1
                                                                     Exhibit 99p

                               POWERTEL USA, INC.



                                    97-30265


                                   CHAPTER 11
                            MONTHLY OPERATING REPORT
                                    JULY 1998







The Debtor in Possession is filing an incomplete Monthly Operating Report due to
the lack of complete records. The former officers of PowerTel, USA. Inc. have
not cooperated with the Debtor by providing the necessary information. The Books
and Records are missing. Therefore, it is impossible for the Debtor to file a
complete Monthly Operating Report.













                                                /s/ Richard A. Cascarilla  
                                          --------------------------------------
                                          RICHARD A. CASCARILLA, PRESIDENT
                                          DEBTOR IN POSSESSION
   2
                                  BALANCE SHEET
                                  JULY 31, 1998

                                     Assets


                                                                               
Current Assets:

         Cash                                                          $    6,882.64    
                                                                       -------------
                  Accounts Receivable                  $                       
                                                       -------------
                  Allowance for Doubtful
                           Accounts                    $                       
                                                       -------------
                  Accounts Receivable (Net)                            $                          
                                                                       -------------
                  Inventory                                            $                          
                                                                       -------------
                  Prepaid Expenses                                     $                          
                                                                       -------------

                  Total Current Assets                                                  $    6,882.64
                                                                                        -------------
Property and Equipment (Fair Market Value)

                  Real Property                        $                        
                                                       -------------
                  Machinery and Equipment              $5,700,000.00
                                                       -------------
                  Furniture and Fixtures               $                        
                                                       -------------
                  Office Equipment                     $                        
                                                       -------------
                  Leasehold Improvements               $                        
                                                       -------------
                  Vehicles                             $                        
                                                       -------------
                  Other                                $                        
                                                       -------------

                  Total Property and Equipment                                          $5,700,000.00
                                                                                        -------------

Investments:

                   Herth Printing and Business Supply
                            Stock (at Book Value)                                       $  381,585.00
                                                                                        -------------

                   Total Assets:                                                        $6,088,467.64
                                                                                        -------------

   3
                                   LIABILITIES
                                  JULY 31, 1998



                                                                           
Postpetition Liabilities (Accrued and Unpaid)

         Salaries & Wages                                   $                            
                                                            -------------
         Payroll Taxes                                      $    1,988.90
                                                            -------------
         Sales Taxes                                        $                            
                                                            -------------
         Income Taxes                                       $                            
                                                            -------------
         Real Property Taxes                                $                            
                                                            -------------
         Personal Property Taxes                            $                            
                                                            -------------
         Accounts Payable                                   $                            
                                                            -------------
         Postpetition Real Property
                  Lease Arrearages                          $                            
                                                            -------------
         Postpetition Equipment
                  Lease Arrearages                          $                            
                                                            -------------
         Accrued Professional Fees
         Other    ___________                               $                            
                                                            -------------
                  ___________                               $                            
                                                            -------------

         Total Postpetition Liabilities                                          $    1,988.90
                                                                                 -------------

Prepetition Liabilities

         Priority Debt (Schedule A-1)                       $                            
                                                            -------------
         Secured Debt (Schedule A-2)                        $                            
                                                            -------------
         Unsecured Debt (Schedule A-3)                      $                    
                                                            -------------

         Total Prepetition Liabilities                                           $                        
                                                                                 -------------

Shareholder's Equity

         Common Stock                                       $                           
                                                            -------------
         Paid-In Capital                                    $6,131,096.00
                                                            -------------
         Retained Earnings                                  $  (44,617.26)
                                                            -------------

         Total Shareholder's Equity                                              $6,086,478.74
                                                                                 -------------

         Total Liabilities & Equity                                              $6,088,467.64
                                                                                 -------------

   4
                                 RECAPITULATION
                                  JULY 31, 1998



                                                                    
Balance from Prior Month

         General Account                                               $   11,154.55  
                                                                       -------------
                  Bank      FIRST OF AMERICA BANK, N.A. MICHIGAN
                  Branch    OKEMOS, MICHIGAN
                  Account   #62-30079367

         General Account                                               $                    
                                                                       -------------
                  Bank
                  Branch
                  Account #

         Tax Account                                                   $                     
                                                                       -------------
                  Bank
                  Branch
                  Account #

Balance to Carry Forward to Next Month

           General Account                                             $    6,882.64    
                                                                       -------------

           General Account                                             $                      
                                                                       -------------

           Tax Account                                                 $                      
                                                                       -------------

   5
                               POWERTEL USA, INC.
                             EAST LANSING, MICHIGAN
                             BANK ACCOUNT SUMMARIES
                                    #97-30265
                                 (PTELBANK.698)
                                   JULY, 1998





                                                           FIRST OF
DATE               DESCRIPTION                             AMERICA
- --------           --------------------------------        -----------
                                                             
06.01.98           BEGINNING BALANCE                       $ 11,154.55
                                                           -----------

07.28.98           HERTH PRINTING INC. DISTRIBUTION           7,000.00

                                                           -----------
07.31.98           TOTAL DEPOSITS                             7,000.00
                                                           -----------

07.31.98           CHECKS WRITTEN PER ATTACHED             $ 11,271.91
                                                           -----------

07.31.98           BALANCE                                 $  6,882.64
                                                           ===========

   6
RUN DATE: 08/07/98             POWERTEL USA, INC.                 PAGE: 1
SYS DATE: 07/31/98             TRANSACTION JOURNAL                TIME: 11:25 AM



SOURCE            POSTING           CREDIT
JOURNAL           DATE              ACCOUNT NO                BATCH TOTAL               JOURNAL COMMENT
                                                                            
CD-0001           07/31/98          1020-000-00               11,271.91                 DISBURSEMENTS




CHECK NO          DATE              COMMENT                            DEBIT ACCT        TRANS AMOUNT
- ----------        --------          ------------------------           -----------       ------------
                                                                             
0001144           07/03/98          CASEY & BOOG                       6600-000-00           95.00
0001145           07/05/98          CASEY & BOOG                       6500-000-00           47.70
0001146           06/07/98          FLEET                              7900-000-00        1,045.36
0001147           07/13/98          BELDING & HARRIS                   6200-000-00          150.00
0001148           07/13/98          UPS                                6000-000-00           12.00
0001149           07/15/98          STATE OF MICHIGAN                  2110-003-00          604.50

0001150           07/15/98          FIRST OF AMERICA                   2110-001-00          474.30
0001150           07/15/98          FIRST OF AMERICA                   2110-002-00          810.00
0001150           07/15/98          FIRST OF AMERICA                   2110-005-00          474.30
                                                                                         ---------
                                       CHECK 0001150 TOTALS:                              1,758.60

0001151           07/16/98          E LANSING POSTMASTER               6500-000-00          128.00
0001152           07/16/98          UPS                                6000-000-00           12.00
0001153           07/20/98          CASEY & BOOG                       6600-000-00           95.00
0001154           07/20/98          CORPORATE                          7800-000-00          802.03
0001155           07/24/98          UPS                                6000-000-00           36.00
0001156           07/24/98          FIRST OF AMERICA                   2110-005-00          112.00
0001157           07/24/98          NEVADA EMPL SECURITY COM           2110-005-00           86.40
0001158           07/24/98          NEVADA EMPL SECURITY COM           2110-005-00            7.00
0001159           07/29/98          RICHARD CASCARILLA                 8100-000-00        3,723.00
0001160           07/29/98          H LAURENCE HERTH                   8100-000-00          991.20
0001161           07/31/98          BELDING & HARRIS                   6200-000-00        1,566.12
                                                                                         ---------

                                                     JOURNAL CD-0001 TOTALS:             11,271.91
                                                                                         ---------
                                                     SOURCE CD TOTALS:                   11,271.91
                                                                                         ---------
                                                     REPORT TOTALS:                      11,271.91
                                                                                         =========

   7
                                INCOME STATEMENT
                                 (Accrual Basis)
                        OCTOBER 1, 1997 TO JULY 31, 1998




                                                                                      Current             Year to
                                                                                       Month                Date        
                                                                                   --------------      ---------------
                                                                                                 
         Income                                                                    $          -0-      $           -0-      
                                                                                   --------------      ---------------
         Cost of Goods Sold
                  Beginning Inventory                                              $                   $                  
                                                                                   --------------      ---------------
                  Inventory Purchases                                              $                   $                  
                                                                                   --------------      ---------------
                  Ending Inventory                                                 $                   $                  
                                                                                   --------------      ---------------

                  Total Costs of Goods Sold                                        $                   $                  
                                                                                   --------------      ---------------

         Operating Expenses
                  Salaries and Wages                                               $     6,200.00      $     67,800.00     
                                                                                   --------------      ---------------
                  Employee Benefits                                                $                   $                      
                                                                                   --------------      ---------------
                  Shipping & Freight                                               $        60.00      $      1,424.82    
                                                                                   --------------      ---------------
                  Rent                                                             $                   $                      
                                                                                   --------------      ---------------
                  Secured Debt Payments                                            $                   $                       
                                                                                   --------------      ---------------
                  Outside Services                                                 $       190.00      $      2,854.93     
                                                                                   --------------      ---------------
                  Telephone                                                        $                   $        863.34     
                                                                                   --------------      ---------------
                  Repairs & Maintenance                                            $                   $                       
                                                                                   --------------      ---------------
                  Miscellaneous Office Expense                                     $       175.70      $      2,059.46     
                                                                                   --------------      ---------------
                  Advertising                                                      $                   $                       
                                                                                   --------------      ---------------
                  Travel & Entertainment                                           $     1,847.39      $     16,094.09      
                                                                                   --------------      ---------------
                  Professional Fees                                                $     1,716.12      $     51,435.27      
                                                                                   --------------      ---------------
                  Court Costs                                                      $                   $     19,372.00     
                                                                                   --------------      ---------------
                  Insurance:                Liability                              $                   $                       
                                                                                   --------------      ---------------
                                            Property                               $                   $                       
                                                                                   --------------      ---------------
                                            Vehicle                                $                   $                       
                                                                                   --------------      ---------------
                                            Worker's Compensation                  $                   $                       
                                                                                   --------------      ---------------
                                            Other - Bond                           $                   $       (920.00) 
                                                                                   --------------      ---------------
                  Taxes:                    Payroll                                $       510.10      $      6,063.90   
                                                                                   --------------      ---------------
                                            Sales                                  $                   $                       
                                                                                   --------------      ---------------
                                            Income                                 $                   $                       
                                                                                   --------------      ---------------
                                            Real Property                          $                   $                       
                                                                                   --------------      ---------------
                                            Personal Property                      $                   $                       
                                                                                   --------------      ---------------

                  Total Operating Expenses                                         $    10,699.31      $    166,247.81   
                                                                                   --------------      ---------------
                  Total Profit (Loss) from Operations                              $   (10,699.31)     $   (166,247.81) 
                                                                                   --------------      ---------------

                  Other Income (Expense)                                           $                   $                       
                                                                                   --------------      ---------------
                           Gain (Loss) on Sale of Assets                           $                   $                       
                                                                                   --------------      ---------------
                           Interest Expense                                        $                   $                       
                                                                                   --------------      ---------------
                           Interest Income                                         $                   $                       
                                                                                   --------------      ---------------
                           Dividend Income                                         $                   $         16.34  
                                                                                   --------------      ---------------
                           Herth Printing Income (loss)                            $    (4,203.00)     $    (42,511.00) 
                                                                                   --------------      ---------------
                           Total                                                   $    (4,203.00)     $    (42,494.66) 
                                                                                   --------------      ---------------

                  Total Profit (Loss) for Month                                    $   (14,902.31)     $   (208,742.47)
                                                                                   --------------      ---------------

   8
                               CASH FLOW STATEMENT
                                    JULY 1998



                                                                                                          Projected
                                                                                       Current           For current
                                                                                        Month               Month    
                                                                                   --------------      ---------------
                                                                                                                      
         Receipts:

                  Sales (Cash Only)                                                $                   $                    
                                                                                   --------------      ---------------
                  Collections of Accounts Receivable                               $                   $                    
                                                                                   --------------      ---------------
                  Other Income - HERTH PRINTING DISTRIBUTION                       $     7,000.00      $                    
                                                                                   --------------      ---------------

         Total Receipts                                                            $     7,000.00      $                    
                                                                                   --------------      ---------------

         Disbursements:

                  Purchases and Inventory                                          $                   $                    
                                                                                   --------------      ---------------
                  Salaries and Wages                                               $     4,714.20      $                    
                                                                                   --------------      ---------------
                  Employee Benefits                                                $                   $                    
                                                                                   --------------      ---------------
                  Shipping &  Freight                                              $        60.00      $                    
                                                                                   --------------      ---------------
                  Rent                                                             $                   $                    
                                                                                   --------------      ---------------
                  Secured Debt Payments                                            $                   $                    
                                                                                   --------------      ---------------
                  Outside Services                                                 $       190.00      $                    
                                                                                   --------------      ---------------
                  Telephone                                                        $                   $                    
                                                                                   --------------      ---------------
                  Repairs & Maintenance                                            $                   $                    
                                                                                   --------------      ---------------
                  Miscellaneous Office Expense                                     $       175.70      $                    
                                                                                   --------------      ---------------
                  Advertising                                                      $                   $                    
                                                                                   --------------      ---------------
                  Travel & Entertainment                                           $     1,847.39      $                    
                                                                                   --------------      ---------------
                  Professional Fees                                                $     1,716.12      $                    
                                                                                   --------------      ---------------
                  Court Costs                                                      $                   $                    
                                                                                   --------------      ---------------

         Insurance:        Liability                                               $                   $                    
                                                                                   --------------      ---------------
                           Property                                                $                   $                    
                                                                                   --------------      ---------------
                           Vehicle                                                 $                   $                    
                                                                                   --------------      ---------------
                           Worker's Compensation                                   $                   $                    
                                                                                   --------------      ---------------
                           Other ___________                                       $                   $                    
                                                                                   --------------      ---------------

         Taxes:            Payroll                                                 $     2,568.50      $                    
                                                                                   --------------      ---------------
                           Sales                                                   $                   $                    
                                                                                   --------------      ---------------
                           Income                                                  $                   $                    
                                                                                   --------------      ---------------
                           Real Property                                           $                   $                    
                                                                                   --------------      ---------------
                           Personal Property                                       $                   $                    
                                                                                   --------------      ---------------

         Total Disbursements                                                       $    11,271.91      $                    
                                                                                   --------------      ---------------

         Cash Flow                                                                 $    (4,271.91)     $                    
                                                                                   --------------      ---------------

   9
                              Monthly Questionnaire

I.       Accounts Payable and Receivable Aging:

         Attach an Accounts Payable and Receivable Aging Schedule, identifying
         in chronological (or reverse chronological) order every debt which came
         due after the commencement of the bankruptcy case but has not been
         paid, and specifying the creditor by name and address, the nature of
         the debt (e.g., rent, advertising, wages, etc.), the amount owed and
         the date on which the obligation came due. Provide summary information
         below for both accounts payable and accounts receivable:




                                   Accounts Payable        Accounts Receivable
- ------------------------------------------------------------------------------
                                                                          
Less Than 31 Days Past Due
31 to 60 Days Past Due
61 to 90 Days Past Due
91 to 120 Days Past Due
Over 120 Days Past Due



II.      Payments to Secured Creditors and Lessors:

         Identify every secured Creditor and lessor by name and address, and
         provide the requested information. Where there is a postpetition
         stipulation or court order governing the creditor's treatment, respond
         on the basis of that stipulation or order; otherwise, respond on the
         basis of the prepetition contract or lease.





                                                                  Post Petition  Payments
                             Payment    Periodic    Date of        Made          Missed
                             Period      Payment     Last       ---------------------------   
Creditor Name and Address    (mo/wk)     Amount     Payment     No.   Amount   No.   Amount
- -------------------------------------------------------------------------------------------
                                                                




   10
MONTHLY QUESTIONNAIRE
Page 2

III.     Tax Liability


                                                                          
         Gross Payroll Expense for Report Month:                       $6,200.00
                                                                       ---------

         Gross Sales Subject to Sales Tax for Report Month             $    0.00
                                                                       ---------





                                            Date Paid       Amount Paid           Due But Not Paid        Accrued But Not Due
- ------------------------------------------------------------------------------------------------------------------------------
                                                                                                   
Federal Payroll & Withholding                                                                                   1,758.60
State Payroll & Withholding                                                                                       230.30
State Sales & Use                                                                                               


IV.  Insurance Coverage




                                            Carrier/Agent          Amount of            Policy Expiration        Policy Paid
                                            Name                   Coverage             Date                     Through Date
- ------------------------------------------------------------------------------------------------------------------------------
                                                                                                          
Worker's Compensation Liability
Fire & Extended Coverage
Property
Theft
Vehicle
Life (Beneficiary):
Other (specify):


V.       Postpetition Payments


         A. Has the Debtor made any payments outside of the ordinary course of
         business to any officers, shareholders, directors, other principals or
         insider-employees or to professionals without specific authorization
         under a Bankruptcy Court order? NO

         If the answer is yes, identify each person paid, the date and amount of
         such payment(s) and the basis for each such payment.

         B. Has the Debtor, following the commencement of the bankruptcy case,
         made any payments on account of prepetition unsecured debts, except as
         specifically authorized by the Bankruptcy Court? NO

         If the answer is yes, identify each person paid, the date and amount of
         such payment(s) and the basis for each such payment.
   11
MONTHLY QUESTIONNAIRE
Page 3


VI.      Narrative

         Provide a brief narrative report of any significant events outside of
         the ordinary course of business which occurred during the Report Month:




VII.     U.S. Trustee Fees




                       Total                                                                         Total Quarterly
                       Disbursement                                                                  Fees Due But
Quarter Ending         During Quarter       Quarterly Fee       Amount Paid          Date Paid       Not Paid 
- ---------------------------------------------------------------------------------------------------------------------
                                                                                      





         I declare under penalty of perjury that I have reviewed the income
statement, cash flow statement, projections, balance sheet and monthly
questionnaire attached hereto and, after making reasonable inquiry, believe that
these documents are accurate and correct.

         DATED this 17th day of July, 1998.

                                                 By: /s/ Richard Cascarilla
                                                     ----------------------