 FOR 2 ITEMS AT 16:00 04/28/2000 00000000000000003973 3,026.41 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 8182 19 ACCOUNT STATEMENT BANK 1 ONE [LOGO] Date: 04/30/2000 Account Number: 5590264 PAGE 7 OF 7 Statement Inquiries Telephone: (312) 732-2100 0 HELLER FINANCIAL INC UNITEL VIDEO INC - -------------------------------------------------------------------------------- IN CASE OF ERRORS Within 30 days of receipt of this statement of account, any claim for loss of interest, damages, charges or other expenses resulting from failure to properly credit or audit funds to your account during that period must be made to the appropriate Customer Service Unit MEMBER FDIC 8183 [LOGO] EQUAL HOUSING LENDER 20 BANK 1 ONE [LOGO] ACCOUNT STATEMENT Date: 03/31/2000 PAGE 1 0F 7 Account Number: 5590264 0 Statement Inquiries Telephone: (312) 732-2100 [BAR CODE] 0331/50/L/1111/0O/R HELLER FINANCIAL INC UNITEL VIDEO INC 555 W 57TH ST NEW YORK, NY 10019-2925 --------------- ACCOUNT SUMMARY --------------- - -------------------------------------------------------------------------------- Account Number: 5590264 HELLER FINANCIAL INC UNITEL Statement Period: 03/01/2000 through 03/31/2000 Last Statement Balance 0.00 Deposits and Other Credits 1,951,748.41 Withdrawals and Checks 1,951,748.41 Ending Balance 0.00 - -------------------------------------------------------------------------------- --------------------- DAILY BALANCE SUMMARY --------------------- ================================================================================ Deposits and Ending Date Other Credits Withdrawals Checks Balance - -------------------------------------------------------------------------------- 03-02 22,900.00 22,900.00 0.00 0.00 03-03 289,854.98 289,854.98 0.00 0.00 03-06 161,817.00 161,817.00 0.00 0.00 03-07 46,355.00 46,355.00 0.00 0.00 03-08 263,315.75 263,315.75 0.00 0.00 03-09 83,844.50 83,844.50 0.00 0.00 03-10 24,832.50 24,832.50 0.00 0.00 03-13 162,674.33 162,674.33 0.00 0.00 03-14 54,803.42 54,803.42 0.00 0.00 03-16 231,690.80 231,690.80 0.00 0.00 03-17 58,419.13 58,419.13 0.00 0.00 03-20 69,090.50 69,090.50 0.00 0.00 03-21 10,955.00 10,955.00 0.00 0.00 03-22 101,994.45 101,994.45 0.00 0.00 03-23 17,977.50 17,977.50 0.00 0.00 MEMBER FDIC 9077 [GRAPHIC] EQUAL HOUSING LENDER 21 BANK 1 ONE [LOGO] ACCOUNT STATEMENT Date: 03/31/2000 PAGE 2 0F 7 Account Number: 5590264 0 Statement Inquiries Telephone: (312) 732-2100 HELLER FINANCIAL INC UNITEL VIDEO INC Deposits and Ending Date Other Credits Withdrawals Checks Balance - -------------------------------------------------------------------------------- 03-24 99,662,00 99,662.00 0.00 0.00 03-27 53,857.50 53,857.50 0.00 0.00 03-28 49,568.00 49,568.00 0.00 0.00 03-29 16,013.21 16,013.21 0.00 0.00 03-30 32,287.00 32,287.00 0.00 0.00 03-31 99,835.84 99,835.84 0.00 0.00 -------------------------- DEPOSITS AND OTHER CREDITS -------------------------- ======================================================================================================== BAI Customer Bank Date Source Code Amount Reference # Reference # - -------------------------------------------------------------------------------------------------------- 03-02 LKBX 115 22,900.00 16:00 00000000013045 00000000000620200030 * LOCK BOX DEPOSIT 03-03 LKBX 115 289,854.98 16:00 00000000013045 00000000000630200033 * LOCK BOX DEPOSIT 03-06 LKBX 115 161,817.00 16:00 00000000013045 00000000000660200049 * LOCK BOX DEPOSIT 03-07 LKBX 115 46,355.00 16:00 00000000013045 00000000000670200024 * LOCK BOX DEPOSIT 03-08 LKBX 115 263,315.75 16:00 00000000013045 00000000000680200030 * LOCK BOX DEPOSIT 03-09 LKBX 115 83,844.50 16:00 00000000013045 00000000000690200031 * LOCK BOX DEPOSIT 03-10 LKBX 115 24,832.50 16:00 00000000013045 00000000000700200031 * LOCK BOX DEPOSIT 03-13 LKBX 115 162,674.33 16:00 00000000013045 00000000000730200051 * LOCK BOX DEPOSIT 03-14 LKBX 115 54,803.42 16:00 00000000013045 00000000000740200026 * LOCK BOX DEPOSIT 03-16 LKBX 115 231,690.80 16:00 00000000013045 00000000000760200028 * LOCK BOX DEPOSIT 03-17 LKBX 115 58,419.13 16:00 00000000013045 00000000000770200032 * LOCK BOX DEPOSIT 03-20 LKBX 115 69,090.50 16:00 00000000013045 00000000000800200042 * LOCK BOX DEPOSIT 9078 22 BANK 1 ONE [LOGO] ACCOUNT STATEMENT Date: 03/31/2000 PAGE 3 0F 7 Account Number: 5590264 0 Statement Inquiries Telephone: (312) 732-2100 HELLER FINANCIAL INC UNITEL VIDEO INC BAI Customer Bank Date Source Code Amount Reference # Reference # ======================================================================================================== 03-21 LKBX 115 10,955.00 16:00 00000000013045 00000000000810200029 * LOCK BOX DEPOSIT 03-22 LKBX 115 101,994.45 16:00 00000000013045 00000000000820200028 * LOCK BOX DEPOSIT 03-23 LKBX 115 17,977.50 16:00 00000000013045 00000000000830200030 * LOCK BOX DEPOSIT 03-24 LKBX 115 99,662.00 16:00 00000000013045 00000000000840200030 * LOCK BOX DEPOSIT 03-27 LKBX 115 53,857.50 16:00 00000000013045 00000000000870200049 * LOCK BOX DEPOSIT 03/28 LKBX 115 49,568.00 16:00 00000000013045 00000000000880200027 * LOCK BOX DEPOSIT 03-29 LKBX 115 16,013.21 16:00 00000000013045 00000000000890200025 * LOCK BOX DEPOSIT 03-30 LKBX 115 32,287.00 16:00 00000000013045 00000000000900200029 * LOCK BOX DEPOSIT 03-31 LKBX 115 99,835.84 16:00 00000000013045 00000000000910200034 * LOCK BOX DEPOSIT - -------------------------------------------------------------------------------------------------------- ---------------------------- WITHDRAWALS AND OTHER DEBITS ---------------------------- ========================================================================================================== BAI Customer Bank Date Source Code Amount Reference # Reference # - ---------------------------------------------------------------------------------------------------------- 03-02 DRIVER 575 22,900.00 I-GEN 100030200002682 00000000000000004048 * DDA ZBA DEBIT - SUB ACCOUNT 03-03 DRIVER 575 289,854.98 I-GEN 100030300002726 00000000000000004093 * DDA ZBA DEBIT - SUB ACCOUNT 03-06 DRIVER 575 161,817.00 I-GEN 100030600002880 00000000000000004317 * DDA ZBA DEBIT - SUB ACCOUNT 03-07 DRIVER 575 46,355.00 I-GEN 100030700002643 00000000000000003985 * DDA ZBA DEBIT - SUB ACCOUNT 03-08 DRIVER 575 263,315.75 I-GEN 100030800002672 00000000000000004126 * DDA ZBA DEBIT - SUB ACCOUNT 03-09 DRIVER 575 83,844.00 I-GEN 100030900002566 00000000000000003887 * DDA ZBA DEBIT - SUB ACCOUNT 03-10 DRIVER 575 24,832.50 I-GEN 100031000002695 00000000000000003961 * DDA ZBA DEBIT - SUB ACCOUNT MEMBER FDIC 9079 [GRAPHIC] EQUAL HOUSING LENDER 23 BANK 1 ONE [LOGO] ACCOUNT STATEMENT Date: 03/31/2000 PAGE 4 0F 7 Account Number: 5590264 0 Statement Inquiries Telephone: (312) 732-2100 HELLER FINANCIAL INC UNITEL VIDEO INC BAI Customer Bank Date Source Code Amount Reference # Reference # - --------------------------------------------------------------------------------------------------------- 03-13 DRIVER 575 162,674.33 I-GEN 100031300002797 00000000000000004209 * DDA ZBA DEBIT - SUB ACCOUNT 03-14 DRIVER 575 54,803.42 I-GEN 100031400002574 00000000000000003951 * DDA ZBA DEBIT - SUB ACCOUNT 03-16 DRIVER 575 231,690.80 I-GEN 100031600002504 00000000000000003919 * DDA ZBA DEBIT - SUB ACCOUNT 03-17 DRIVER 575 58,419.13 I-GEN 100031700002615 00000000000000003996 * DDA ZBA DEBIT - SUB ACCOUNT 03-20 DRIVER 575 69,090.50 I-GEN 100032000002810 00000000000000004321 * DDA ZBA DEBIT - SUB ACCOUNT 03-21 DRIVER 575 10,955.00 I-GEN 100032100002669 00000000000000004051 * DDA ZBA DEBIT - SUB ACCOUNT 03-22 DRIVER 575 101,994.45 I-GEN 100032200002427 00000000000000003929 * DDA ZBA DEBIT - SUB ACCOUNT 03-23 DRIVER 575 17,977.50 I-GEN 100032300002487 00000000000000003898 * DDA ZBA DEBIT - SUB ACCOUNT 03-24 DRIVER 575 99,662.00 I-GEN 100032400002577 00000000000000003888 * DDA ZBA DEBIT - SUB ACCOUNT 03-27 DRIVER 575 53,857.50 I-GEN 100032700002731 00000000000000004169 * DDA ZBA DEBIT - SUB ACCOUNT 03-28 DRIVER 575 49,568.00 I-GEN 100032800002756 00000000000000004094 * DDA ZBA DEBIT - SUB ACCOUNT 03-29 DRIVER 575 16,013.21 I-GEN 100032900002544 00000000000000003923 * DDA ZBA DEBIT - SUB ACCOUNT 03-30 DRIVER 575 32,287.00 l-GEN 100033000002677 00000000000000003924 * DDA ZBA DEBIT - SUB ACCOUNT 03-31 DRIVER 575 99,835.84 I-GEN 100033100002680 00000000000000003900 * DDA ZBA DEBIT - SUB ACCOUNT *SEE SUPPLEMENTAL INFORMATION LISTING ------------------------ SUPPLEMENTAL INFORMATION ------------------------ ================================================================================ 03/02/2000 00000000000620200030 22,900.00 CR LOCKBOX NO: 13045 FOR 1 ITEMS AT 16:00 03/02/2000 00000000000000004048 22,900.00 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/02/2000 00000000000630200033 289,854.98 CR LOCKBOX NO: 13045 FOR 9 ITEMS AT 16:00 9080 24 BANK 1 ONE [LOGO] ACCOUNT STATEMENT Date: 03/31/2000 PAGE 5 0F 7 Account Number: 5590264 0 Statement Inquiries Telephone: (312) 732-2100 HELLER FINANCIAL INC UNITEL VIDEO INC 03/03/2000 00000000000000004093 289,854.98 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/06/2000 00000000000660200049 161,817.00 CR LOCKBOX NO: 13045 FOR 3 ITEMS AT 16:00 03/06/2000 00000000000000004317 161,817,00 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/07/2000 00000000000670200024 46,355.00 CR LOCKBOX NO: 13045 FOR 2 ITEMS AT 16:00 03/07/2000 00000000000000003985 46,355.00 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/08/2000 00000000000680200030 263,315.75 CR LOCKBOX NO: 13045 FOR 4 ITEMS AT 16:00 03/08/2000 00000000000000004126 263,315.75 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/09/2000 00000000000690200031 83,844.50 CR LOCKBOX NO: 13045 FOR 1 ITEMS AT 16:00 03/09/2000 00000000000000003887 83,844.50 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/10/2000 00000000000700200031 24,832.50 CR LOCKB0X NO: 13045 FOR 1 ITEMS AT 16:00 03/10/2000 00000000000000003961 24,832.50 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/13/2000 00000000000730200051 162,674.33 CR LOCKBOX NO: 13045 FOR 5 ITEMS AT 16:00 03/13/2000 00000000000000004209 162,674.33 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/14/2000 00000000000740200026 54,803.42 DR LOCKBOX NO: 13045 FOR 2 ITEMS AT 16:00 03/14/2000 00000000000000003951 54,803.42 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/16/2000 00000000000760200028 31,690.80 CR LOCKBOX NO: 13045 FOR 2 ITEMS AT 16:00 MEMBER FDIC 9081 [GRAPHIC] EQUAL HOUSING LENDER 25 BANK 1 ONE [LOGO] ACCOUNT STATEMENT Date: 03/31/2000 PAGE 6 0F 7 Account Number: 5590264 0 Statement Inquiries Telephone: (312) 732-2100 HELLER FINANCIAL INC UNITEL VIDEO INC 03/16/2000 00000000000000003919 231,690.80 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/17/2000 00000000000770200032 58,419.13 CR LOCKBOX NO: 13045 FOR 6 ITEMS AT 16:00 03/17/2000 00000000000000003996 58,419.13 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/20/2000 00000000000800200042 69,090.50 CR LOCKBOX NO: 13045 FOR 3 ITEMS AT 16:00 03/20/2000 00000000000000004321 69,090.50 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/21/2000 00000000000810200029 10,955.00 CR LOCKBOX NO: 13045 FOR 1 ITEMS AT 16:00 03/21/2000 00000000000000004051 10,955.00 DR DEBIT - SUB ACCOUNT 000000005298695 03/22/2000 00000000000820200028 101,994.45 CR LOCKBOX NO: 13045 FOR 5 ITEMS AT 16:00 03/22/2000 00000000000000003929 101,994.45 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/23/2000 00000000000830200030 17,977.50 CR LOCKBOX NO: 13045 FOR 1 ITEMS AT 16:00 03/23/2000 00000000000000003898 17,977.50 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/24/2000 00000000000840200030 99,662.00 CR LOCKBOX NO: 13045 FOR 2 ITEMS AT 16:00 03/24/2000 00000000000000003888 99,662.00 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/27/2000 0000000000870200049 53,857.50 CR LOCKBOX NO: 13045 FOR 3 ITEMS AT 16:00 03/27/2000 00000000000000004169 53,857.50 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 O3/28/2000 00000000000880200027 49,568.00 CR LOCKBOX NO: 13045 FOR 1 ITEMS AT 16:00 9082 26 BANK 1 ONE [LOGO] ACCOUNT STATEMENT Date: 03/31/2000 PAGE 7 0F 7 Account Number: 5590264 0 Statement Inquiries Telephone: (312) 732-2100 HELLER FINANCIAL INC UNITEL VIDEO INC 03/28/2000 00000000000000004094 49,568.00 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/29/2000 00000000000890200025 16,013.21 CR LOCKBOX NO: 13045 FOR 2 ITEMS AT 16:00 03/29/2000 00000000000000003923 16,013.21 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 03/30/2000 00000100000900200029 32,287.00 CR LOCKBOX NO: 13045 FOR 2 ITEMS AT 16:00 03/30/2000 00000000000000003924 32,287.00 DR ZBA DEBIT - SUB ACCOUNT 000000015298695 03/31/2000 01000000000910200034 99,835.84 CR LOCKBOX NO: 13045 FOR 10 ITEMS AT 16:00 03/31/2000 00000000000000003900 99,835.84 DR ZBA DEBIT - SUB ACCOUNT 000000005298695 - -------------------------------------------------------------------------------- IN CASE OF ERRORS Within 30 days of receipt of this statement of account, any claim for loss of interest, damages, charges or other expenses resulting from failure to properly credit or audit funds to your account during that period must be made to the appropriate Customer Service Unit MEMBER FDIC 9083 [GRAPHIC] EQUAL HOUSING LENDER 27 [LOGO] Bank of America ================================================================================ P.O. Box 3530 Your Bank of America Rancho Cordova, CA 95741-3530 Business Checking 0217 Statement E 12-2 Statement Period: March 1 through March 31, 2000 [BARCODE] UNITEL VIDEO, INC. Account Number: 02177-04548 1101 ISABEL ST BURBANK CA 91506-1405 At Your Service Call: 818-507-6700, 24 hours, 7 days a week Written Inquiries Bank of America Burbank Main Office PO Box 37176 San Francisco, CA 94137-0001 Customer since 1999 Bank of America appreciates your business and we enjoy serving you. ================================================================================ |_| Summary of Your Business Checking Account - ---------------------------------------------- -------------------------------- Beginning Balance on 03/01/00 $916.65 Number of checks paid 12 - ---------------------------------------------- -------------------------------- Total Deposits and Other Credits + 7,919.77 Number of 24 Hour Customer - ---------------------------------------------- Service Calls Total Checks, Withdrawals, Self-Service 0 Transfers, Account Fees - 6,271.48 Assisted 0 - ---------------------------------------------- Service Charge - 10.00 - ---------------------------------------------- Ending Balance $2,554.94 ================================================================================ |_| Important Information About Your Account - -------------------------------------------------------------------------------- A monthly service charge was applied to your account because your balance was below the minimum balance of $4,000 and the average balance of $8,000. You can avoid this charge by meeting one of the balance requirements for this account or linking other BofA savings plans and meeting the $7,500 minimum combined balance or $15,000 average combined balance. ================================================================================ |_| Deposits - --------------------------------- --------------------------------------------- - ---------------------------------- Number Date Posted Amount 03/01 $7,919.77 ================================================================================ |_| Checks Paid * Gap in check sequence - ------------------------------ ------------------------------------------ Date Paid Number Amount Date Paid Number Amount 03/03 1045 $ 6.61 03/17 1052 2,000.00 03/03 1046 438.19 03/22 * 1054 1,119.79 03/10 1047 12.89 03/24 * 1056 676.12 03/13 1048 153.75 03/30 * 1058 563.44 03/14 1049 34.80 03/31 1059 757.58 03/17 1050 246.81 Total of 12 Checks Paid $6,271.48 03/24 1051 261.50 Continued on next page 0026970.001.423 California Page 1 of 2 28 [LOGO] Bank of America ================================================================================ UNITEL VIDEO, INC. Statement Period: March 1 through March 31, 2000 Account Number: 02177-04548 ================================================================================ |_| Account Activity - -------------------------------------------------------------------------------- Date Posted Description Reference Number Amount Service Charge $10.00 03/31 Monthly Service Charge ================================================================================ |_| Daily Balance - -------------------------------------------------------------------------------- Date Amount Date Amount Date Amount 03/01 $8,836.42 03/14 8,190.18 03/24 3,885.96 03/03 8,391.62 03/17 5,943.37 03/30 3,322.52 03/10 8,378.73 03/22 4,823.58 03/31 2,544.94 03/13 8,224.98 03/23 4,562.08 ================================================================================ |_| Bank of America: In Balance - -------------------------------------------------------------------------------- To assist you in reconciling your account, we have provided the following summary information. A reconciliation worksheet is printed on the reverse of this page. - -------------------------------------------------------------------------------- o Your ending balance from this statement ........................... $2,554.94 o Subtract the monthly service charge from your checkbook register ...... 10.00 0026973.002.423 California Page 2 of 2 29 [LOGO] Mellon Bank Business Checking MELLON BANK NA WESTERN REGION CRAFTON-INGRAM SHOPPING CTR 800-527-1800 UNITEL MOBILE VIDEO A DIV OF 100 UNITEL VIDEO INC 95 4100 STEUBENVILLE PIKE PITTSBURGH PA 15205-9643 PAGE: 1 ACCOUNT NUMBER: 038-5545 STATEMENT FROM: FEB 29, 2000 TO: MAR 31, 2000 0 BZ 128 ================================================================================ Account Summary ================================================================================ ACTIVITY ITEMS DOLLAR SUBTOTALS DOLLAR TOTALS OPENING BALANCE 98,168.48 DEPOSITS 0 .00 WIRE TRANSFER CREDITS 5 281,142.00 OTHER CREDITS 0 .00 TOTAL CREDITS 5 281,142.00 CHECKS PAID 128 187,757.16 OTHER DEBITS 5 60.00 TOTAL DEBITS 133 187,817.16 CLOSING BALANCE 191,493.32 ================================================================================ Daily Transactions ==================================================================================================== DATE TRANSACTION DESCRIPTION CHECKS/DEBITS DEPOSITS/CREDITS - ---------------------------------------------------------------------------------------------------- 02-29 CLOSING BALANCE PREVIOUS STATEMENT ............................................ 98,168.48 03-01 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 30,512.58 DAILY BALANCE ____________________________________67,655.90 03-02 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 15,063.94 DAILY BALANCE ____________________________________52,591.96 03-03 CHECK(S) PAID (SEE CHECK DETAIL SECTION) .70 DAILY BALANCE ____________________________________52,591.26 03-06 WIRE TRANSFER CREDIT ............................................................. 43,976.00 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 1,202.46 WIRE XFER SERVICE 1 ITEM(S) 12.00 DAILY BALANCE ____________________________________95,352.80 03-07 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 3,987.21 DAILY BALANCE ____________________________________91,365.59 03-08 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 16,391.62 DAILY BALANCE ____________________________________74,973.97 30 [LOGO] Mellon Bank UNITEL MOBILE VIDEO A DIV OF PAGE: 2 UNITEL VIDEO INC ACCOUNT NUMBER: 038-5545 STATEMENT TO: MAR 31, 2000 ================================================================================ Daily Transactions ==================================================================================================== DATE TRANSACTION DESCRIPTION CHECKS/DEBITS DEPOSITS/CREDITS - ---------------------------------------------------------------------------------------------------- 03-09 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 15,236.27 DAILY BALANCE ____________________________________59,737.70 03-10 WIRE TRANSFER CREDIT ............................................................. 45,806.00 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 3,631.81 WIRE XFER SERVICE 1 ITEM(S) 12.00 DAILY BALANCE ___________________________________101,899.89 03-13 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 345.37 DAILY BALANCE ___________________________________101,554.52 03-14 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 4,924.60 DAILY BALANCE ____________________________________96,629.92 03-15 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 32,596.29 DAILY BALANCE ____________________________________64,033.63 03-16 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 5,913.87 DAILY BALANCE ____________________________________58,119.76 03-17 WIRE TRANSFER CREDIT ............................................................. 57,158.00 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 3,034.85 WIRE XFER SERVICE 1 ITEM(S) 12.00 DAILY BALANCE ___________________________________112,230.91 03-20 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 2,650.22 DAILY BALANCE ___________________________________109,580.69 03-21 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 6,574.41 DAILY BALANCE ___________________________________103,006.28 03-22 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 8,344.88 DAILY BALANCE ____________________________________94,661.40 03-23 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 11,827.64 DAILY BALANCE ____________________________________82,833.76 03-24 WIRE TRANSFER CREDIT ............................................................. 94,448.00 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 1,052.55 WIRE XFER SERVICE 1 ITEM(S) 12.00 DAILY BALANCE ___________________________________176,217.21 03-27 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 1,077.69 DAILY BALANCE ___________________________________175,139.52 03-28 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 7,895.83 DAILY BALANCE ___________________________________167,153.69 03-29 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 10,629.85 DAILY BALANCE ___________________________________156,523.84 03-30 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 2,730.00 DAILY BALANCE ___________________________________153,793.84 03-31 WIRE TRANSFER CREDIT ............................................................. 39,754.00 CHECK(S) PAID (SEE CHECK DETAIL SECTION) 2,042.52 31 [LOGO] Mellon Bank UNITEL MOBILE VIDEO A DIV OF PAGE: 3 UNITEL VIDEO INC ACCOUNT NUMBER: 038-5545 STATEMENT TO: MAR 31, 2000 ================================================================================ Daily Transactions ==================================================================================================== DATE TRANSACTION DESCRIPTION CHECKS/DEBITS DEPOSITS/CREDITS - ---------------------------------------------------------------------------------------------------- 03/31 WIRE XFER SERVICE 1 ITEM(S) 12.00 CLOSING BALANCE ___________________________________191,493.32 ================================================================================ Check Detail ============================================================================================== CHECK NO. AMOUNT DATE REFERENCE NO. CHECK NO. AMOUNT DATE REFERENCE NO. - ---------------------------------------------------------------------------------------------- 41671 121.50 03-09 800367808 41788 1,830.30 03-15 600371894 41672 42.00 03-06 800734442 41789 592.02 03-15 800278854 41676* 57.66 03-10 200584628 41790 37.75 03-16 700256387 41680* 75.50 03-06 300444512 41791 1,237.50 03-22 100727963 41708* 977.00 03-02 300031956 41792 997.04 03-15 400590127 41729* 390.63 03-06 800734443 41793 1,645.00 03-14 400345166 41731* 14,000.00 03-01 500733989 41794 248.36 03-17 400153380 41734* 323.51 03-01 300730176 41795 370.00 03-15 200319276 41735 536.50 03-06 300444513 41796 50.00 03-20 500553350 41739* 448.22 03-01 100631881 41797 550.00 03-14 400344588 41740 1,185.95 03-07 100458637 41798 13.27 03-16 800430173 41745* 5,379.67 03-02 200026853 41799 663.14 03-16 700226070 41747* .70 03-03 700418711 41800 334.42 03-20 500619309 41748 787.50 03-02 500876029 41801 299.42 03-16 700256438 41750* 7,919.77 03-02 300027255 41802 299.80 03-13 300420476 41752* 77.48 03-09 600515259 41803 317.17 03-20 200281839 41753 45.85 03-01 200594915 41804 136.12 03-17 800571614 41754 11,260.00 03-10 700381859 41805 40.86 03-16 700260116 41755 12,545.00 03-01 800148236 41806 2,100.00 03-30 100369649 41756 343.25 03-08 700079668 41807 1,670.04 03-15 600351305 41757 3,150.00 03-01 400853191 41808 532.33 03-16 10000635302 41758 7.92 03-06 600668055 41809 740.80 03-14 100657159 41759 267.50 03-09 600518073 41810 1,452.04 03-14 600150462 41760 78.96 03-14 600209556 41811 130.00 03-14 700686652 41761 6,450.00 03-08 500243459 41812 1,800.00 03-16 300451191 41762 7,352.00 03-08 700176415 41813 190.39 03-15 800299375 41763 6,725.00 03-09 300060110 41814 1,385.26 03-15 600351306 41764 80.32 03-16 600419594 41815 590.00 03-21 400058926 41765 16,040.00 03-15 300433617 41816 57.20 03-15 200487346 41766 4,950.00 03-15 800376791 41817 134.25 03-14 700897389 41767 27.55 03-24 300044690 41818 43.55 03-14 600200722 41768 115.73 03-20 300612887 41819 113.00 03-20 100513190 41769 157.40 03-20 800694989 41820 140.00 03-16 300448427 41770 4,150.00 03-23 800144550 41822* 2,650.37 03-17 400162588 41771 100.09 03-10 200591732 41823 38.65 03-20 300551779 41772 2,207.32 03-07 500765706 41824 1,296.77 03-16 600409461 41773 45.57 03-13 400209300 41825 1,387.50 03-20 100404447 41774 4,450.11 03-09 600530087 41826 1,010.01 03-16 600409460 41775 95.00 03-21 800784434 41827 190.14 03-27 300336923 41776 150.00 03-14 400347115 41828 835.45 03-15 200372465 41777 1,685.33 03-09 800378229 41829 3,458.59 03-15 800376792 41778 1,909.35 03-09 400737563 41830 4,984.00 03-21 800728530 41779 294.53 03-08 800184129 41831 1,025.00 03-24 200329936 41780 300.00 03-08 400308748 41832 136.35 03-20 700709160 41781 1,634.96 03-10 100905328 41833 187.55 03-27 400875997 41782 1,651.84 03-08 400345143 41834 1,260.00 03-22 400367293 41783 593.94 03-07 600050311 41836* 102.00 03-21 800792225 41784 149.91 03-06 500511711 41838* 92.93 03-22 400347942 41785 579.10 03-10 200578662 41839 47.50 03-22 400367289 41786 220.00 03-15 200359704 41840 24.41 03-21 800728607 41787 310.00 03-21 800725122 41841 469.00 03-21 600042452 32 [LOGO] Mellon Bank UNITEL MOBILE VIDEO A DIV OF PAGE: 4 UNITEL VIDEO INC ACCOUNT NUMBER: 038-5545 STATEMENT TO: MAR 31, 2000 ================================================================================ Check Detail ============================================================================================== CHECK NO. AMOUNT DATE REFERENCE NO. CHECK NO. AMOUNT DATE REFERENCE NO. - ---------------------------------------------------------------------------------------------- 41842 1,659.64 03-22 200078294 41843 337.47 03-23 500508109 41844 405.75 03-22 400442121 41845 310.17 03-23 300882852 41846 40.55 03-22 400425713 41847 1,005.00 03-22 100765526 41848 7,030.00 03-23 500575701 41850* 4,028.60 03-28 100872795 41854* 1,353.08 03-22 500329202 41855 472.93 03-22 400426012 41860* 770.00 03-22 200078291 41861 330.00 03-30 100373043 41863* 700.00 03-27 600359043 41865* 300.00 03-30 100373351 41867* 578.18 03-28 700154838 41868 56.02 03-29 500100621 41870* 1,665.61 03-28 200721249 41871 800.00 03-31 100617563 41873* 87.68 03-28 600384348 41874 410.00 03-29 200009160 41875 58.52 03-31 700278552 41877* 1,303.83 03-29 300616335 41878 1,625.76 03-28 100753161 41879 8,860.00 03-29 100252581 41881* 195.00 03-31 700370866 41901* 989.00 03-31 600028558 * INDICATES A BREAK IN THE LISTING OF CONSECUTIVE CHECK NUMBERS. - -------------------------------------------------------------------------------- IMPORTANT INFORMATION: PLEASE EXAMINE AND RECONCILE YOUR STATEMENT PROMPTLY. ERRORS AND IMPROPER TRANSFERS MUST BE REPORTED TO THE BANK WITHIN 14 DAYS. IF YOU HAVE ANY QUESTIONS, PLEASE CALL YOUR LOCAL BRANCH OFFICE OR CALL THE BUSINESS TELEPHONE BANKING CENTER AT 800-527-1800. STATEMENT RECONCILEMENT FORMS ARE AVAILABLE THROUGH YOUR LOCAL BRANCH OFFICE. 33 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 1 OF 4 9417-544821 STATEMENT DATE 03/31/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK 99 ENCLOSED ITEMS Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach =============================================================================================================== BEGINNING DEPOSITS, OTHER CHECKS, WITHDRAWALS, INTEREST ACCOUNT ACTIVITY ENDING CHECKING BALANCE CREDITS OTHER DEBITS PAID & OTHER FEES BALANCE - --------------------------------------------------------------------------------------------------------------- 9417-544821 51558.82 494232.71 528754.53 .00 .00 17037.00 - --------------------------------------------------------------------------------------------------------------- ACCOUNT NO. 9417-544821 COMMERCIAL CHECKING PERIOD 03/01/00 THROUGH 03/31/00 BUSINESS BANKING CENTER ACCESS CODE 0571 - -------------------------------------------------------------------------------- - DEBITS AND CREDITS - - -------------------------------------------------------------------------------- DATE DEBITS (-) CREDITS (+) DESCRIPTION 03-02 16,754.35 WIRE INTERNAL BOOK TRANS CR 03/02/00 005480 9999000302005480 2000030201106NTR UNITEL VIDEO INC 03-07 19,477.05 WIRE INTERNAL BOOK TRANS CR 03/07/00 004342 9999000307004342 2000030700915NTR UNITEL VIDEO INC 03-09 218,857.88 WIRE INTERNAL BOOK TRANS CR 03/09/00 001944 9999000309001944 2000030900195NTR UNITEL VIDEO INC 03-09 75,893.50 PREAUTHORIZED DDA DEBIT ADP TX/FINCL ADP - TAX 000309 94K1H 031010A01 UNITEL VIDEO INC 020000692209643 CCD 03-09 1,110.83 PREAUTHORIZED DDA DEBIT ADP TX/FINCL ADP - TAX 000309 94K1H 031010B02 UNITEL VIDEO INC 020000692209152 CCD - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 34 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 2 OF 4 9417-544821 STATEMENT DATE 03/31/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9417-544821 CONTINUED PERIOD 03/01/00 THROUGH 03/31/00 - -------------------------------------------------------------------------------- - DEBITS AND CREDITS - - -------------------------------------------------------------------------------- DATE DEBITS (-) CREDITS (+) DESCRIPTION 03-10 99,870.95 PREAUTHORIZED DDA DEBIT UNITEL VIDEO PAYROLL 102033 K1HA01231713238 UNITEL VIDEO INC 020000681864133 PPD 03-14 20,717.40 WIRE INTERNAL BOOK TRANS CR 03/14/00 002922 9999000314002922 2000031400564NTR UNITEL VIDEO INC 03-23 218,426.03 WIRE INTERNAL BOOK TRANS CR 03/23/00 002914 9999000323002914 2000032300539NTR UNITEL VIDEO INC 03-23 74,981.60 PREAUTHORIZED DDA DEBIT ADP TX/FINCL ADP - TAX 000323 94K1H 032412A01 UNITEL VIDEO INC 020000834724155 CCD 03-23 1,096.11 PREAUTHORIZED DDA DEBIT ADP TX/FINCL ADP - TAX 000323 94K1H 032412B02 UNITEL VIDEO INC 020000834723646 CCD 03-24 97,213.63 PREAUTHORIZED DDA DEBIT UNITEL VIDEO PAYROLL 112049 K1HA01231713238 UNITEL VIDEO INC 020000824416732 PPD - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 35 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 3 OF 4 9417-544821 STATEMENT DATE 03/31/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9417-544821 CONTINUED PERIOD 03/01/00 THROUGH 03/31/00 - -------------------------------------------------------------------------------- - DEBITS AND CREDITS - - -------------------------------------------------------------------------------- DATE DEBITS (-) CREDITS (+) DESCRIPTION 03-30 1,204.35 PREAUTHORIZED DDA DEBIT ADP TX/FINCL ADP - TAX 000330 94K1H 1609605VV UNITEL VIDEO INC 020000906342625 CCD - ------------------------------------------------------------------------------------------------------ - CHECKS POSTED - - CHECKS POSTED - - CHECKS POSTED - - ------------------------------------------------------------------------------------------------------ DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT 03-07 1674 700.83 03-14 1739 953.14 03-28 1763 759.64 03-06 1697* 231.75 03-16 1740 333.44 03-20 1764 551.63 03-09 1705* 2,262.36 03-15 1741 304.19 03-20 1765 756.54 03-02 1708* 227.21 03-13 1742 667.84 03-22 1766 786.24 03-02 1709 247.45 03-21 1743 711.77 03-15 1767 982.36 03-07 1710 1,674.73 03-17 1744 304.19 03-14 1768 607.41 03-07 1711 525.66 03-15 1745 528.15 03-16 1769 550.24 03-01 1712 276.45 03-13 1746 661.77 03-20 1770 222.29 03-01 1714* 784.81 03-14 1747 653.52 03-14 1771 316.44 03-01 1715 440.91 03-15 1748 838.26 03-13 1772 1,908.69 03-01 1716 755.13 03-16 1749 584.49 03-21 1773 510.71 03-13 1717 673.44 03-16 1750 540.24 03-13 1774 98.73 03-01 1718 243.15 03-14 1751 544.24 03-13 1775 1,794.84 03-07 1719 650.98 03-15 1752 566.10 03-28 1776 530.91 03-03 1720 1,241.69 03-15 1753 474.31 03-28 1777 865.62 03-14 1721 1,087.28 03-14 1754 511.38 03-29 1778 525.66 03-06 1722 249.50 03-16 1755 312.70 03-28 1780* 1,470.13 03-06 1723 566.04 03-22 1756 699.27 03-29 1782* 1,202.03 03-07 1724 1,560.47 03-17 1757 658.15 03-29 1783 856.94 03-01 1725 641.25 03-14 1758 210.58 03-29 1784 437.95 03-01 1729* 1,792.24 03-17 1759 506.12 03-31 1785 1,171.55 03-02 1733* 359.17 03-22 1760 968.23 03-28 1788* 1,100.56 03-07 1735* 1,171.09 03-20 1761 540.47 03-28 1789 458.27 03-13 1738* 688.40 03-14 1762 499.56 03-29 1790 1,542.95 CONTINUED - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 36 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 4 OF 4 9417-544821 STATEMENT DATE 03/31/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9417-544821 CONTINUED PERIOD 03/01/00 THROUGH 03/31/00 - ------------------------------------------------------------------------------------------------------ - CHECKS POSTED - - CHECKS POSTED - - CHECKS POSTED - - ------------------------------------------------------------------------------------------------------ DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT 03-29 1792* 1,878.51 03-27 1805 98.73 03-15 6190 22,773.20 03-27 1794* 251.57 03-27 1806 1,843.65 03-13 6191 680.15 03-30 1795 231.38 03-02 6183* 14,725.55 03-16 6192 1,523.54 03-28 1797* 1,249.10 03-03 6184 1,527.91 03-13 6193 13,678.09 03-28 1798 1,255.66 03-02 6185 81.00 03-14 6194 81.00 03-29 1801* 864.09 03-07 6186 1,241.69 03-22 6195 19,759.30 03-29 1802 581.59 03-02 6187 140.00 03-30 6196 81.00 03-28 1803 1,908.70 03-06 6188 58.20 03-29 6197 13,502.92 03-28 1804 424.94 03-07 6189 23,135.80 03-31 6198 1,193.86 * DENOTES SEQUENCE BREAK - -------------------------------------------------------------------------------- - DAILY BALANCE SUMMARY - - -------------------------------------------------------------------------------- DATE BALANCE DATE BALANCE DATE BALANCE 03-01 46,624.88 03-14 66,680.70 03-23 151,742.89 03-02 47,598.85 03-15 40,214.13 03-24 54,529.26 03-03 44,829.25 03-16 36,369.48 03-27 52,335.31 03-06 43,723.76 03-17 34,901.02 03-28 42,311.78 03-07 32,539.56 03-20 32,830.09 03-29 20,919.14 03-09 172,130.75 03-21 31,607.61 03-30 19,402.41 03-10 72,259.80 03-22 9,394.57 03-31 17,037.00 03-13 51,427.85 - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 37 ================================================================================ Checking 25 PNCBANK [LOGO] PNC Bank Primary account number: 10-0959-6087 For the period 02/18/2000 to 03/22/2000 Page 1 of 4 Number of enclosures: 0 UNITEL MOBILE VIDEO [GRAPHIC] For 24-hour customer service or ATTN GLEN M LEVINE current rates: Call 1-877-BUS-BNKG 4100 STEUBENVILLE PIKE PITTSBURGH PA 15205-9643 [GRAPHIC] Write to: Customer Service PO Box 609 Pittsburgh, PA 15230-9738 [GRAPHIC] Watch for our new E-mail address visit us at www.pncbank.com [GRAPHIC] TDD terminal: 1-800-531-1648 For hearing impaired clients only ================================================================================ Checking 25 Summary Unitel Mobile Video Account number: 10-0959-6087 Tax ID number: 23-1713238 Account Link(R) number: 0231713238 - -------------------------------------------------------------------------------- Balance Summary Beginning Deposits and Checks and other Ending balance other additions deductions balance 28,754.98 37,196.46 25,204.95 40,746.49 Average ledger Average collected balance balance 34,676.89 31,831.59 - -------------------------------------------------------------------------------- Deposits and Other Additions Checks and Other Deductions Description Items Amount Description Items Amount Deposits 3 36,248.55 ATM Withdrawals and Deductions 88 25,199.95 ATM Deposits and Additions 3 947.91 Other Deductions 1 5.00 Total 6 37,196.46 Total 89 25,204.95 - -------------------------------------------------------------------------------- Daily Balance Date Ledger balance Date Ledger balance Date Ledger balance 02/18 28,754.98 03/02 33,546.74 03/15 50,607.70 02/22 27,831.76 03/06 31,153.00 03/16 50,356.06 02/23 28,366.22 03/07 29,934.23 03/17 49,013.10 02/24 27,368.13 03/08 37,286.23 03/20 47,850.94 02/25 23,919.88 03/09 37,236.15 03/21 47,013.83 02/28 22,092.54 03/10 36,205.41 03/22 40,746.49 02/29 21,171.97 03/13 35,138.80 03/01 33,628.06 03/14 34,610.20 - -------------------------------------------------------------------------------- Activity Detail - -------------------------------------------------------------------------------- Deposits and Other Additions - -------------------------------------------------------------------------------- Deposits Date Transaction Reference posted Amount description number 03/01 12,856.55 Deposit 003199271 03/08 7,352.00 Deposit 003373663 03/15 16,040.00 Deposit 005901345 38 ================================================================================ Checking 25 PNCBANK [LOGO] [GRAPHIC] For 24-hour customer service or For the period 02/18/2000 to 03/22/2000 current rates: Call 1-877-BUS-BNKG UNITEL MOBILE VIDEO Primary account number: 10-0959-6087 Checking 25 Account number: 10-0959-6087 - continued Page 2 of 4 - -------------------------------------------------------------------------------- ATM Deposits and Additions Date Transaction Reference posted Amount description number 02/23 804.91 Check Card Credit Grass Valley (us) Inc 5304783676 Or 860088188817 03/06 89.50 Check Card Credit SOUTHWESTAIR5262707883 Dallas Tx 860055457773 03/06 53.50 Check Card Credit Holiday Inns La Mirada Ca 860014698418 - -------------------------------------------------------------------------------- Checks and Other Deductions - -------------------------------------------------------------------------------- ATM Withdrawals and Deductions Date Transaction Reference posted Amount description number 02/22 185.85 Check Card Purchase Hilton Hotels Uinversl Ci Ca 860001138105 02/22 176.67 Check Card Purchase Warner Electric Bristol Ct 860088188817 02/22 112.95 Check Card Purchase Tektronix Inc Beaverton Or 860088188817 02/22 89.50 Check Card Purchase SOUTHWESTAIR5262707883 Dallas Tx 860055457773 02/22 83.43 Check Card Purchase Polyline Corporation Elk Grove V Il 860088188817 02/22 75.21 Check Card Purchase Hampton Inn Wheeling WV 860050011195 02/22 75.00 Check Card Purchase USAir Los Angeles Ca 860055457773 02/22 69.76 Check Card Purchase Hampton Inn Wheeling WV 860083212497 02/22 54.85 Check Card Purchase Fireside Steakhouse Lake Placid NY 860088188817 02/23 228.45 Check Card Purchase Cdw* Computer Centers 800-8004239 Il 860088188817 02/23 34.00 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860055457773 02/23 8.00 Check Card Purchase Unocal 76 Beverly Hil Ca 860036082013 02/2? 435.47 Check Card Purchase Kens Truck Tire Sale & Pittsburgh PA 860088188817 02/24 291.32 Check Card Purchase Courtyard By Marriott- Los Angeles Ca 860036082013 02/24 119.90 Check Card Purchase Holiday Inns Airport N Atlanta Ga 860050011195 02/24 119.90 Check Card Purchase Holiday Inns Airport N Atlanta Ga 860050011195 02/24 20.00 Check Card Purchase Sgi*Stargate Industrie 412-3167827 PA 860055457773 02/24 11.50 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860036082013 02/25 3,448.25 Check Card Purchase Sony Bus & Prof Group 4089554961 Ca 860088188817 02/28 876.40 Check Card Purchase Radission Hotel Midtow Los Angeles Ca 860001138105 02/28 837.90 Check Card Purchase Radission Hotel Midtow Los Angeles Ca 860014849599 02/28 52.66 Check Card Purchase Papa J'S Pizza Pasta F Carnegie PA 860088188817 02/28 43.38 Check Card Purchase Mouser Electronics NJ 2013288360 NJ 860088188817 02/28 17.00 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860055457773 02/29 364.14 Check Card Purchase Holiday Inns East Elmhur NY 860083212497 02/29 364.14 Check Card Purchase Holiday Inns East Elmhur NY 860050011195 02/29 160.50 Check Card Purchase Holiday Inns La Mirada Ca 860014698418 02/29 19.29 Check Card Purchase Unocal 76 Burlingame 860036082013 02/29 11.50 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860083212497 02/29 1.00 Check Card Purchase Fairmont Hotels San Jo San Jose Ca 860036082013 03/01 160.50 Check Card Purchase Holiday Inns La Mirada Ca 860014698418 03/01 75.00 Check Card Purchase USAir Los Angeles Ca 860014698418 03/01 72.44 Check Card Purchase Sony Bus & Prof Group 4089554961 Ca 860088188817 03/01 40.00 Check Card Purchase Ikegami Electronics, U 201-3689171 NJ 860088188817 03/01 24.00 Check Card Purchase Burbank Glndl Pasdna A Burbank Ca 860057455916 03/01 17.25 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860036082013 03/01 11.27 Check Card Purchase Radisson Hotels Barcel Washington Dc 860040482019 03/02 53.50 Check Card Purchase Holiday Inns La Mirada Ca 860014698418 03/02 27.82 Check Card Purchase Charlie Brown's Parkin Coraopolis PA 860014698418 ATM Withdrawals and Deductions continued on next page 39 ================================================================================ Checking 25 PNCBANK [LOGO] [GRAPHIC] For 24-hour customer service or For the period 02/18/2000 to 03/22/2000 current rates: Call 1-877-BUS-BNKG UNITEL MOBILE VIDEO Primary account number: 10-0959-6087 Checking 25 Account number: 10-0959-6087 - continued Page 3 of 4 - -------------------------------------------------------------------------------- ATM Withdrawals and Deductions - continued Date Transaction Reference posted Amount description number 03/06 1,471.44 Check Card Purchase Sony Bus & Prof Group 4089554961 Ca 860088188817 03/06 444.50 Check Card Purchase Radission Hotel Midtow Los Angeles Ca 860055457773 03/06 427.50 Check Card Purchase Radission Hotel Midtow Los Angeles Ca 860040482019 03/06 85.32 Check Card Purchase Holiday Inns Philadelp Essington PA 860014698418 03/06 53.99 Check Card Purchase Motel 6 #1267 Essington PA 860014698418 03/06 53.99 Check Card Purchase Motel 6 #1267 Essington PA 860014698418 03/07 558.43 Check Card Purchase Hilton Hotels Uinversl Ci Ca 860083212497 03/07 384.52 Check Card Purchase Radisson Beverly Pavil Beverly Hil Ca 860014849599 03/07 85.32 Check Card Purchase Holiday Inns Philadelp Essington PA 860014698418 03/07 85.32 Check Card Purchase Holiday Inns Philadelp Essington PA 860014698418 03/07 62.68 Check Card Purchase Sony Bus & Prof Group San Jose Ca 860088188817 03/07 42.50 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860055457773 03/09 50.08 Check Card Purchase Sapporo Japanese Stkhs Pittsburgh PA 860088188817 03/10 479.45 Check Card Purchase Gepco International In Des Plaines Il 860088188817 03/10 225.25 Check Card Purchase Phoenix Rope and Corda Joliet Il 860088188817 03/10 164.65 Check Card Purchase Phoenix Rope and Corda Joliet Il 860088188817 03/10 157.25 Check Card Purchase Ramtronix Inc Deer Park NY 860088188817 03/10 4.14 Check Card Purchase Unocal 76 Burbank CA 860036082013 03/13 356.57 Check Card Purchase Hilton Hotels Uinversl Ci Ca 860001138105 03/13 344.30 Check Card Purchase Hilton Hotels Burbank Burbank Ca 860036082013 03/13 110.00 Check Card Purchase M C M Electronics 800-3451349 Oh 860088188817 03/13 96.93 Check Card Purchase Hilton Hotels/Los Ange Los Angeles Ca 860055457773 03/13 96.93 Check Card Purchase Hilton Hotels/Los Ange Los Angeles Ca 860040482019 03/13 61.88 Check Card Purchase Mc Master Carr Supp 630-834-96 Il 860088188817 03/14 478.20 Check Card Purchase Radission Hotel Midtow Los Angeles Ca 860055457773 03/14 42.50 Check Card Purchase Leitch Incorporated 757-5482300 VA 860088188817 03/14 7.90 Check Card Purchase Texaco Inc 61106032003 Los Angeles Ca 860055457773 03/15 42.50 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860055457773 03/16 126.90 Check Card Purchase Hilton Hotels/Los Ange Los Angeles Ca 860001138105 03/16 119.74 Check Card Purchase Hilton Hotels/Los Ange Los Angeles Ca 860036082013 03/17 561.82 Check Card Purchase Gepco International In Des Plaines Il 860099548751 03/17 394.00 Check Card Purchase Ramtronix Inc Deer Park NY 860099548751 03/17 266.40 Check Card Purchase Accubyte 630-8329200 Il 860099548751 03/17 120.74 Check Card Purchase Hilton Hotels/Los Ange Los Angeles Ca 860055457773 03/20 446.68 Check Card Purchase Radisson Hotels Empire New York NY 860050011195 03/20 445.68 Check Card Purchase Radisson Hotels Empire New York NY 860050011195 03/20 185.86 Check Card Purchase Hilton Hotels Uinversl Ci Ca 860001138105 03/20 72.44 Check Card Purchase Sony Bus & Prof Group San Jose Ca 860088188817 03/20 11.50 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860050011195 03/21 139.52 Check Card Purchase Sahara Advance Reserva Las Vegas Nv 860088188817 03/21 139.52 Check Card Purchase Sahara Advance Reserva Las Vegas Nv 860057455916 03/21 139.52 Check Card Purchase Sahara Advance Reserva Las Vegas Nv 860055457773 03/21 139.52 Check Card Purchase Sahara Advance Reserva Las Vegas Nv 860049893398 03/21 139.52 Check Card Purchase Sahara Advance Reserva Las Vegas Nv 860048127111 03/21 139.52 Check Card Purchase Sahara Advance Reserva Las Vegas Nv 860001138105 03/22 3,500.00 Check Card Purchase Grass Valley (us) Inc 530-4783676 Or 860088188817 03/22 1,761.33 Check Card Purchase Grass Valley (us) Inc 530-4783676 Or 860049893398 ATM Withdrawals and Deductions continued on next page 40 ================================================================================ Checking 25 PNCBANK [LOGO] [GRAPHIC] For 24-hour customer service or For the period 02/18/2000 to 03/22/2000 current rates: Call 1-877-BUS-BNKG UNITEL MOBILE VIDEO Primary account number: 10-0959-6087 Checking 25 Account number: 10-0959-6087 - continued Page 4 of 4 - -------------------------------------------------------------------------------- ATM Withdrawals and Deductions - continued Date Transaction Reference posted Amount description number 03/22 931.00 Check Card Purchase Hilton Hotels Uinversl Ci Ca 860083212497 03/22 75.00 Check Card Purchase USAir Los Angeles Ca 860083212497 - -------------------------------------------------------------------------------- Other Deductions Date Transaction Reference posted Amount description number 03/16 5.00 Card Replacement Fee O00000403/00 02:14 41 ================================================================================ Checking 25 PNCBANK [LOGO] PNC Bank Primary account number: 10-0959-6087 For the period 03/23/2000 to 04/19/2000 Page 1 of 3 Number of enclosures: 0 UNITEL MOBILE VIDEO [GRAPHIC] For 24-hour customer service or ATTN GLEN M LEVINE current rates: Call 1-877-BUS-BNKG 4100 STEUBENVILLE PIKE PITTSBURGH PA 15205-9643 [GRAPHIC] Write to: Customer Service PO Box 609 Pittsburgh, PA 15230-9738 [GRAPHIC] Watch for our new E-mail address Visit us at www.pncbank.com [GRAPHIC] TDD terminal: 1-800-531-1648 For hearing impaired clients only ================================================================================ Checking 25 Summary Unitel Mobile Video Account number: 10-0959-6087 Tax ID number: 23-1713238 Account Link(R) number: 0231713238 - -------------------------------------------------------------------------------- Balance Summary Beginning Deposits and Checks and other Ending balance other additions deductions balance 40,746.49 7,041.27 16,539.99 31,247.77 Average ledger Average collected balance balance 39,915.10 38,925.10 - -------------------------------------------------------------------------------- Deposits and Other Additions Checks and Other Deductions Description Items Amount Description Items Amount Deposits 1 7,041.27 ATM Withdrawals and Deductions 81 16,539.99 Total 1 7,041.27 Total 81 16,539.99 - -------------------------------------------------------------------------------- Daily Balance Date Ledger balance Date Ledger balance Date edger balance 03/23 47,767.76 04/03 41,372.63 04/12 36,809.03 03/24 47,228.76 04/04 41,338.43 04/13 35,227.67 03/27 44,953.13 04/05 39,629.74 04/17 35,184.25 03/28 44,588.13 04/06 39,037.74 04/17 31,519.25 03/29 42,936.63 04/07 39,023.91 04/18 31,487.25 03/30 42,909.93 04/10 37,383.38 04/19 31,247.77 03/31 42,586.98 04/11 37,342.85 - -------------------------------------------------------------------------------- Activity Detail - -------------------------------------------------------------------------------- Deposits and Other Additions - -------------------------------------------------------------------------------- Deposits Date Transaction Reference posted Amount description number 03/23 7,041.27 Deposit 003013428 42 ================================================================================ Checking 25 PNCBANK [LOGO] [GRAPHIC] For 24-hour customer service or For the period 03/23/2000 to 04/19/2000 current rates: Call 1-877-BUS-BNKG UNITEL MOBILE VIDEO Primary account number: 10-0959-6087 Checking 25 Account number: 10-0959-6087 - continued Page 2 of 3 - -------------------------------------------------------------------------------- Checks and Other Deductions - -------------------------------------------------------------------------------- ATM Withdrawals and Deductions Date Amount Transaction Reference posted description number 03/23 20.00 Check Card Purchase Sgi*Stargate Industrie 412-3167827 PA 860055457773 03/24 360.00 Check Card Purchase Nelson Sound Inc Burank Ca 860040482019 03/24 179.00 Check Card Purchase Doubletree Hotels Pasa Pasadena Ca 860040482019 03/27 635.31 Check Card Purchase Doubletree Hotels Pasa Pasadena Ca 860053376348 03/27 450.93 Check Card Purchase Radisson Hotels Empire New York NY 860050011195 03/27 446.68 Check Card Purchase Radisson Hotels Empire New York NY 860042827070 03/27 343.40 Check Card Purchase Hajoca Corp-Pittsburgh 4123223000 PA 860088188817 03/27 109.80 Check Card Purchase Radisson Hotels Culver City Ca 860053376348 03/27 90.00 Check Card Purchase California Canteen Universal C Ca 860040482019 03/27 61.51 Check Card Purchase Artists San Marino 860040482019 03/27 43.00 Check Card Purchase Pitney Bowes Suppli 800- 243-78 Ct 860088188817 03/27 40.25 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860050011195 03/27 28.75 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860036082013 03/27 20.00 Check Card Purchase Unocal 76 Los Angeles Ca 860040482019 03/27 6.00 Check Card Purchase Doubletree Hotels Pasa Pasadena Ca 860053376348 03/28 365.00 Check Card Purchase Scharff Weisberg Inc New York NY 860099548751 03/29 1,624.50 Check Card Purchase Radisson Hotel Midtow Los Angeles Ca 860001138105 03/29 25.00 Check Card Purchase Chevron Cobblestone Au Scottsdale Az 860072623639 03/[ILLEGIBLE] 2.00 Check Card Purchase Radisson Hotels Empire New York NY 860050011195 03/30 26.70 Check Card Purchase USAir Pittsburgh 860083212497 03/31 175.16 Check Card Purchase Quality Inns Salt Lake C Ut 860053376348 03/31 85.00 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860040482019 03/31 41.14 Check Card Purchase Charlie Brown's Parkin Coraopolis PA 860053376348 03/31 21.65 Check Card Purchase Nelson Sound Inc Burank Ca 860040482019 04/03 446.68 Check Card Purchase Radisson Hotels Empire New York NY 860083212497 04/03 445.68 Check Card Purchase Radisson Hotels Empire New York NY 860014849599 04/03 222.50 Check Card Purchase Sennheiser Electronic 860-4349190 Ct 860099548751 04/03 29.13 Check Card Purchase Napa Auto Parts #24 Scottsdale Az 860072623639 04/03 27.81 Check Card Purchase Fry'S Food & Drugs Sxn Scottsdale Az 860072623639 04/03 21.40 Check Card Purchase Giant #632 Scottsdale 860050011195 04/03 21.15 Check Card Purchase Mobil Glendale Az 860072623639 04/04 20.45 Check Card Purchase Chevron DBA Dannys Fam Scottsdale Az 860072623639 04/04 13.75 Check Card Purchase Chevron DBA Dannys Fam Scottsdale Az 860050011195 04/05 1,450.35 Check Card Purchase Epic Resorts-Scottsdal Scottsdale Az 860072623639 04/05 78.00 Check Card Purchase Andora Sewickley PA 860088188817 04/05 51.75 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860050011195 04/05 51.75 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860036082013 04/05 46.84 Check Card Purchase Sapporo Japanese Stkhs Pittsburgh PA 860088188817 04/05 30.00 Check Card Purchase Andora Sewickley PA 860088188817 04/06 296.00 Check Card Purchase USAir Pittsburgh 860088188817 04/06 296.00 Check Card Purchase USAir Pittsburgh 860088188817 04/07 13.83 Check Card Purchase Radio Shack New York NY 860072623639 04/10 497.71 Check Card Purchase Radisson Hotels Empire New York NY 860055457773 04/10 477.38 Check Card Purchase Radisson Hotels Empire New York NY 860014849599 04/10 236.69 Check Card Purchase Radisson Hotels Empire New York NY 860055457773 04/10 198.50 Check Card Purchase Vegas Chalet Motel N. Las Vega Nv 860088188817 ATM Withdrawals and Deductions continued on next page 43 ================================================================================ Checking 25 PNCBANK [LOGO] [GRAPHIC] For 24-hour customer service or For the period 03/23/2000 to 04/19/2000 current rates: Call 1-877-BUS-BNKG UNITEL MOBILE VIDEO Primary account number: 10-0959-6087 Checking 25 Account number: 10-0959-6087 - continued Page 3 of 3 - -------------------------------------------------------------------------------- ATM Withdrawals and Deductions - continued Date Transaction Reference posted Amount description number 04/10 179.00 Check Card Purchase Doubletree Hotels Pasa Pasadena Ca 860088188817 04/10 33.00 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860055457773 04/10 18.25 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860050011195 04/11 24.18 Check Card Purchase Peppermill Las Vegas Las Vegas Nv 860088188817 04/11 16.35 Check Card Purchase Charlie Brown's Parkin Coraopolis PA 860053376348 04/12 249.52 Check Card Purchase Telex Communications Bloomington Mn 860099548751 04/12 121.74 Check Card Purchase Hilton Hotels/Los Ange Los Angeles Ca 860055457773 04/12 119.74 Check Card Purchase Hilton Hotels/Los Ange Los Angeles Ca 860001138105 04/12 42.82 Check Card Purchase Holy Cow Casino Cafe B Las Vegas Nv 860088188817 04/13 986.80 Check Card Purchase Sheraton Hotels Univer Los Angeles Ca 860040482019 04/13 284.21 Check Card Purchase Avis Rent-A-Car 1 Las Veganv Nv 860088188817 04/13 238.65 Check Card Purchase Sahara Hotel & Casino Las Vegas Nv 860088188817 04/13 34.05 Check Card Purchase Sahara Caravan Room Las Vegas Nv 860088188817 04/13 23.25 Check Card Purchase Chevron Fairplex Chevr Pomona Ca 860040482019 04/13 14.40 Check Card Purchase Unocal 76 Las Vegas Nv 860088188817 04/14 43.42 Check Card Purchase Lancers Restaurant Burbank Ca 860088188817 04/17 500.00 Check Card Purchase Hilton Hotels Burbank Burbank Ca 860042827070 04/17 500.00 Check Card Purchase Hilton Hotels Burbank Burbank Ca 860036082013 04/17 429.58 Check Card Purchase Hilton Hotels Burbank Burbank Ca 860088188817 04/17 429.06 Check Card Purchase Sahara Hotel & Casino Las Vegas Nv 860001138105 04/17 425.56 Check Card Purchase Sahara Hotel & Casino Las Vegas Nv 860055457773 04/17 287.79 Check Card Purchase Sahara Hotel & Casino Las Vegas Nv 860057455916 04/17 279.04 Check Card Purchase Sahara Hotel & Casino Las Vegas Nv 860088188817 04/17 230.40 Check Card Purchase Hilton Hotels Burbank Burbank Ca 860036082013 04/17 215.00 Check Card Purchase Hilton Hotels Burbank Burbank Ca 860042827070 04/17 193.62 Check Card Purchase Sony Bus & Prof Group 4089554961 Ca 860099548751 04/17 50.00 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860055457773 04/17 35.00 Check Card Purchase Akg Acoustics US 6153600499 Tn 860099548751 04/17 28.75 Check Card Purchase Pgh Intl Airport Pittsburgh PA 860036082013 04/17 27.45 Check Card Purchase Manhattan Coolers Manhattan B Ca 860088188817 04/17 27.25 Check Card Purchase Charlie Brown's Parkin Coraopolis PA 860053376348 04/17 6.50 Check Card Purchase Unocal 76 El Segundo 860088188817 04/18 32.00 Check Card Purchase Burbank Glndl Pasdna A Burbank Ca 860057455916 04/19 119.74 Check Card Purchase Hilton Hotels/Los Ange Los Angeles Ca 860042827070 04/19 119.74 Check Card Purchase Hilton Hotels/Los Ange Los Angeles Ca 860036082013 44 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 1 OF 5 9415-859803 STATEMENT DATE 03/31/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK 155 ENCLOSED ITEMS Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach =============================================================================================================== BEGINNING DEPOSITS, OTHER CHECKS, WITHDRAWALS, INTEREST ACCOUNT ACTIVITY ENDING CHECKING BALANCE CREDITS OTHER DEBITS PAID & OTHER FEES BALANCE - --------------------------------------------------------------------------------------------------------------- 9415-859803 482853.72 1553400.78 1384815.84 .00 .00 651438.66 - --------------------------------------------------------------------------------------------------------------- ACCOUNT NO. 941 5-859803 COMMERCIAL CHECKING PERIOD 03/01/00 THROUGH 03/31/00 BUSINESS BANKING CENTER ACCESS CODE 7399 - -------------------------------------------------------------------------------- - DEBITS AND CREDITS - - -------------------------------------------------------------------------------- DATE DEBITS (-) CREDITS (+) DESCRIPTION 03-02 16,754.35 REPETITIVE IBT VIA PC 03/02/00 005480 9999000302005480 20000302011O6NTR UNITEL VIDEO INC 03-02 30.51 PREAUTHORIZED DDA DEBIT NDPS NDPSSTLMNT 200003 8788000152756 UNITEL NY 020000620862251 CCD 03-02 25.00 PREAUTHORIZED DDA DEBIT NDPS NDPSSTLMNT 200003 8788000152772 UNITEL POST 38 020000620862395 CCD 03-02 25.00 PREAUTHORIZED DDA DEBIT NDPS NDPSSTLMNT 200003 8788000152798 EDITEL-LA 020000620862252 CCD 03-06 547,351.38 WIRE INCOMING FED 03/06/00 006444 9999000306006444 24950 MELLON BANK N.A. - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 45 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 2 OF 5 9415-859803 STATEMENT DATE 03/31/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9415-859803 CONTINUED PERIOD 03/01/00 THROUGH 03/31/00 - -------------------------------------------------------------------------------- - DEBITS AND CREDITS - - -------------------------------------------------------------------------------- DATE DEBITS (-) CREDITS (+) DESCRIPTION 03-07 19,477.05 REPETITIVE IBT VIA PC 03/07/00 004342 9999000307004342 2000030700915NTR UNITEL VIDEO INC 03-08 218,857.88 WIRE INCOMING FED 03/08/00 005394 9999000308005394 19074 MELLON BANK N.A. 03-09 218,857.88 REPETITIVE IBT VIA PC 03/09/00 001944 9999000309001944 2000030900195NTR UNITEL VIDEO INC 03-10 124,634.00 WIRE INCOMING FED 03/10/00 005307 9999000310005307 16472 MELLON BANK N.A. 03-14 20,717.40 REPETITIVE IBT VIA PC 03/14/00 002922 9999000314002922 2000031400564NTR UNITEL VIDEO INC 03-17 35,480.00 WIRE INCOMING FED 03/17/00 003999 9999000317003999 11409 MELLON BANK N.A. - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 46 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 3 OF 5 9415-859803 STATEMENT DATE 03/31/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9415-859803 CONTINUED PERIOD 03/01100 THROUGH 03/31/00 - -------------------------------------------------------------------------------- - DEBITS AND CREDITS - - -------------------------------------------------------------------------------- DATE DEBITS (-) CREDITS (+) DESCRIPTION 03-17 4,852.50 PREAUTHORIZED DDA CREDIT AMERICAN EXP SETTLEMENT 000317 6316930411 UNITEL VIDE06316930411 020000773691793 CCD 03-22 218,426.03 WIRE INCOMING FED 03/22/00 005306 9999000322005306 19779 MELLON BANK N.A. 03-23 218,426.03 REPETITIVE IBT VIA PC 03/23/00 002914 9999000323002914 2000032300539NTR UNITEL VIDEO INC 03-24 245,600.00 WIRE INCOMING FED 03/24/00 005945 9999000324005945 22931 MELLON BANK N.A. 03-24 1,912.50 EFFECTIVE DATE 3-23-00 CHECK # 9334 03-28 .99 DDA ADJUSTMENT FLEET BANK ADJUST DPT IID: 3245-24MAR00 03-31 158,198.00 WIRE INCOMING FED 03/31/00 008824 9999000331008824 35929 MELLON BANK N.A. - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 47 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 4 OF 5 9415-859803 STATEMENT DATE 03/31/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9415-859803 CONTINUED PERIOD 03/01/00 THROUGH 03/31/00 - ------------------------------------------------------------------------------------------------------- - CHECKS POSTED - - CHECKS POSTED - - CHECKS POSTED - - ------------------------------------------------------------------------------------------------------- DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT 03-07 9066 5,906.50 03-17 9226 2,368.66 03-08 9263 975.00 03-07 9087* 8,176.19 03-01 9227 3,453.18 03-06 9264 7,483.32 03-01 9126* 1,117.50 03-02 9228 170.00 03-07 9265 189.50 03-02 9156* 3,741.50 03-01 9229 76.75 03-10 9266 4,102.29 03-07 9160* 13,964.92 03-01 9230 20.00 03-07 9267 3,409.88 03-07 9166* 480.36 03-03 9232* 146.35 03-10 9268 491.50 03-30 9167 480.36 03-01 9234* 60.97 03-08 9269 103.00 03-01 9169* 1,036.30 03-02 9235 115.00 03-09 9270 30.31 03-02 9178* 75.78 03-13 9236 128.79 03-07 9271 400.00 03-02 9180* 977.07 03-06 9237 218.71 03-13 9272 24.00 03-03 9183* 297.99 03-03 9239* 115.00 03-08 9273 102.84 03-07 9187* 13,840.18 03-01 9240 28.05 03-08 9276* 553.05 03-01 9193* 390.00 03-09 9242* 6,725.94 03-21 9278* 12,431.16 03-01 9194 637.50 03-13 9243 13,034.44 03-09 9279 7,355.59 03-01 9195 638.81 03-07 9244 136.00 03-15 9280 9,195.74 03-01 9197* 5.00 03-16 9246* 125.25 03-23 9281 534.84 03-07 9198 1,200.00 03-10 9247 801.92 03-17 9282 1,593.76 03-01 9207* 232,682.27 03-07 9248 10,113.30 03-15 9283 33,835.51 03-08 9208 80.10 03-09 9249 443.72 03-14 9284 27.50 03-14 9209 161.02 03-21 9250 195.11 03-20 9286* 1,133.41 03-08 9210 1,246.80 03-07 9251 3,730.29 03-16 9287 35,833.33 03-02 9211 2,025.00 03-07 9252 2,096.25 03-20 9289* 51.52 03-02 9212 358.00 03-09 9253 163.26 03-20 9290 2,329.97 03-08 9214* 1,316.73 03-13 9254 2,080.92 03-15 9291 343.44 03-01 9215 1,538.94 03-07 9255 10,285.13 03-27 9292 775.17 03-03 9216 215.00 03-14 9256 4,157.91 03-15 9293 701.00 03-01 9217 97.43 03-08 9257 243.24 03-16 9295* 495.78 03-01 9218 17.25 03-07 9258 51,226.27 03-20 9296 3,782.81 03-14 9221* 133.05 03-07 9259 155.08 03-15 9297 1,783.40 03-06 9223* 3,856.30 03-08 9260 102.84 03-17 9300* 1,125.00 03-02 9224 48.71 03-08 9261 1,266.57 03-21 9301 5,682.08 03-01 9225 244.54 03-07 9262 56,115.55 03-15 9302 40.00 CONTINUED - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 48 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 5 OF 5 9415-859803 STATEMENT DATE 03/31/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9415-859803 CONTINUED PERIOD 03/01/00 THROUGH 03/31/00 - ------------------------------------------------------------------------------------------------------- - CHECKS POSTED - - CHECKS POSTED - - CHECKS POSTED - - ------------------------------------------------------------------------------------------------------- DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT 03-20 9303 84.20 03-24 9334 1,912.50 03-27 9359 1,800.00 03-17 9304 472.60 03-27 9335 2,555.53 03-27 9360 514.19 03-24 9305 25.00 03-27 9336 3,925.61 03-27 9361 1,560.00 03-23 9306 47.50 03-22 9337 97.24 03-24 9362 7,352.34 03-17 9307 11.25 03-23 9338 96.74 03-29 9363 215.00 03-17 9309* 350.00 03-29 9339 99.90 03-28 9364 232.74 03-17 9310 735.00 03-29 9340 195.57 03-29 9365 2,820.76 03-21 9311 345.35 03-20 9341 7,155.33 03-29 9366 107.17 03-27 9313* 444.95 03-21 9342 5,782.72 03-29 9367 64.63 03-17 9314 217.38 03-27 9343 942.31 03-28 9368 2,435.63 03-21 9317* 919.11 03-28 9344 52.57 03-27 9369 3,453.18 03-21 9323* 39.85 03-27 9349* 3,942.34 03-29 9370 388.50 03-23 9324 379.60 03-27 9350 12,377.86 03-31 9372* 347.47 03-21 9325 2,400.00 03-30 9351 133.00 03-28 9375* 38.00 03-21 9326 165.00 03-27 9352 10,113.30 03-29 9376 125.32 03-20 9329* 500.00 03-28 9353 6,725.94 03-27 9378* 1,706.26 03-30 9330 256.29 03-29 9354 12,441.97 03-30 9379 56,184.44 03-22 9331 650.00 03-29 9356* 237.75 03-29 9381* 65,243.18 03-22 9332 139.88 03-28 9357 553.05 03-31 9382 63,463.48 03-22 9333 94.30 03-28 9358 828.59 * DENOTES SEQUENCE BREAK - -------------------------------------------------------------------------------- - DAILY BALANCE SUMMARY - - -------------------------------------------------------------------------------- DATE BALANCE DATE BALANCE DATE BALANCE 03-01 240,809.23 03-13 633,840.72 03-23 514,711.52 03-02 216,463.31 03-14 608,643.84 03-24 751,021.68 03-03 215,688.97 03-15 562,744.75 03-27 706,910.98 03-06 751,482.02 03-16 526,290.39 03-28 696,045.45 03-07 550,579.57 03-17 559,749.24 03-29 614,105.70 03-08 763,447.28 03-20 544,712.00 03-30 557,051.61 03-09 529,870.58 03-21 516,751.62 03-31 651,438.66 03-10 649,108.87 03-22 734,196.23 - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 49 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 1 OF 4 9417-544821 STATEMENT DATE 04/28/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK 73 ENCLOSED ITEMS Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach =============================================================================================================== BEGINNING DEPOSITS, OTHER CHECKS, WITHDRAWALS, INTEREST ACCOUNT ACTIVITY ENDING CHECKING BALANCE CREDITS OTHER DEBITS PAID & OTHER FEES BALANCE - --------------------------------------------------------------------------------------------------------------- 9417-544821 17037.00 419109.24 424781.98 .00 .00 11364.26 - --------------------------------------------------------------------------------------------------------------- ACCOUNT NO. 9417-544821 COMMERCIAL CHECKING PERIOD 04/01/00 THROUGH 04/28/00 BUSINESS BANKING CENTER ACCESS CODE 7399 - -------------------------------------------------------------------------------- - DEBITS AND CREDITS - - -------------------------------------------------------------------------------- DATE DEBITS (-) CREDITS (+) DESCRIPTION 04-06 220,738.29 WIRE INTERNAL BOOK TRANS CR 04/06/00 002684 9999000406002684 2000040600466NTR UNITEL VIDEO INC 04-06 73,362.08 PREAUTHORIZED DDA DEBIT ADP TX/FINCL ADP - TAX 000406 94K1H 040714A01 UNITEL VIDEO INC 020000977930186 CCD 04-06 1,634.28 PREAUTHORIZED DDA DEBIT ADP TX/FINCL ADP - TAX 000406 94K1H 040714B02 UNITEL VIDEO INC 020000977929687 CCD 04-07 100,888.17 PREAUTHORIZED DDA DEBIT UNITEL VIDEO PAYROLL 142057 K1HA01231713238 UNITEL VIDEO INC 020000967576285 PPD 04-10 6.64 PREAUTHORIZED DDA DEBIT ADP TX/FINCL ADP - TAX 000410 94K1H 1686265VV UNITEL VIDEO INC 020001018332901 CCD - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 50 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 2 OF 4 9417-544821 STATEMENT DATE 04/28/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9417-544821 CONTINUED PERIOD 04/01/00 THROUGH 04/28/00 - -------------------------------------------------------------------------------- - DEBITS AND CREDITS - - -------------------------------------------------------------------------------- DATE DEBITS (-) CREDITS (+) DESCRIPTION 04-17 2,796.65 WIRE INTERNAL BOOK TRANS CR 04/17/00 006580 9999000417006580 2000041701235NTR UNITEL VIDEO INC 04-20 195,574.30 WIRE INTERNAL BOOK TRANS CR 04/20/00 003198 9999000420003198 2000042000571NTR UNITEL VIDEO INC 04-20 66,060.05 PREAUTHORIZED DDA DEBIT ADP TX/FINCL ADP - TAX 000420 94K1H 042116A01 UNITEL VIDEO INC 020001111438372 CCD 04-20 1,452.53 PREAUTHORIZED DDA DEBIT ADP TX/FINCL ADP - TAX 000420 94K1H 042116B02 UNITEL VIDEO INC 020001111437906 CCD 04-21 87,707.64 PREAUTHORIZED DDA DEBIT UNITEL VIDEO PAYROLL 161051 K1HA01231713238 UNITEL VIDEO INC 020001090811023 PPD - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 51 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 3 OF 4 9417-544821 STATEMENT DATE 04/28/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9417-544821 CONTINUED PERIOD 04/01/00 THROUGH 04/28/00 - ------------------------------------------------------------------------------------------------------- - CHECKS POSTED - - CHECKS POSTED - - CHECKS POSTED - - ------------------------------------------------------------------------------------------------------- DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT 04-04 1779 324.44 04-13 1823 483.81 04-28 1848 276.45 04-11 1781* 1,507.26 04-18 1824 421.67 04-24 1849 1,270.33 04-03 1786* 310.90 04-24 1825 230.27 04-25 1850 1,069.71 04-03 1787 294.31 04-11 1826 649.81 04-24 1851 604.27 04-17 1791* 385.12 04-17 1827 673.45 04-27 1852 202.00 04-05 1793* 1,070.90 04-11 1828 202.00 04-24 1853 1,097.52 04-03 1796* 296.47 04-11 1829 669.99 04-24 1854 1,146.97 04-27 1799* 243.80 04-25 1830 485.31 04-25 1855 611.47 04-05 1800 873.48 04-11 1831 597.11 04-25 1856 1,022.73 04-10 1807* 541.29 04-11 1832 641.90 04-24 1858* 2,237.52 04-11 1808 889.48 04-11 1833 2,269.37 04-24 1860* 336.34 04-12 1809 566.33 04-10 1834 457.51 04-24 1861 2,047.02 04-14 1810 460.13 04-10 1835 1,957.58 04-11 6199* 230.00 04-13 1811 858.09 04-21 1836 530.93 04-05 6200 2,537.00 04-10 1812 784.76 04-25 1837 812.68 04-10 6201 12,720.92 04-18 1813 888.61 04-24 1838 932.41 04-11 6202 81.00 04-17 1814 219.80 04-28 1839 1,041.52 04-27 6203 286.41 04-17 1815 551.62 04-24 1840 538.42 04-11 6204 1,514.04 04-12 1816 240.65 04-27 1841 1,483.99 04-12 6205 13,821.40 04-12 1817 243.15 04-26 1842 1,278.14 04-21 6206 1,500,00 04-14 1818 227.86 04-28 1843 243.80 04-24 6207 2,458.10 04-18 1819 628.37 04-25 1844 1,066.30 04-21 6208 515.84 04-27 1820 306.81 04-26 1845 230.13 04-27 6209 12,373.45 04-21 1821 775.26 04-27 1847* 1,456.03 04-28 6210 81.00 04-24 1822 786.08 * DENOTES SEQUENCE BREAK - -------------------------------------------------------------------------------- - DAILY BALANCE SUMMARY - - -------------------------------------------------------------------------------- DATE BALANCE DATE BALANCE DATE BALANCE 04-03 16,135.32 04-06 157,071.43 04-11 30,462.60 04-04 15,810.88 04-07 56,183.26 04-12 15,591.07 04-05 11,329.50 04-10 39,714.56 04-13 14,249.17 - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 52 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 4 OF 4 9417-544821 STATEMENT DATE 04/28/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9417-544821 CONTINUED PERIOD 04/01/00 THROUGH 04/28/00 - -------------------------------------------------------------------------------- - DAILY BALANCE SUMMARY - - -------------------------------------------------------------------------------- DATE BALANCE DATE BALANCE DATE BALANCE 04-14 13,561.18 04-21 49,621.24 04-26 29,359.52 04-17 14,527.84 04-24 35,935.99 04-27 13,007.03 04-18 12,589.19 04-25 30,867.79 04-28 11,364.26 04-20 140,650.91 - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 53 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 1 OF 4 9415-859803 STATEMENT DATE 04/28/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK 104 ENCLOSED ITEMS Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach =============================================================================================================== BEGINNING DEPOSITS, OTHER CHECKS, WITHDRAWALS, INTEREST ACCOUNT ACTIVITY ENDING CHECKING BALANCE CREDITS OTHER DEBITS PAID & OTHER FEES BALANCE - --------------------------------------------------------------------------------------------------------------- 9415-859803 651438.66 1662017.39 1681435.67 .00 .00 632020.38 - --------------------------------------------------------------------------------------------------------------- ACCOUNT NO. 9415-859803 COMMERCIAL CHECKING PERIOD 04/01/00 THROUGH 04/28/00 BUSINESS BANKING CENTER ACCESS CODE 7399 - -------------------------------------------------------------------------------- - DEBITS AND CREDITS - - -------------------------------------------------------------------------------- DATE DEBITS (-) CREDITS (+) DESCRIPTION 04-04 30.51 PREAUTHORIZED DDA DEBIT NDPS NDPSSTLMNT 200004 8788000152756 UNITEL NY 020000957155374 CCD 04-04 25.00 PREAUTHORIZED DDA DEBIT NDPS NDPSSTLMNT 200004 8788000152772 UNITEL POST 38 020000957155565 CCD 04-04 25.00 PREAUTHORIZED UDA DEBIT NDPS NDPSSTLMNT 200004 8788000152798 EDITEL-LA 020000957155375 CCD 04-05 211,598.59 WIRE INCOMING FED 04/05/00 005254 9999000405005254 17341 MELLON BANK N.A. 04-06 220,738.29 REPETITIVE IBT VIA PC 04/06/00 002684 9999000406002684 2000040600466NTR UNITEL VIDEO INC - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 54 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 2 OF 4 9415-859803 STATEMENT DATE 04/28/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9415-859803 CONTINUED PERIOD 04/01/00 THROUGH 04/28/00 - -------------------------------------------------------------------------------- - DEBITS AND CREDITS - - -------------------------------------------------------------------------------- DATE DEBITS (-) CREDITS (+) DESCRIPTION 04-07 76,784.00 WIRE INCOMING FED 04/07/00 004831 9999000407004831 15425 MELLON BANK N.A. 04-14 902,795.00 WIRE INCOMING FED 04/14/00 005771 9999000414005771 19228 MELLON BANK N.A. 04-14 4,852.50 PREAUTHORIZED DDA CREDIT AMERICAN EXP SETTLEMENT 000414 6316930411 UNITEL VIDEO6316930411 020001050276226 CCD 04-14 843,498.27 WIRE NON-REPETITIVE 04/14/00 006326 9999000414006326 UNITEL VIDEO INC GE CAPITAL BUSINESS ASSET FUND 04-17 2,796.65 REPETITIVE IBT VIA PC 04/17/00 006580 9999000417006580 2000041701235NTR UNITEL VIDEO INC 04-19 195,574.30 WIRE INCOMING FED 04/19/00 005502 9999000419005502 17334 MELLON BANK N.A. - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 55 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 3 OF 4 9415-859803 STATEMENT DATE 04/28/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9415-859803 CONTINUED PERIOD 04/01/00 THROUGH 04/28/00 - -------------------------------------------------------------------------------- - DEBITS AND CREDITS - - -------------------------------------------------------------------------------- DATE DEBITS (-) CREDITS (+) DESCRIPTION 04-20 200,131.00 WIRE INCOMING FED 04/20/00 004740 9999000420004740 14789 MELLON BANK N.A. 04-20 195,574.30 REPETITIVE IBT VIA PC 04/20/00 003198 9999000420003198 2000042000571NTR UNITEL VIDEO INC 04-28 70,282.00 WIRE INCOMING FED 04/28/00 008104 9999000428008104 29299 MELLON BANK N.A. - ------------------------------------------------------------------------------------------------------- - CHECKS POSTED - - CHECKS POSTED - - CHECKS POSTED - - ------------------------------------------------------------------------------------------------------- DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT 04-11 9219 500.00 04-03 9389 888.51 04-03 9405 4,274.04 04-06 9285* 811.88 04-03 9390 270.60 04-03 9406 362.02 04-06 9315* 23.05 04-11 9391 396.81 04-05 9407 6,188.93 04-20 9327* 30.00 04-03 9392 285.26 04-11 9408 350.00 04-04 9346* 6,568.08 04-07 9393 162.75 04-04 9409 166.65 04-03 9355* 38.33 04-11 9394 12,476.00 04-04 9410 3,539.47 04-10 9371* 124.00 04-04 9395 219.55 04-10 9411 170.00 04-03 9377* 95.00 04-04 9397* 55,011.50 04-11 94l2 1,450.00 04-11 9383* 2,837.27 04-07 9398 3,860.54 04-06 9413 866.00 04-07 9384 3,281.16 04-07 9399 1,410.96 04-03 94l4 2,688.66 04-03 9385 7,644.62 04-10 9400 212.40 04-04 9415 45.47 04-05 9386 950.00 04-05 9402* 17,500.00 04-12 9416 1,863.45 04-03 9387 1,328.82 04-05 9403 408.82 04-12 9417 8,530.99 04-07 9388 91.97 04-04 9404 5,980.62 04-19 9418 120.00 CONTINUED - -------------------------------------------------------------------------------- Notice: See reverse side for important information. 56 [LOGO] Fleet Bank STATEMENT OF ACCOUNTS PAGE 4 OF 4 9415-859803 STATEMENT DATE 04/28/00 Questions? Call our Business 116 Banking Center at 1-800-PARTNER (1-800-727-8637) Cash Reserve Payment UNITEL VIDEO INC ----------------------- PAYROLL CY 555 WEST 57TH ST ----------------------- SUITE 1240 Please remit to: NEW YORK NY 10019 FLEET BANK Cash Reserve PO Box 150456 Hartford, CT. 06115-0456 detach ================================================================================ ACCOUNT NO. 9415-859803 CONTINUED PERIOD 04/01/00 THROUGH 04/28/00 - ------------------------------------------------------------------------------------------------------- - CHECKS POSTED - - CHECKS POSTED - - CHECKS POSTED - - ------------------------------------------------------------------------------------------------------- DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT DATE CHECK NO. AMOUNT 04-10 9419 2,132.84 04-14 9440 14.42 04-24 9464 691.00 04-12 9420 116.58 04-12 9441 66,400.42 04-28 9465 336.01 04-11 9421 1,133.41 04-12 9442 273.15 04-26 9466 217.60 04-10 9422 174.73 04-10 9443 7,365.33 04-28 9467 500.00 04-11 9423 4,360.41 04-11 9444 135.00 04-26 9468 525.00 04-10 9424 45,140.77 04-17 9445 1,233.30 04-25 9469 2,400.00 04-10 9425 2,905.62 04-24 9446 7.47 04-25 9471* 3,789.98 04-10 9426 692.00 04-25 9447 764.59 04-25 9472 1,530.00 04-13 9427 3,922.32 04-17 9448 7,841.64 04-28 9473 192.00 04-10 9428 149.27 04-21 9449 431.24 04-25 9474 192.00 04-13 9429 195.11 04-19 9451* 390.00 04-25 9475 235.44 04-10 9430 3,316.15 04-21 9453* 3,620.64 04-27 9477* 270.20 04-11 9431 1,504.20 04-21 9454 38,333.33 04-25 9478 3,075.35 04-25 9432 26.35 04-20 9456* 1,425.00 04-25 9479 1,800.00 04-28 9433 113.72 04-17 9457 40.00 04-21 9480 7,267.91 04-12 9434 110.98 04-17 9458 8.23 04-25 9481 2,553.50 04-25 9435 464.68 04-19 9459 65.66 04-24 9482 43.29 04-12 9436 155.63 04-18 9460 56.42 04-27 9483 1,242.86 04-21 9437 50.00 04-18 9461 701.00 04-24 9484 211.35 04-14 9438 1,800.00 04-24 9462 675.00 04-28 9488* 32,621.59 04-10 9439 62.00 04-26 9463 1,537.50 * DENOTES SEQUENCE BREAK - -------------------------------------------------------------------------------- - DAILY BALANCE SUMMARY - - -------------------------------------------------------------------------------- DATE BALANCE DATE BALANCE DATE BALANCE 04-03 633,562.80 04-12 428,999.78 04-21 622,937.14 04-04 561,950.95 04-13 424,882.35 04-24 621,309.03 04-05 748,501.79 04-14 487,217.16 04-25 599,294.86 04-06 526,062.57 04-17 475,297.34 04-26 597,014.76 04-07 594,039.19 04-18 474,539.92 04-27 595,501.70 04-10 531,594.08 04-19 669,538.56 04-28 632,020.38 04-11 506,450.98 04-20 672,640.26 - -------------------------------------------------------------------------------- Notice: See reverse side for important information.