SECURITIES AND EXCHANGE COMMISSION Washington, DC 20549 FORM 10-Q / A Current Report Pursuant to Section 13 or 15(d) of The Securities Exchange Act of 1934 Date of Report (Date of earliest event reported) April 30, 2000. MIRADOR DIVERSIFIED SERVICES, INC. (Formerly TCT Financial Group B, Inc.) Nevada 0-28197 88-0431561 (State or other (Commission (IRS Employer jurisdiction of File Number) Identification No.) incorporation) 675 Lynnhaven Parkway 2nd Floor, Virginia Beach VA 23452 (Address of Principal Executive offices) Registrant's telephone number, including area code: (757) 463-9646, fax (757) 463-9690 This amendment is to clearly define the consolidated financial statement of Mirador Diversified Services, Inc. There are no other changes reflected in this amendment. Item 7. Financial Statements and Exhibits Mirador Diversified Services, Inc. Consolidated Balance Sheet Balance Sheet As of April 30, 2000 April 30 ASSETS Current Assets Bank One 374.11 Keybank Operating -12,829.96 Total Checking/Savings -12,455.85 Accounts Receivable Accounts Receivable 15,000.00 Total Accounts Receivable 15,000.00 Other Current Assets Fixed Assets Accumulated Depreciation Computers -19,132.40 Furniture & Fixtures -22,424.83 Vehicles -15,448.58 Total Accumulated Depreciation -57,005.81 Equipment Computers 30,701.87 Vehicles 24,530.23 Equipment Other 149.00 Total Equipment 55,381.10 Furniture & Fixtures 25,606.03 Total Fixed Assets Other Assets Investment 400.00 Investment Arrngton Homes 28,914.69 Mortgage Loan Receivable 34,250.26 Organizational Costs 400.00 Refundable Deposits 850.00 Total Other Assets 64,814.95 TOTAL ASSETS 96,211.80 LIABILITIES & EQUITY Liabilities Current Liabilities Accounts Payable Accounts Payable 20,837.48 Total Accounts Payable 20,837.48 Other Current Liabilities Bank Loan LOC 14,627.62 Note Payable TB Financial -98,731.91 Note Payable Other -9,003.12 Total Note Payable -107,735.03 Payroll Liabilities OCC Withholding -63.53 Payroll Liabilities Other 11,153.68 Total Payroll Liabilities 11,090.15 Total Other Current Liabilities -82,017.26 Total Current Liabilities -61,179.78 Total Liabilities Equity Additional Paid in Capital 160,000.00 Common Stock 69,105.11 Opening Bal Equity -3,658.89 Retained Earnings -59,881.30 Net Income -8,173.34 Total Equity 157,391.58 TOTAL LIABILITIES & EQUITY 96,211.80 Mirador Diversified Services, Inc. Consolidated P&L Year-to-Date Comparison Apr, Feb - '00 Apr '00 Ordinary Income/Expense Income Fees 25,101.23 106,307.23 Total Income 25,101.23 106,307.23 Expense Advertising - 485.81 Automobile Expense 1,051.67 1,071.67 Bank Service Charges 35.62 1,201.81 Commission 56.21 5,661.08 Cost of Sales Appraisal Fees 2,675.00 11,010.00 Credit Reports 42.00 3,042.00 Freight/Express - 530.84 Origination Labor Costs - 250.00 Cost of Sales/Other 900.00 1,299.23 Total Cost of Sales 3,617.00 16,132.07 Insurance Liability Insurance - 307.21 Insurance - Other 2,382.97 6,752.33 Total Insurance 2,382.97 7,059.54 Interest Expense Finance Charge 29.27 162.94 Total Interest Expense 29.27 162.94 Licenses and Permits 25.00 540.00 Office Supplies 200.00 4,305.29 Outside Services 5,038.67 29,369.09 Payroll Expenses Officer Salary 2,296.80 8,253.00 Payroll Expenses - 3,876.94 11,672.83 Other Total Payroll Expenses 6,173.74 19,925.83 Postage and Delivery - 400.00 Printing and Reproduction - 2,118.41 Professional Fees Accounting - 3,540.00 Legal Fees - 52.50 Total Professional Fees - 3,592.50 Rent 1,678.25 3,555.50 Repairs 643.80 2,357.50 Telephone 1,639.72 6,969.91 Travel & Ent Entertainment - 261.48 Meals 31.92 31.92 Travel & Ent - Other - 1,000.00 Total Travel & Ent 3,502.76 7,564.24 Uncategorized Expenses - - Utilities Gas and Electric 1,159.83 2,007.17 Total Utilities 1,159.83 2,007.17 Total Expense 27,234.51 114,480.36 Net Ordinary Income (2,133.28) (8,173.34) Net Income (2,133.28) (8,173.34)