MOR-1 UNITED STATES BANKRUPTCY COURT CASE NAME: Xetel Corporation PETITION DATE: 10/21/2002 ----------------- ----------------- CASE NUMBER: 02-14222 DISTRICT OF TEXAS: Western ----------------- ----------------- PROPOSED PLAN DATE: DIVISION: Austin ----------------- ----------------- MONTHLY OPERATING REPORT SUMMARY FOR MONTH ENDED DECEMBER 28, 2002 ||===========================================|============|============|============|============|============|============|| || MONTH | 10/26/2002 | 11/23/2002 | 12/28/2002 | | | || ||-------------------------------------------|------------|------------|------------|------------|------------|------------|| || REVENUES (MOR-6) | 124,469 | 755,326 | 756,175 | 0 | 0 | 0 || ||-------------------------------------------|------------|------------|------------|------------|------------|------------|| || INCOME BEFORE INT; DEPREC./TAX (MOR-6) | -221,525 | -603,861 | -1,163,257 | 0 | 0 | 0 || ||-------------------------------------------|------------|------------|------------|------------|------------|------------|| || NET INCOME (LOSS) (MOR-6) | -237,333 | -1,134,551 | -3,526,213 | 0 | 0 | 0 || ||-------------------------------------------|------------|------------|------------|------------|------------|------------|| || PAYMENTS TO INSIDERS (MOR-9) | 0 | 38,359 | 57,756 | 0 | 0 | 0 || ||-------------------------------------------|------------|------------|------------|------------|------------|------------|| || PAYMENTS TO PROFESSIONALS (MOR-9) | 0 | 0 | 0 | 0 | 0 | 0 || ||-------------------------------------------|------------|------------|------------|------------|------------|------------|| || TOTAL DISBURSEMENTS (MOR-8) | 38,786 | 749,044 | 600,893 | 0 | 0 | 0 || ||===========================================|============|============|============|============|============|============|| ***The original of this document must be filed with the United States Bankruptcy Court and a copy must be sent to the United States Trustee*** |-------------------------------------------| |REQUIRED INSURANCE MAINTAINED | Are all accounts receivable being collected within terms? No | AS OF SIGNATURE DATE EXPIRATION | Are all post-petition liabilities, including taxes, being paid within terms? Yes | DATE | Have any pre-petition liabilities been paid? No |--------------------------- ------------| If so, describe |CASUALTY YES (x) NO ( ) 12/1/2003 | ------------------------------------------------------------------- |LIABILITY YES (x) NO ( ) 12/1/2003 | Are all funds received being deposited into DIP bank accounts? Yes |VEHICLE YES (x) NO ( ) 12/1/2003 | Were any assets disposed of outside the normal course of business? Yes |WORKER'S YES (x) NO ( ) 3/1/2003 | If so, describe Equipment pursuant to court order |OTHER YES ( ) NO ( ) | ------------------------------------------------------------------- |-------------------------------------------| Are all U.S. Trustee Quarterly Fee Payments current? Yes What is the status of your Plan of Reorganization? ---------------------------------- ------------------------------------------------------------------- ATTORNEY NAME: Eric J. Taube I certify under penalty of perjury that the following complete --------------------------------- FIRM NAME: Hohmann & Taube, L.L.P. Monthly Operating Report (MOR), consisting of MOR-1 through --------------------------------- ADDRESS: 100 Congress Avenue MOR-9 plus attachments, is true and correct. --------------------------------- Suite 1600 --------------------------------- CITY, STATE, ZIP: Austin, Texas 78701-4042 SIGNED X /s/ Angelo DeCaro TITLE: President and CEO --------------------------------- TELEPHONE/FAX: (512) 472-5997 (512) 472-5248 (ORIGINAL SIGNATURE) --------------------------------- Angelo DeCaro 1/22/03 MOR-1 (PRINT NAME OF SIGNATORY) DATE Revised 07/01/98 CASE NAME: Xetel Corporation ----------------- CASE NUMBER: 02-14222 ------------ COMPARATIVE BALANCE SHEETS ||================================|================|================|===============|============|==========|==========|==========|| || ASSETS | FILING DATE* | MONTH | MONTH | MONTH | MONTH | MONTH | MONTH || || |================|================|===============|============|==========|==========|==========|| || | 10/21/2002 | 10/26/2002 | 11/23/2002 | 12/28/2002 | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || CURRENT ASSETS | | | | | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || Cash | 81,502 | 500,354 | 1,843,103 | 3,697,232 | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || Accounts Receivable, Net | 5,388,318 | 3,166,032 | 1,709,345 | 323,787 | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || Inventory, net | 4,615,164 | 4,218,774 | 3,842,664 | 2,835,704 | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || Prepaid Expenses | 0 | 275,374 | 217,748 | 133,729 | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || Investments | 0 | 0 | | | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || Other | 0 | 32,886 | 32,886 | 572,886 | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || TOTAL CURRENT ASSETS | 10,084,984 | 8,193,420 | 7,645,746 | 7,563,338 | 0 | 0 | 0 || ||================================|================|================|===============|============|==========|==========|==========|| || PROPERTY, PLANT & EQUIP. @COST | | 19,320,389 | 18,605,634 | 7,564,086 | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || Less Accumulated Depreciation | | 13,955,785 | 13,756,741 | 7,036,806 | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || NET BOOK VALUE OF PP & E | 4,817,411 | 5,364,604 | 4,848,893 | 527,280 | 0 | 0 | 0 || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || OTHER ASSETS | | | | | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || 1. Tax Deposits | | | | | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || 2. Investments in Subsidiaries | | | | | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || 3. Electric Deposit | | | | | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || 4. Deposits | 144,223 | 144,223 | 163,389 | 126,158 | | | || ||--------------------------------|----------------|----------------|---------------|------------|----------|----------|----------|| || TOTAL ASSETS | 15,046,618 | 13,702,247 | 12,658,028 | 8,216,776 | 0 | 0 | 0 || ||================================|================|================|===============|============|==========|==========|==========|| * Per Schedules and Statement of Affairs MOR-2 Revised 07/01/98 Financial Statement Notes: 10/21/2002 See previous filing. 11/23/2002 See previous filing. 12/28/2002 The Company ceased manufacturing operations and wrote off the net book value of leasehold improvements, software, and certain prepaid expenses. The Company transferred certain equipment to Celestica Acquisition Corporation, pursuant to the sale approved by the Bankruptcy Court. The deferred purchase price of $540,000 is included in other current assets. CASE NAME: Xetel Corporation --------------------- CASE NUMBER: 02-14222 ------------- COMPARATIVE BALANCE SHEETS ||==================================|===============|================|=============|=============|==========|==========|==========|| || LIABILITIES & OWNER'S | FILING DATE* | MONTH | MONTH | MONTH | MONTH | MONTH | MONTH || || |===============|================|=============|=============|==========|==========|==========|| || EQUITY | 10/21/2002 | 10/26/2002 | 11/23/2002 | 12/28/2002 | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || LIABILITIES | | | | | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || POST-PETITION LIABILITIES(MOR-4) | 0 | 410 | 26,110 | 36,748 | | | || ||==================================|===============|================|=============|=============|==========|==========|==========|| || PRE-PETITION LIABILITIES | | | | | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || Notes Payable - Unsecured | 1,908,794 | 1,908,794 | 1,908,794 | 1,908,794 | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || Accounts Payable | 17,188,222 | 14,885,233 | 16,233,063 | 15,040,067 | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || Priority Debt | 1,191,766 | 998,771 | 1,148,490 | 1,261,090 | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || Federal Income Tax | 0 | 0 | 0 | | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || FICA/Withholding | 0 | 0 | 0 | | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || Capital Leases | 0 | 752,784 | 752,784 | 752,784 | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || Other | 0 | 2,886,735 | 1,453,818 | 1,608,537 | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || TOTAL PRE-PETITION LIABILITIES | 20,288,782 | 21,432,317 | 21,496,949 | 20,571,272 | 0 | 0 | 0 || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || TOTAL LIABILITIES | 20,288,782 | 21,432,727 | 21,523,059 | 20,608,020 | 0 | 0 | 0 || ||==================================|===============|================|=============|=============|==========|==========|==========|| || OWNER'S EQUITY (DEFICIT) | | | | | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || PREFERRED STOCK | 0 | 0 | | | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || COMMON STOCK | 23,314,803 | 23,314,803 | 23,314,803 | 23,314,803 | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || OTHER | 2,250,983 | | | | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || RETAINED EARNINGS: | | | | | | | || || Filing Date | -30,807,950 | -30,807,950 | -30,807,950 | -30,807,950 | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || RETAINED EARNINGS: | | | | | | | || || Post Filing Date | | -237,333 | -1,371,884 | -4,898,097 | | | || ||----------------------------------|---------------|----------------|-------------|-------------|----------|----------|----------|| || TOTAL OWNER'S EQUITY (NET WORTH) | -5,242,164 | -7,730,480 | -8,865,031 | -12,391,244 | 0 | 0 | 0 || ||==================================|===============|================|=============|=============|==========|==========|==========|| || TOTAL | | | | | | | || || LIABILITIES & | | | | | | | || || OWNERS EQUITY | 15,046,618 | 13,702,247 | 12,658,028 | 8,216,776 | 0 | 0 | 0 || ||==================================|===============|================|=============|=============|==========|==========|==========|| * Per Schedules and Statement of Affairs MOR-3 Revised 07/01/98 Financial Statement Notes: 10/21/2002 See previous filing. 10/26/2002 See previous filing. 11/23/2002 See previous filing. 12/28/2002 Priority Debt increased due to monthly property tax and franchise tax accrual. Accounts Payable decreased due to (i) the assumption of certain liabilities by Celestica Acquisition Corp. and (ii) the application of certain accounts payable to the Company's customers to accounts receivable from those same customers. CASE NAME: Xetel Corporation ----------------- CASE NUMBER: 02-14222 ----------------- SCHEDULE OF POST-PETITION LIABILITIES ||======================================|=============|=============|=============|=============|=============|=============|| || | MONTH ENDED | MONTH ENDED | MONTH ENDED | MONTH ENDED | MONTH ENDED | MONTH ENDED || || | 10/21/02 - | | | | | || || | 10/26/02 | 11/23/2002 | 12/28/2002 | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || TRADE ACCOUNTS PAYABLE | 410 | 1,110 | 1,748 | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || TAX PAYABLE | | | | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || Federal Payroll Taxes | 0 | | | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || State Payroll Taxes | 0 | | | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || Ad Valorem Taxes | 0 | | | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || Other Taxes SUTA & FUTA | 0 | | | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || TOTAL TAXES PAYABLE | 0 | 0 | 0 | 0 | 0 | 0 || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || SECURED DEBT POST-PETITION | 0 | | | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || ACCRUED INTEREST PAYABLE | 0 | | | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || ACCRUED PROFESSIONAL FEES* | 0 | 25,000 | 35,000 | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || OTHER ACCRUED LIABILITIES | | | | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || 1. | | | | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || 2. | | | | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || 3. | | | | | | || ||--------------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|| || TOTAL POST-PETITION | | | | | | || || LIABILITIES (MOR-3) | 410 | 26,110 | 36,748 | 0 | 0 | 0 || ||======================================|=============|=============|=============|=============|=============|=============|| *Payment requires Court Approval MOR-4 Revised 07/01/98 CASE NAME: Xetel Corporation ----------------- CASE NUMBER: 02-14222 ----------------- AGING OF POST-PETITION LIABILITIES MONTH 12/28/2002 ------------------- ||==================|==================|==============|==============|==============|===============|=============|| || DAYS | TOTAL | TRADE | FEDERAL | STATE | AD VALOREM, | OTHER || || | | ACCOUNTS | TAXES | TAXES | OTHER TAXES | || ||==================|==================|==============|==============|==============|===============|=============|| || 0-30 | 4,211 | 4,211 | | | | || ||------------------|------------------|--------------|--------------|--------------|---------------|-------------|| || 31-60 | -2,462 | -2,462 | | | | || ||------------------|------------------|--------------|--------------|--------------|---------------|-------------|| || 61-90 | 0 | | | | | || ||------------------|------------------|--------------|--------------|--------------|---------------|-------------|| || 91+ | 0 | | | | | || ||------------------|------------------|--------------|--------------|--------------|---------------|-------------|| || TOTAL | 1,748 | 1,748 | 0 | 0 | 0 | 0 || ||==================|==================|==============|==============|==============|===============|=============|| AGING OF ACCOUNTS RECEIVABLE ||==================|==================|==============|==============|==============|==============|==============|| || | | | | | | || || |==================|==============|==============|==============|==============|==============|| || MONTH | 10/26/2002 | 11/23/2002 | 12/28/2002 | | | || || |------------------|--------------|--------------|--------------|--------------|--------------|| || | | | | | | || ||==================|==================|==============|==============|==============|==============|==============|| || 0-30 DAYS | 1,712,031 | 702,774 | 587,947 | | | || ||------------------|------------------|--------------|--------------|--------------|--------------|--------------|| || 31-60 DAYS | 838,205 | 1,241,368 | 98,692 | | | || ||------------------|------------------|--------------|--------------|--------------|--------------|--------------|| || 61-90 DAYS | 1,121,105 | 203,326 | 61,877 | | | || ||------------------|------------------|--------------|--------------|--------------|--------------|--------------|| || 91+ DAYS | 1,372,303 | 830,567 | 1,089,598 | | | || ||------------------|------------------|--------------|--------------|--------------|--------------|--------------|| || Unapplied Cash | -125,566 | -270,276 | -173,977 | | | || ||------------------|------------------|--------------|--------------|--------------|--------------|--------------|| || Other | 21,324 | 48,557 | 30,434 | | | || ||------------------|------------------|--------------|--------------|--------------|--------------|--------------|| || Note Receivable | 201,047 | 201,047 | 201,047 | | | || ||------------------|------------------|--------------|--------------|--------------|--------------|--------------|| || Allowance | -1,974,417 | -1,248,019 | -1,571,831 | | | || ||------------------|------------------|--------------|--------------|--------------|--------------|--------------|| || TOTAL | 3,166,032 | 1,709,345 | 323,787 | 0 | 0 | 0 || ||==================|==================|==============|==============|==============|==============|==============|| MOR-5 Revised 07/01/98 CASE NAME: Xetel Corporation ----------------- CASE NUMBER: 02-14222 ----------------- STATEMENT OF INCOME (LOSS) ||================================|=============|=============|=============|=============|=============|=============|===========|| || | MONTH ENDED | MONTH ENDED | MONTH ENDED | MONTH ENDED | MONTH ENDED | MONTH ENDED | FILING TO || || | 10/22/02- | | | | | | || || | 10/26/02 | 11/23/2002 | 12/28/2002 | | | | DATE || ||================================|=============|=============|=============|=============|=============|=============|===========|| || REVENUES (MOR-1) | 124,469 | 755,326 | 756,175 | | | | 1,635,970 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || TOTAL COST OF REVENUES | 295,617 | 1,110,683 | 1,708,960 | | | | 3,115,260 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || GROSS PROFIT | -171,148 | -355,357 | -952,785 | 0 | 0 | 0 |-1,479,290 || ||================================|=============|=============|=============|=============|=============|=============|===========|| || OPERATING EXPENSES: | | | | | | | || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || Selling & Marketing | | | | | | | 0 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || General & Administrative | 50,377 | 120,394 | 144,499 | | | | 315,270 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || Insiders Compensation | | 31,284 | 48,942 | | | | 80,226 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || Professional Fees | | 96,826 | 17,031 | | | | 113,857 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || Other | | | | | | | 0 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || Other | | | | | | | 0 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || TOTAL OPERATING EXPENSES | 50,377 | 248,504 | 210,472 | 0 | 0 | 0 | 509,353 || ||================================|=============|=============|=============|=============|=============|=============|===========|| || INCOME BEFORE INT, | | | | | | | || || DEPR/TAX (MOR-1) | -221,525 | -603,861 | -1,163,257 | 0 | 0 | 0 |-1,988,643 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || INTEREST EXPENSE | 7,200 | 23,967 | | | | | 31,167 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || DEPRECIATION | 8,608 | 137,226 | 33,416 | | | | 179,250 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || OTHER (INCOME) EXPENSE* | | | | | | | 0 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || OTHER ITEMS** | | 369,497 | 2,329,540 | | | | 2,699,037 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || TOTAL INT, DEPR & OTHER ITEMS | 15,808 | 530,690 | 2,362,956 | 0 | 0 | 0 | 2,909,454 || ||================================|=============|=============|=============|=============|=============|=============|===========|| || NET INCOME BEFORE TAXES | -237,333 | -1,134,551 | -3,526,213 | 0 | 0 | 0 |-4,898,097 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || FEDERAL INCOME TAXES | 0 | | | | | | 0 || ||--------------------------------|-------------|-------------|-------------|-------------|-------------|-------------|-----------|| || NET INCOME (LOSS) (MOR-1) | -237,333 | -1,134,551 | -3,526,213 | 0 | 0 | 0 |-4,898,097 || ||================================|=============|=============|=============|=============|=============|=============|===========|| Accrual Accounting Required, Otherwise Footnote with Explanation. * Footnote Mandatory. * * Unusual and/or infrequent item(s) outside the ordinary course of business requires footnote. MOR-6 Revised 07/01/98 11/23/2002 See previous filing. 12/28/2002 Other items include the losses from the write-off of leasehold improvements, software, and prepaid expenses associated with the cessation of manufacturing operations. These losses were offset in part by a gain on the sale of certain assets to Celestica Acquisition Corp. CASE NAME: Xetel Corporation ----------------- CASE NUMBER: 02-14222 ----------------- ||=======================================|===========|============|============|===========|===========|===========|===========|| || CASH RECEIPTS AND | MONTH | MONTH | MONTH | MONTH | MONTH | MONTH | FILING || || DISBURSEMENTS | ENDED | ENDED | ENDED | ENDED | ENDED | ENDED | TO || || | 10/22/02- | 11/23/2002 | 12/28/2002 | | | | DATE || || | 10/26/02 | | | | | | || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || 1. CASH-BEGINNING OF MONTH | 81,502 | 500,354 | 1,843,103 | 3,697,232 | 3,697,232 | 3,697,232 | 81,502 || ||=======================================|===========|============|============|===========|===========|===========|===========|| || RECEIPTS: | | | | | | | || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || 2. CASH SALES | 0 | | | | | | 0 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || 3. COLLECTION OF ACCOUNTS RECEIVABLE | 452,889 | 1,999,894 | 1,610,645 | | | | 4,063,428 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || 4. LOANS & ADVANCES (attach list) | | | | | | | 0 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || 5. SALE OF ASSETS | | | 818,815 | | | | 818,815 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || 6. OTHER (attach list) | 4,750 | 91,898 | 25,562 | | | | 122,211 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || TOTAL RECEIPTS** | 457,639 | 2,091,792 | 2,455,022 | 0 | 0 | 0 | 5,004,453 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || (Withdrawal) Contribution by | | | | | | | || || Individual Debtor MFR-2* | | | | | | | 0 || ||=======================================|===========|============|============|===========|===========|===========|===========|| || DISBURSEMENTS: | | | | | | | || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || 7. NET PAYROLL | | 272,770 | 287,311 | | | | 560,081 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || 8. PAYROLL TAXES PAID | | 79,455 | 83,283 | | | | 162,738 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || 9. SALES, USE & OTHER TAXES PAID | | 17,265 | 3,922 | | | | 21,186 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||10. SECURED/RENTAL/LEASES | | 179,883 | 168,750 | | | | 348,633 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||11. UTILITIES & TELEPHONE & FREIGHT | 2,500 | 26,986 | 34,250 | | | | 63,736 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||12. INSURANCE | | 59,899 | | | | | 59,899 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||13. INVENTORY PURCHASES | 308 | 15,871 | 1,372 | | | | 17,551 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||14. VEHICLE EXPENSES | | | | | | | 0 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||15. TRAVEL & ENTERTAINMENT | | 1,905 | 5,783 | | | | 7,688 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||16. REPAIRS, MAINTENANCE & SUPPLIES | | 7,015 | 10,996 | | | | 18,011 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||17. ADMINISTRATIVE & SELLING | | 8,470 | 5,226 | | | | 13,696 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||18. OTHER (attach list) | 35,978 | 79,525 | | | | | 115,503 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || TOTAL DISBURSEMENTS FROM OPERATIONS | 38,786 | 749,044 | 600,893 | 0 | 0 | 0 | 1,388,723 || ||=======================================|===========|============|============|===========|===========|===========|===========|| ||19. PROFESSIONAL FEES | | | | | | | 0 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||20. U.S. TRUSTEE FEES | | | | | | | 0 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||21. OTHER REORGANIZATION EXPENSES | | | | | | | 0 || || (attach list) | | | | | | | || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| || TOTAL DISBURSEMENTS** | 38,786 | 749,044 | 600,893 | 0 | 0 | 0 | 1,388,723 || ||=======================================|===========|============|============|===========|===========|===========|===========|| ||22. NET CASH FLOW | 418,852 | 1,342,749 | 1,854,129 | 0 | 0 | 0 | 3,615,730 || ||---------------------------------------|-----------|------------|------------|-----------|-----------|-----------|-----------|| ||23. CASH - END OF MONTH (MOR-2) | 500,354 | 1,843,103 | 3,697,232 | 3,697,232 | 3,697,232 | 3,697,232 | 3,697,232 || ||=======================================|===========|============|============|===========|===========|===========|===========|| * Applies to Individual debtors only MOR-7 **Numbers for the current month should balance (match) Revised 07/01/98 RECEIPTS and CHECKS/OTHER DISBURSEMENTS lines on MOR-8 11/23/2002 Other Receipts: Inventory Sales 25,105 Other 457 --------- 25,562 ========= CASE NAME: Xetel Corporation ----------------- CASE NUMBER: 02-14222 ----------------- CASH ACCOUNT RECONCILIATION MONTH OF 28-Dec-02 ------------------ ||======================================|===============|==============|===============|===============|================| || | Silicon | Comerica | Silicon | Comerica | Silicon | || BANK NAME | Valley Bank | Bank | Valley Bank | Bank | Valley Bank | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || ACCOUNT NUMBER | xxxxxx | xxxxxx | xxxxxx | xxxxxx | xxxxxx | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || ACCOUNT TYPE | DIP Operating | PAYROLL | Old Operating |Cafeteria Plan |Cash Collateral | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || BANK BALANCE (Ending) | 2,811,849 | 71,117 | 0 | 3,625 | 851,755 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || DEPOSITS IN TRANSIT/OUTGOING WIRE | 853,398 | | | | -851,755 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || OUTSTANDING CHECKS | 5,456 | 42,553 | | | | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || ADJUSTED BANK BALANCE | 3,659,792 | 28,564 | 0 | 3,625 | 0 | ||======================================|===============|==============|===============|===============|================| || BEGINNING CASH - PER BOOKS | 1,662,096 | 175,155 | 0 | 3,649 | 0 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || RECEIPTS* | 810,000 | | | | | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || TRANSFERS BETWEEN ACCOUNTS | 1,419,564 | 220,548 | | | | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || (WITHDRAWAL) OR CONTRIBUTION BY | | | | | | || INDIVIDUAL DEBTOR MFR-2 | | | | | | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || CHECKS/OTHER DISBURSEMENTS* | -231,868 | -367,049 | | -23 | | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || RECONCILING ITEMS | 0 | | | | | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || ENDING CASH - PER BOOKS 10/26/02 | 3,659,792 | 28,564 | 0 | 3,625 | 0 | ||======================================|===============|==============|===============|===============|================| ||======================================|===============|==============|===============|===============|================| || BANK NAME | Chase | Chase | Chase | Petty Cash | | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || ACCOUNT NUMBER | xxxxxx | xxxxxx | xxxxxx | | | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || ACCOUNT TYPE | Austin Lockbox|Dallas Lockbox| Old Operating| | TOTAL | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || BANK BALANCE (Ending) | 500 | 1,143 | 4,822 | 429 | 2,893,486 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || DEPOSITS IN TRANSIT/OUTGOING WIRE | -500 | -1,143 | | | 851,755 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || OUTSTANDING CHECKS | | | | | 48,009 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || ADJUSTED BANK BALANCE | 0 | 0 | 4,822 | 429 | 3,697,232 | ||======================================|===============|==============|===============|===============|================| || BEGINNING CASH - PER BOOKS | 0 | 0 | 1,775 | 429 | 1,843,103 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || RECEIPTS* | 1,244,528 | 400,494 | | | 2,455,022 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || TRANSFERS BETWEEN ACCOUNTS | -1,244,528 | -400,494 | 5,000 | | 0 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || (WITHDRAWAL) OR CONTRIBUTION BY | | | | | | || INDIVIDUAL DEBTOR MFR-2 | | | | | 0 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || CHECKS/OTHER DISBURSEMENTS* | | | -1,953 | | -600,893 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || RECONCILING ITEMS | | | | | 0 | ||--------------------------------------|---------------|--------------|---------------|---------------|----------------| || ENDING CASH - PER BOOKS | 0 | 0 | 4,822 | 429 | 3,697,232 | ||======================================|===============|==============|===============|===============|================| MOR-8 *Numbers should balance (match) TOTAL RECEIPTS and Revised 07/01/98 TOTAL DISBURSEMENTS lines on MOR-7 CASE NAME: Xetel Corporation ----------------- CASE NUMBER: 02-14222 ----------------- PAYMENTS TO INSIDERS AND PROFESSIONALS Of the total disbursements shown for the month, list the amount paid to insiders (as defined in Section 101(31)(A)-(F) of the U.S. Bankruptcy Code) and the professionals. Also, for insiders, identify the type of compensation paid (e.g., salary, commission, bonus, etc.) (Attach additional pages as necessary). ||=================================|=============|=============|=============|============|=============|=============|| || | MONTH ENDED | MONTH ENDED | MONTH ENDED | MONTH ENDED| MONTH ENDED | MONTH ENDED || || INSIDERS: NAME/COMP TYPE | 10/26/2002 | 11/23/2002 | 12/28/2002 | | | || || | | | | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 1. Angelo Decaro/Gross Salary | | 18,846 | 30,154 | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 2. William Peten/Gross Salary | | 14,230 | 17,788 | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 3. Angelo Decaro/Expenses | | 5,283 | 8,814 | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 4. William Peten/Retention Bonus per court order | 1,000 | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 5. | | | | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 6. | | | | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || TOTAL INSIDERS (MOR-1) | 0 | 38,359 | 57,756 | 0 | 0 | 0 || ||=================================|=============|=============|=============|============|=============|=============|| ||=================================|=============|=============|=============|============|=============|=============|| || | MONTH ENDED | MONTH ENDED | MONTH ENDED | MONTH ENDED| MONTH ENDED | MONTH ENDED || || PROFESSIONALS | 10/26/2002 | 11/23/2002 | 12/28/2002 | | | || || | | | | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 1. | | | | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 2. | | | | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 3. | | | | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 4. | | | | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 5. | | | | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || 6. | | | | | | || ||---------------------------------|-------------|-------------|-------------|------------|-------------|-------------|| || TOTAL PROFESSIONALS (MOR-1) | 0 | 0 | 0 | 0 | 0 | 0 || ||=================================|=============|=============|=============|============|=============|=============|| MOR-9 Revised 07/01/98