-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, C2TlxOu/+S/SWKrZHZ9fos9F6gOE4qS0kK1iJMN+uCrvfkE4t06zG7jctZf7Pkjp M9uYNQE1A3mVcMf77K8rCQ== 0000912057-02-001605.txt : 20020413 0000912057-02-001605.hdr.sgml : 20020413 ACCESSION NUMBER: 0000912057-02-001605 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 9 CONFORMED PERIOD OF REPORT: 20020116 ITEM INFORMATION: Bankruptcy or receivership ITEM INFORMATION: Financial statements and exhibits FILED AS OF DATE: 20020116 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SUPERIOR NATIONAL INSURANCE GROUP INC CENTRAL INDEX KEY: 0000810463 STANDARD INDUSTRIAL CLASSIFICATION: FIRE, MARINE & CASUALTY INSURANCE [6331] IRS NUMBER: 954610936 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 000-25984 FILM NUMBER: 2510985 BUSINESS ADDRESS: STREET 1: 26541 AGOURA RD CITY: CALABASAS STATE: CA ZIP: 91302 BUSINESS PHONE: 8188801600 MAIL ADDRESS: STREET 1: 26541 AGOURA ROAD CITY: CALABASAS STATE: CA ZIP: 91302 8-K 1 a2067871z8-k.htm FORM 8-K Prepared by MERRILL CORPORATION
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SEC 873 (10/2000)   Potential persons who are to respond to the collection of information contained in this form are not required to respond unless the form displays a currently valid OMB control number.

    UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, DC 20549

FORM 8-K

CURRENT REPORT
Pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934
 
OMB APPROVAL

OMB Number:      3235-0060
Expires: March 31, 2003
Estimated average burden hours per response .... 1.25

Date of Report (Date of earliest event reported) January 16, 2002

SNTL Corporation
Exact name of registrant as specified in its charter)

Delaware
(State or other jurisdiction of incorporation)
  0-25984
(Commission File Number)
  95-4610936
(IRS Employer Identification No.)
30101 Agoura Court #222, Agoura Hills, California
(Address of principal executive offices)
  91301
(Zip Code)

Registrant's telephone number, including area code (818) 597-0042

Superior National Insurance Group, Inc.
(Former name or former address, if changed since last report.)



INFORMATION TO BE INCLUDED IN THE REPORT

Item 3.    Bankruptcy.

        SNTL Corporation, along with its subsidiaries, SNTL Holdings Corporation (formerly, Business Insurance Group, Inc.), SN Insurance Administrators, Inc. and SN Insurance Services, Inc., filed their November of 2001 Monthly Debtor in Possession Operating Reports and their November of 2001 Debtor in Possession Interim Statements with the United States Bankruptcy Court for the Central District of California, copies of which are attached hereto as Exhibit 99.139 through Exhibit 99.146.

      THE MONTHLY OPERATING REPORTS CONTAIN FINANCIAL STATEMENTS AND OTHER FINANCIAL INFORMATION THAT HAVE NOT BEEN AUDITED OR REVIEWED BY INDEPENDENT ACCOUNTANTS AND MAY BE SUBJECT TO FUTURE RECONCILIATION AND ADJUSTMENTS.

Item 7.    Financial Statements and Exhibits.

    (a)
    Financial Statements of Businesses Acquired.

            Not Applicable.

    (b)
    Pro Forma Financial Information.

            Not Applicable.

    (c)
    Exhibits.

 
  Exhibit No.
  Description


 

 

99.139

 

Debtor in Possession Operating Report for the period from November 1, 2001 to November 30, 2001 (SNTL Corporation) with Schedules A through F.

 

 

99.140

 

Debtor in Possession Operating Report for the period from November 1, 2001 to November 30, 2001 (SNTL Holdings Corporation)(
see Exhibit 99.139 for Schedules A through F).

 

 

99.141

 

Debtor in Possession Operating Report for the period from November 1, 2001 to November 30, 2001 (SN Insurance Administrators, Inc.)(
see Exhibit 99.139 for Schedules A through F).

 

 

99.142

 

Debtor in Possession Operating Report for the period from November 1, 2001 to November 30, 2001 (SN Insurance Services, Inc.)(
see Exhibit 99.139 for Schedules A through F).

 

 

99.143

 

Debtor in Possession Interim Statement for the period from November 1, 2001 to November 30, 2001 (SNTL Corporation).

 

 

99.144

 

Debtor in Possession Interim Statement for the period from November 1, 2001 to November 30, 2001 (SNTL Holdings Corporation).

 

 

99.145

 

Debtor in Possession Interim Statement for the period from November 1, 2001 to November 30, 2001 (SN Insurance Administrators, Inc.).

 

 

99.146

 

Debtor in Possession Interim Statement for the period from November 1, 2001 to November 30, 2001 (SN Insurance Services, Inc.).

2



SIGNATURES

        Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.

        SNTL CORPORATION
(Registrant)

Date

 

January 16, 2002


 

/s/ ALEX CORBETT

(Signature)*
        Alex Corbett
Senior Vice President and Chief Financial Officer

*    Print name and title of the signing officer under his signature.

3




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INFORMATION TO BE INCLUDED IN THE REPORT
SIGNATURES
EX-99.139 3 a2067871zex-99_139.htm EXHIBIT 99.139 Prepared by MERRILL CORPORATION
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Exhibit 99.139


OFFICE OF THE UNITED STATES TRUSTEE

IN RE:   )   DEBTOR IN POSSESSION OPERATING REPORT
    )        
SNTL CORPORATION
  )   REPORT NUMBER  20   Page 1 of 3
(formerly SUPERIOR NATIONAL INSURANCE GROUP)
  )   FOR THE PERIOD FROM: 01-Nov-01
DEBTOR   )   TO: 30-Nov-01            
    )        

       
CHAPTER 11 CASE NO. SV00-14099-GM   )        

       

1. Profit and Loss Statement

 

Please see Attached Schedule A
A. Related to Business Operations:            
  Gross Sales  
       
  Less Sales Returns and Discounts  
       
    Net Sales      
   
  Less: Cost of Goods Sold            
    Beginning Inventory at Cost  
       
    Add: Purchases  
       
    Less: Ending Inventory at Cost  
       
      Cost of Goods Sold      
   
  Gross Profit          
  Other Operating Revenue (Specify)          
Less: Operating Expenses            
  Officer Compensation  
       
  Salaries & Wages — Other Employees  
       
    Total Salaries & Wages      
   
    Employee Benefits      
   
  Payroll Taxes  
       
  Real Estate Taxes  
       
  Federal and State Income Taxes  
       
    Total Taxes      
   
  Rent and Lease Exp. (Real and Personal Property)  
       
  Interest Expense (Mortgage, Loan, etc.)  
       
  Insurance  
       
  Automobile Expense  
       
  Utilities (Gas, Electric, Water, Telephone, etc.)  
       
  Depreciation and Amortization  
       
  Repairs and Maintenance  
       
  Advertising  
       
  Supplies, Office Expenses, Photocopies, etc.  
       
  Bad Debts  
       
  Miscellaneous Operating Expenses (Specify)  
       
    Total Operating Expenses      
   
  Net Gain/(Loss) from Business Operations          
B. Not Related to Business Operations          
  Income:            
    Interest Income      
   
    Other Non-Operating Revenues (Specify)      
   
    Gross Proceeds on Sale of Assets  
       
    Less: Original Cost of Assets plus Expenses of Sale  
       
      Net Gain/(Loss) on Sale of Assets      
   
    Total Non-Operating Income          
  Expenses Not Related to Business Operations:            
    Legal and Professional Fees      
   
    Other Non-Operating Revenues (Specify)      
   
      Total Non-Operating Expenses          
  NET INCOME /(LOSS) FOR PERIOD          

Revised April 1989   OPERATING REPORT   UST-4



DEBTOR IN POSSESSION OPERATING REPORT NO. 20

    Page 2 of 3

2. Aging of Accounts Payable and Receivable (exclude pre-petition debt from accounts payable):

 
   
  Accounts Payable
  Accounts Receivable
Current   Under 30 days   $0   $0
Overdue   31—60 days   $0   $0
Overdue   61—90 days   PLEASE SEE ATTACHED SCHEDULE B
Overdue   91—120 days   $0   $0
Overdue   121 + days   $0   $0
Total       $0   $0

3. Statement of Status of Payments to Secured Creditors and Lessors:

 
   
   
   
  Post-Petition
Payments Not Made

Creditor/Lessor

  Frequency of
Payments per
Lease/Contract

  Amount of
Each Payment

  Next Payment Due
  Number
  Amount
    NONE                

4. Tax Liability:

Gross Payroll Expense For Period   $ 81,890
Gross Sales for Period Subject to Sales Tax   $ 0

 

 

Date Paid


 

Amount Paid *


 

Post Petition Taxes
Still Owing

Federal Payroll and Withholding Taxes   11/15/01 & 11/30/01   $22,829   0
State Payroll and Withholding Taxes   11/15/01 & 11/30/01   $4,517   0
State Sales and Use Tax   N/A   $0   N/A
Real Property Taxes   N/A   $0   N/A

        ALL PAYROLL TAXES PAID BY ADP
        * Attach photocopies of depository receipts from taxing authority or financial institution to verify that such deposits or payments have been made.

5. Insurance Coverage

 
  Carrier/
Agent

  Amount of
Coverage

  Policy
Exp. Date

  Premium Paid
Thru Date

Worker's Compensation   See Schedule D            
Liability   See Schedule E            
Fire and Extended Coverage   See Schedule E            
Property   See Schedule E            
Theft   See Schedule E            
Life (Beneficiary:                        )   See Schedule E            
Vehicle   See Schedule E            
Other   See Schedule E            


DEBTOR IN POSSESSION OPERATING REPORT NO. 20

    Page 3 of 3

6. Questions:

A.   Has the Debtor provided to any officers, directors, shareholders, or other principals compensation without the approval of the Office of the United States Trustee?
                  : Yes   Explain:  
    X        : No        
B.   Has the Debtor, subsequent to the filing of the petition made any payments on its pre-petition unsecured debt, except as have been authorized by the Court?
                  : Yes   Explain:  
    X        : No        

7. Statement of Unpaid Professional Fees (Post-Petition Only):

Name of Professional

  Type
Professional

  Post-Petition
Unpaid Total

See Schedule F        

8. Narrative Report of Significant Events And Events Out Of The Ordinary Course Of Business:

9. Quarterly Fees: (This Fee must be paid to the United States Trustee every calendar quarter)

Quarterly
Period Ending

  Quarterly
Disbursements
for Quarter

  Quarterly
Fee

  Date Paid
  Amount Paid
  Check No.
  Quarterly
Fee Still Owing


 

 

 

 

 

 

 

 

 

 

 

 

 

I, Alex Corbett — Chief Financial Officer, declare under penalty of perjury that the information contained in the above Debtor in Possession Operating Report is true and complete to the best of my knowledge.

Dated:   1-10-2002
  Signed:   /s/ Alex Corbett


Schedule of Operations
One Month ended November 30, 2001
[Bankruptcy Filed April 16, 2000]
[unaudited]

(In thousands)

  SNTL
(formerly SNIG)

  SNTLHC
(formerly BIG)

  SNIA
  SNIS
  Elimination
  Consolidated
Total

 
Revenues:                                      
Commission income   $   $   $   $ (9 ) $   $ (9 )
Net investment income     3     2     1     18         24  
   
 
 
 
 
 
 
  Total Revenues     3     2     1     9         15  
   
 
 
 
 
 
 
Expenses:                                      
Interest expense     657                     657  
Bad debt expense             (A)   (26 )(A)       (26 )
General and administrative                                      
Other     (182 )   (1 )   127     750         694  
   
 
 
 
 
 
 
Total Expenses     475     (1 )   127     724         1,325  
   
 
 
 
 
 
 
Income (loss) before income taxes and preferred securities dividends and accretion     (472 )   3     (126 )   (715 )       (1,310 )
Income tax (benefit) expense                 3 (B)       3  
   
 
 
 
 
 
 
Income (loss) before preferred securities dividends and accretion     (472 )   3     (126 )   (718 )       (1,313 )
Preferred securities dividends and accretion     (1,143 )                   (1,143 )
Expenses not related to business operations:                                      
  Legal and Professional Fees     (76 )                   (76 )
  Other non-operating expenses     (1 )                   (1 )
   
 
 
 
 
 
 
      (1,692 )   3     (126 )   (718 )       (2,533 )
Equity in net income (loss) from subsidiaries     (841 )   (844 )           1,685      
   
 
 
 
 
 
 
Net (Loss) Income   $ (2,533 ) $ (841 ) $ (126 ) $ (718 ) $ 1,685   $ (2,533 )
   
 
 
 
 
 
 
(A)
Amount reflects a recording of an allowance for bad debt on collection of commissions receivable. Debtor continues to assert rights of offset and other methods to effectuate collection.

(B)
All amount reflect tax expense associated with the payment of taxes to various state tax authorities.


SCHEDULE B

SNTL Corporation and Subsidiaries in Bankruptcy
Aging of Accounts Payable and Receivable
As of November 30, 2001

SNTL Corporation
(formerly Superior National Insurance Group)

 
   
  Non-Intercompany Accounts
  Intercompany Accounts
 
 
   
  Accounts Payable
  Accounts Receivable
  Accounts Payable
  Accounts Receivable
 
Current   Under 30 days     633,411             348,039  
Overdue   31—60 days     532,834             711,738  
Overdue   61—90 days     300,000             119,929  
Overdue   91—120 days     10,658             36,560  
Overdue   121 + days     895,404     144,553     5,161,344     1,594,511 (D)
       
 
 
 
 
Total       $ 2,372,307   $ 144,553 [A] $ 5,161,344   $ 2,810,778  
       
 
 
 
 

SNTL Holdings Corporation
(formerly Business Insurance Group)

 
   
  Non-Intercompany Accounts
  Intercompany Accounts
 
 
   
  Accounts Payable
  Accounts Receivable
  Accounts Payable
  Accounts Receivable
 
Current   Under 30 days                  
Overdue   31—60 days                  
Overdue   61—90 days                  
Overdue   91—120 days                  
Overdue   121 + days         601,265     22,000     20,125,198 (D)
       
 
 
 
 
Total       $   $ 601,265   $ 22,000   $ 20,125,198  
       
 
 
 
 

Superior National Insurance Services

 
   
  Non-Intercompany Accounts
  Intercompany Accounts
 
   
  Accounts Payable
  Accounts Receivable
  Accounts Payable
  Accounts Receivable
Current   Under 30 days     260,910     (0 )   270,726     4,738
Overdue   31—60 days         (0 )   560,909     2,811
Overdue   61—90 days     (0 )   0     (0 )   885
Overdue   91—120 days     (0 )   (0 )   0     885
Overdue   121 + days     36,455     21,392,397     0     742,069
       
 
 
 
Total       $ 297,365   $ 21,392,397 [B] $ 831,635   $ 751,389
       
 
 
 

Superior National Insurance Administrators

 
   
  Non-Intercompany Accounts
  Intercompany Accounts
 
   
  Accounts Payable
  Accounts Receivable
  Accounts Payable
  Accounts Receivable
Current   Under 30 days     94,384         82,051    
Overdue   31—60 days             153,641    
Overdue   61—90 days             120,815    
Overdue   91—120 days     (0 )       37,446    
Overdue   121 + days         7,175,421     1,986,517     98,383
       
 
 
 
Total       $ 94,384   $ 7,175,421 [C] $ 2,380,469   $ 98,383
       
 
 
 

Consolidated

 
   
  Non-Intercompany Accounts
  Intercompany Accounts
 
   
  Accounts Payable
  Accounts Receivable
  Accounts Payable
  Accounts Receivable
Current   Under 30 days     988,705     (0 )   352,776     352,776
Overdue   31—60 days     532,834     (0 )   714,550     714,550
Overdue   61—90 days     300,000     0     120,815     120,815
Overdue   91—120 days     10,658     (0 )   37,446     37,446
Overdue   121 + days     931,859     29,313,636     7,169,862     22,560,162
       
 
 
 
Total       $ 2,764,056   $ 29,313,636   $ 8,395,449   $ 23,785,749
       
 
 
 
[A]
Amounts in accounts payable do not include interest due and accrued on bank loan and Trust Preferred Securities.

[B]
Amounts shown in accounts receivable do not include recorded amounts on allowance for bad debt on collection of commissions receivable, In which the Debtor continues to assert rights of offset and other methods to effectuate collection. Also, reflects prior period adjustment recorded in September 2001.

[C]
Amounts shown in accounts receivable do not include recorded amounts on allowance for bad debt on collection of claims administration fee, In which the Debtor continues to assert rights of offset and other methods to effectuate collection. Also, reflects prior period adjustment recorded in September 2001.

[D]
Amounts include a payment of $5.4 million pursuant to an Order Authorizing Release of Escrowed Funds to the Bank Group Pursuant to Stipulation dated November 9, 2000. The $5.4 million was paid from BIG for interest expense accrued on SNIG.

SCHEDULE C
November 30, 2001

SNTL (formerly SNIG)

3. Statement of Status of Payments to Secured Creditors and Lessors:

 
   
   
   
  Post-Petition
Payments Not Made

Creditor/Lessor

  Frequency of
Payments per
Lease/Contract

  Amount of
Each Payment

  Next Payment Due
  Number
  Amount
NONE                    

Amounts above do not include bank loan in default, which are partially secured by stock of Superior National Insurance Group, Inc. and its subsidiaries.

SNTLHC (formerly BIG)

3. Statement of Status of Payments to Secured Creditors and Lessors:

 
   
   
   
  Post-Petition
Payments Not Made

Creditor/Lessor

  Frequency of
Payments per
Lease/Contract

  Amount of
Each Payment

  Next Payment Due
  Number
  Amount
NONE                    

Amounts above do not include bank loan in default, which are partially secured by stock of Superior National Insurance Group, Inc. and its subsidiaries.

SNIA

3. Statement of Status of Payments to Secured Creditors and Lessors:

 
   
   
   
  Post-Petition
Payments Not Made

Creditor/Lessor

  Frequency of
Payments per
Lease/Contract

  Amount of
Each Payment

  Next Payment Due
  Number
  Amount
NONE                    

Amounts above do not include bank loan in default, which are partially secured by stock of Superior National Insurance Group, Inc. and its subsidiaries.

SNIS

3. Statement of Status of Payments to Secured Creditors and Lessors:

 
   
   
   
  Post-Petition
Payments Not Made

Creditor/Lessor

  Frequency of
Payments per
Lease/Contract

  Amount of
Each Payment

  Next Payment Due
  Number
  Amount
NONE                    

Amounts above do not include bank loan in default, which are partially secured by stock of Superior National Insurance Group, Inc. and its subsidiaries.



SNTL Corporation and Subsidiaries in Bankruptcy
Debtor in Possession
Workers' Compensation Insurance Coverage
November 30, 2001
  SCHEDULE D

State


 

Carrier


 

Agent


 

Amount of
Coverage


 

Policy
Exp. Date


 

Premium Paid
Thru Date

Arizona   Liberty Mutual Group   Di Buduo & De Fendis Insurance Group   Statutory   12-Jul-02   12-Jul-02
California   State Compensation Insurance Fund   Hogan Insurance   Statutory   01-Jun-02   31-Jan-02
Colorado   Pinnacol Assurance   Di Buduo & De Fendis Insurance Group   Statutory   01-Jun-02   01-Jun-02
Illinois   Liberty Mutual Group   Di Buduo & De Fendis Insurance Group   Statutory   12-Jul-02   12-Jul-02
Kansas   Liberty Mutual Group   Di Buduo & De Fendis Insurance Group   Statutory   11-Aug-02   11-Aug-02
Missouri   Travelers Property & Casualty   Di Buduo & De Fendis Insurance Group   Statutory   02-Jun-02   02-Jun-02
New Jersey   Granite State Insurance Company   Di Buduo & De Fendis Insurance Group   Statutory   02-Jun-02   02-Jun-02
New York   The State Insurance Fund (N.Y.)   Hogan Insurance   Statutory   01-Jun-02   01-Jun-02
Oklahoma   First American Insurance Company   IRAA (MGA)   Statutory   15-Nov-02   15-Nov-02
Pennsylvania   State Workrmens' Insurance Fund   Di Buduo & De Fendis Insurance Group   Statutory   03-Jun-02   03-Jun-02
Texas   Texas Mutual   Hogan Insurance   Statutory   15-Nov-02   15-Nov-02
Virginia   Liberty Mutual Group   Di Buduo & De Fendis Insurance Group   Statutory   11-Aug-02   11-Aug-02

Note 1: Within all of the policies identified above the following entities are covered for Workers' Comp.: SNTL (formerly SNIG), SNTLHC (formerly BIG), SNIA, and SNIS.

Note 2: A Virginia employee was added to the Kansas policy

Note 3: The AZ, ILL policy was renewed and the AR & GA states were removed



November 30, 2001   Schedule E
Company

  Agent
  Type of Insurance
  Amount of Coverage
  Policy Exp. Date
  Premium paid thru date
SNTL (formerly SNIG),   Hogan Insurance   Commercial General Liability Package BWCP 001385        
SNTLHC (formerly BIG),       General Liability   $1 million per occurrence   11/1/2002   11/1/2002
SNIS, & SNIA       Advertising Injury   $2 million aggregate excluded        
        Employee Benefit Liability   $1 million per claim
$1 million aggregate
       

 

 

 

 

 

 

 

 

 

 

 
SNTL (formerly SNIG),   Hogan Insurance   Automobile (non-owned) RPC 435072            
SNTLHC (formerly BIG),       Liability   $1 million   11/1/2002   11/1/2002
SNIS, & SNIA       Physical Damage/Comp/Collision   $30,000        
            $100 deductible comp/ $250 collision        

 

 

 

 

 

 

 

 

 

 

 
SNTL (formerly SNIG),   Carpenter Moore   Directors & Officers (run-off)            
SNTLHC (formerly BIG),       Hartford   $5,000,000   5/1/2003   5/1/2003
SNIS, & SNIA       Lloyd's of London   $5,000,000 xs $5,000,000        
        Gulf Insurance Company   $10,000,000 xs $10,000,000        
        Executive Risk Indeminity   $10,000,000 xs $20,000,000        
        Philadelphia Indemnity   $10,000,000 xs $30,000,000        

 

 

 

 

 

 

 

 

 

 

 
SNTL (formerly SNIG),   Hogan Insurance   Employment Practice Liability   $1 million per loss   1/15/2003   1/15/2003
SNTLHC (formerly BIG),           & in the aggregate        
SNIS, & SNIA                    

 

 

 

 

 

 

 

 

 

 

 
SNTL (formerly SNIG),   Hogan Insurance   Commercial Umbrella — CUBW 793401   $10 million per occurrence   11/1/2002   11/1/2002
SNTLHC (formerly BIG),       Evanston Insurance Company   $10 million aggregate        
SNIS, & SNIA                    

 

 

 

 

 

 

 

 

 

 

 
SNTL (formerly SNIG),   Hogan Insurance   Excess Liability   $10 million per occurrence   2/20/2002   2/20/2002
SNTLHC (formerly BIG),       United National Insurance   $10 million aggregate       Binder
SNIS, & SNIA                    

 

 

 

 

 

 

 

 

 

 

 
SNTL (formerly SNIG),   DiBudio & DeFendis   Accident Policy (Life/Travel)   $1 million to $3 million   1/15/2002   1/15/2002
SNTLHC (formerly BIG),       AIG   (depends on rank of officer)        
SNIS, & SNIA                    

 

 

 

 

 

 

 

 

 

 

 
SNTL (formerly SNIG),   Andreini & Co   Accident Policy (Trip/Travel)   $500,000   12/31/2001   12/31/2001
SNTLHC (formerly BIG),       Hartford   $1.5 million aggregate       Working on renewal
SNIS, & SNIA           (single accident)        

 

 

 

 

 

 

 

 

 

 

 
SNTL CORP & Sub's   Hogan Insurance   Professional Liability — (Binder)   $1 million per occurrence   2/8/2002   2/8/2002
        Indian Harbor Insurance   $1 million aggregate       Binder

 

 

 

 

 

 

 

 

 

 

 
BIG only   DiBudio & DeFendis   Professional Liability Run Off
BIG companies only/acts b/f 12-10-99
*$500,000 deductible
  $10 million per loss & in the aggregate   12/10/2004   12/10/2004

SCHEDULE F
November 30, 2001

SNTL (formerly SNIG), SNTLHC (formerly BIG), SNIS, SNIA

Name of Professional

  Type
Professional

  Post-Petition
Unpaid Total

   
Paul, Weiss, Rifkind, Wharton & Garrison   Legal fees   $ 139,114   Note C
Latham & Watkins   Counsel for Official Committee of Unsecured Creditors   $ 205,340   Note C
Steve Eldrige   Tax consulting   $ 638    
Quinn Emanuel Urquhart Oliver & Hedges LLP   Special litigation counsel   $ 979,164   Note C & D
Tharpe & Howell   Legal fees   $ 1,251    
Mannat Phelps   Legal fees   $ 82,528   Note C
KPMG Peat Marwick   Audit & consulting fees   $ 324,119   Note C
Christopher Maisel   Facilitator fees   $   Note A
Riordan & McKinzie   Corporate counsel   $ 166,795   Note B, C & D
Pachulski, Stang, Ziehl, Young & Jones LLP   General bankruptcy counsel   $ 109,244   Note C & E
Miller, Herbers, Lehmann & Assoc.   Legal fees   $ 73,798   Note C

Note A — Fees & expenses from 3/1/01 to 11/30/01 are unknown.

Note B — SNIG has a retainer with Riordan & McKinzie. Estimated retainer balance as of 11/30/01 is $691,021.91.

Note C — Amount includes 20% hold back on professional fees sanctioned by the Bankruptcy Court.

Note D — Amount represents fees & expenses through October 31, 2001.

Note E — Amount represents fees & expenses through May 31, 2001.





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Schedule of Operations One Month ended November 30, 2001 [Bankruptcy Filed April 16, 2000] [unaudited]
EX-99.140 4 a2067871zex-99_140.htm EXHIBIT 99.140 Prepared by MERRILL CORPORATION
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Exhibit 99.140


OFFICE OF THE UNITED STATES TRUSTEE

IN RE:   )   DEBTOR IN POSSESSION OPERATING REPORT
    )        
SNTL HOLDINGS CORPORATION
  )   REPORT NUMBER  20   Page 1 of 3
(formerly BUSINESS INSURANCE GROUP)
  )   FOR THE PERIOD FROM: 01-Nov-01
DEBTOR   )   TO: 30-Nov-01            
    )        

       
CHAPTER 11 CASE NO. SV00-14101-GM   )        

       

1. Profit and Loss Statement

 

Please see Attached Schedule A
A. Related to Business Operations:            
  Gross Sales  
       
  Less Sales Returns and Discounts  
       
    Net Sales      
   
  Less: Cost of Goods Sold            
    Beginning Inventory at Cost  
       
    Add: Purchases  
       
    Less: Ending Inventory at Cost  
       
      Cost of Goods Sold      
   
  Gross Profit          
  Other Operating Revenue (Specify)          
Less: Operating Expenses            
  Officer Compensation  
       
  Salaries & Wages — Other Employees  
       
    Total Salaries & Wages      
   
    Employee Benefits      
   
  Payroll Taxes  
       
  Real Estate Taxes  
       
  Federal and State Income Taxes  
       
    Total Taxes      
   
  Rent and Lease Exp. (Real and Personal Property)  
       
  Interest Expense (Mortgage, Loan, etc.)  
       
  Insurance  
       
  Automobile Expense  
       
  Utilities (Gas, Electric, Water, Telephone, etc.)  
       
  Depreciation and Amortization  
       
  Repairs and Maintenance  
       
  Advertising  
       
  Supplies, Office Expenses, Photocopies, etc.  
       
  Bad Debts  
       
  Miscellaneous Operating Expenses (Specify)  
       
    Total Operating Expenses      
   
  Net Gain/(Loss) from Business Operations          
B. Not Related to Business Operations          
  Income:            
    Interest Income      
   
    Other Non-Operating Revenues (Specify)      
   
    Gross Proceeds on Sale of Assets  
       
    Less: Original Cost of Assets plus Expenses of Sale  
       
      Net Gain/(Loss) on Sale of Assets      
   
    Total Non-Operating Income          
  Expenses Not Related to Business Operations:            
    Legal and Professional Fees      
   
    Other Non-Operating Revenues (Specify)      
   
      Total Non-Operating Expenses          
  NET INCOME /(LOSS) FOR PERIOD          

Revised April 1989   OPERATING REPORT   UST-4



DEBTOR IN POSSESSION OPERATING REPORT NO. 20

    Page 2 of 3

2. Aging of Accounts Payable and Receivable (exclude pre-petition debt from accounts payable):

 
   
  Accounts Payable
  Accounts Receivable
Current   Under 30 days   $0   $0
Overdue   31—60 days   $0   $0
Overdue   61—90 days   PLEASE SEE ATTACHED SCHEDULE B
Overdue   91—120 days   $0   $0
Overdue   121 + days   $0   $0
Total       $0   $0

3. Statement of Status of Payments to Secured Creditors and Lessors:

 
   
   
   
  Post-Petition
Payments Not Made

Creditor/Lessor

  Frequency of
Payments per
Lease/Contract

  Amount of
Each Payment

  Next Payment Due
  Number
  Amount
    NONE                

4. Tax Liability:

Gross Payroll Expense For Period   $ 0
Gross Sales for Period Subject to Sales Tax   $ 0

 

 

Date Paid


 

Amount Paid *


 

Post Petition Taxes
Still Owing

Federal Payroll and Withholding Taxes   N/A   $0   N/A
State Payroll and Withholding Taxes   N/A   $0   N/A
State Sales and Use Tax   N/A   $0   N/A
Real Property Taxes   N/A   $0   N/A

        * Attach photocopies of depository receipts from taxing authority or financial institution to verify that such deposits or payments have been made.

5. Insurance Coverage

 
  Carrier/
Agent

  Amount of
Coverage

  Policy
Exp. Date

  Premium Paid
Thru Date

Worker's Compensation   See Schedule D            
Liability   See Schedule E            
Fire and Extended Coverage   See Schedule E            
Property   See Schedule E            
Theft   See Schedule E            
Life (Beneficiary:                        )   See Schedule E            
Vehicle   See Schedule E            
Other   See Schedule E            


DEBTOR IN POSSESSION OPERATING REPORT NO. 20

    Page 3 of 3

6. Questions:

A.   Has the Debtor provided to any officers, directors, shareholders, or other principals compensation without the approval of the Office of the United States Trustee?
                  : Yes   Explain:  
    X        : No        
B.   Has the Debtor, subsequent to the filing of the petition made any payments on its pre-petition unsecured debt, except as have been authorized by the Court?
                  : Yes   Explain:  
    X        : No        

7. Statement of Unpaid Professional Fees (Post-Petition Only):

Name of Professional

  Type
Professional

  Post-Petition
Unpaid Total

See Schedule F        

8. Narrative Report of Significant Events And Events Out Of The Ordinary Course Of Business:

9. Quarterly Fees: (This Fee must be paid to the United States Trustee every calendar quarter)

Quarterly
Period Ending

  Quarterly
Disbursements
for Quarter

  Quarterly
Fee

  Date Paid
  Amount Paid
  Check No.
  Quarterly
Fee Still Owing


 

 

 

 

 

 

 

 

 

 

 

 

 

I, Alex Corbett — Chief Financial Officer, declare under penalty of perjury that the information contained in the above Debtor in Possession Operating Report is true and complete to the best of my knowledge.

Dated:   1-10-2002
  Signed:   /s/ Alex Corbett



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EX-99.141 5 a2067871zex-99_141.htm EXHIBIT 99.141 Prepared by MERRILL CORPORATION
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Exhibit 99.141


OFFICE OF THE UNITED STATES TRUSTEE

IN RE:   )   DEBTOR IN POSSESSION OPERATING REPORT
    )        
SN INSURANCE ADMINISTRATORS
  )   REPORT NUMBER  20   Page 1 of 3
    )   FOR THE PERIOD FROM: 01-Nov-01
DEBTOR   )   TO: 30-Nov-01            
    )        

       
CHAPTER 11 CASE NO. SV00-14102-GM   )        

       

1. Profit and Loss Statement

 

Please see Attached Schedule A
A. Related to Business Operations:            
  Gross Sales  
       
  Less Sales Returns and Discounts  
       
    Net Sales      
   
  Less: Cost of Goods Sold            
    Beginning Inventory at Cost  
       
    Add: Purchases  
       
    Less: Ending Inventory at Cost  
       
      Cost of Goods Sold      
   
  Gross Profit          
  Other Operating Revenue (Specify)          
Less: Operating Expenses            
  Officer Compensation  
       
  Salaries & Wages — Other Employees  
       
    Total Salaries & Wages      
   
    Employee Benefits      
   
  Payroll Taxes  
       
  Real Estate Taxes  
       
  Federal and State Income Taxes  
       
    Total Taxes      
   
  Rent and Lease Exp. (Real and Personal Property)  
       
  Interest Expense (Mortgage, Loan, etc.)  
       
  Insurance  
       
  Automobile Expense  
       
  Utilities (Gas, Electric, Water, Telephone, etc.)  
       
  Depreciation and Amortization  
       
  Repairs and Maintenance  
       
  Advertising  
       
  Supplies, Office Expenses, Photocopies, etc.  
       
  Bad Debts  
       
  Miscellaneous Operating Expenses (Specify)  
       
    Total Operating Expenses      
   
  Net Gain/(Loss) from Business Operations          
B. Not Related to Business Operations          
  Income:            
    Interest Income      
   
    Other Non-Operating Revenues (Specify)      
   
    Gross Proceeds on Sale of Assets  
       
    Less: Original Cost of Assets plus Expenses of Sale  
       
      Net Gain/(Loss) on Sale of Assets      
   
    Total Non-Operating Income          
  Expenses Not Related to Business Operations:            
    Legal and Professional Fees      
   
    Other Non-Operating Revenues (Specify)      
   
      Total Non-Operating Expenses          
  NET INCOME /(LOSS) FOR PERIOD          

Revised April 1989   OPERATING REPORT   UST-4



DEBTOR IN POSSESSION OPERATING REPORT NO. 20

    Page 2 of 3

2. Aging of Accounts Payable and Receivable (exclude pre-petition debt from accounts payable):

 
   
  Accounts Payable
  Accounts Receivable
Current   Under 30 days   $0   $0
Overdue   31—60 days   $0   $0
Overdue   61—90 days   PLEASE SEE ATTACHED SCHEDULE B
Overdue   91—120 days   $0   $0
Overdue   121 + days   $0   $0
Total       $0   $0

3. Statement of Status of Payments to Secured Creditors and Lessors:

 
   
   
   
  Post-Petition
Payments Not Made

Creditor/Lessor

  Frequency of
Payments per
Lease/Contract

  Amount of
Each Payment

  Next Payment Due
  Number
  Amount
    NONE                

4. Tax Liability:

Gross Payroll Expense For Period   $ 37,348
Gross Sales for Period Subject to Sales Tax   $ 0

 

 

Date Paid


 

Amount Paid *


 

Post Petition Taxes
Still Owing

Federal Payroll and Withholding Taxes   11/15/01 & 11/30/01   $7,629   0
State Payroll and Withholding Taxes   11/15/01 & 11/30/01   $1,146   0
State Sales and Use Tax   N/A   $0   N/A
Real Property Taxes   N/A   $0   N/A

        ALL PAYROLL TAXES PAID BY ADP
        * Attach photocopies of depository receipts from taxing authority or financial institution to verify that such deposits or payments have been made.

5. Insurance Coverage

 
  Carrier/
Agent

  Amount of
Coverage

  Policy
Exp. Date

  Premium Paid
Thru Date

Worker's Compensation   See Schedule D            
Liability   See Schedule E            
Fire and Extended Coverage   See Schedule E            
Property   See Schedule E            
Theft   See Schedule E            
Life (Beneficiary:                        )   See Schedule E            
Vehicle   See Schedule E            
Other   See Schedule E            


DEBTOR IN POSSESSION OPERATING REPORT NO. 20

    Page 3 of 3

6. Questions:

A.   Has the Debtor provided to any officers, directors, shareholders, or other principals compensation without the approval of the Office of the United States Trustee?
                  : Yes   Explain:  
    X        : No        
B.   Has the Debtor, subsequent to the filing of the petition made any payments on its pre-petition unsecured debt, except as have been authorized by the Court?
                  : Yes   Explain:  
    X        : No        

7. Statement of Unpaid Professional Fees (Post-Petition Only):

Name of Professional

  Type
Professional

  Post-Petition
Unpaid Total

See Schedule F        

8. Narrative Report of Significant Events And Events Out Of The Ordinary Course Of Business:

9. Quarterly Fees: (This Fee must be paid to the United States Trustee every calendar quarter)

Quarterly
Period Ending

  Quarterly
Disbursements
for Quarter

  Quarterly
Fee

  Date Paid
  Amount Paid
  Check No.
  Quarterly
Fee Still Owing


 

 

 

 

 

 

 

 

 

 

 

 

 

I, Alex Corbett — Chief Financial Officer, declare under penalty of perjury that the information contained in the above Debtor in Possession Operating Report is true and complete to the best of my knowledge.

Dated:   1-10-2002
  Signed:   /s/ Alex Corbett



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EX-99.142 6 a2067871zex-99_142.htm EXHIBIT 99.142 Prepared by MERRILL CORPORATION
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Exhibit 99.142


OFFICE OF THE UNITED STATES TRUSTEE

IN RE:   )   DEBTOR IN POSSESSION OPERATING REPORT
    )        
SN INSURANCE SERVICES
  )   REPORT NUMBER  20   Page 1 of 3
    )   FOR THE PERIOD FROM: 01-Nov-01
DEBTOR   )   TO: 30-Nov-01            
    )        

       
CHAPTER 11 CASE NO. SV00-14100-GM   )        

       

1. Profit and Loss Statement

 

Please see Attached Schedule A
A. Related to Business Operations:            
  Gross Sales  
       
  Less Sales Returns and Discounts  
       
    Net Sales      
   
  Less: Cost of Goods Sold            
    Beginning Inventory at Cost  
       
    Add: Purchases  
       
    Less: Ending Inventory at Cost  
       
      Cost of Goods Sold      
   
  Gross Profit          
  Other Operating Revenue (Specify)          
Less: Operating Expenses            
  Officer Compensation  
       
  Salaries & Wages — Other Employees  
       
    Total Salaries & Wages      
   
    Employee Benefits      
   
  Payroll Taxes  
       
  Real Estate Taxes  
       
  Federal and State Income Taxes  
       
    Total Taxes      
   
  Rent and Lease Exp. (Real and Personal Property)  
       
  Interest Expense (Mortgage, Loan, etc.)  
       
  Insurance  
       
  Automobile Expense  
       
  Utilities (Gas, Electric, Water, Telephone, etc.)  
       
  Depreciation and Amortization  
       
  Repairs and Maintenance  
       
  Advertising  
       
  Supplies, Office Expenses, Photocopies, etc.  
       
  Bad Debts  
       
  Miscellaneous Operating Expenses (Specify)  
       
    Total Operating Expenses      
   
  Net Gain/(Loss) from Business Operations          
B. Not Related to Business Operations          
  Income:            
    Interest Income      
   
    Other Non-Operating Revenues (Specify)      
   
    Gross Proceeds on Sale of Assets  
       
    Less: Original Cost of Assets plus Expenses of Sale  
       
      Net Gain/(Loss) on Sale of Assets      
   
    Total Non-Operating Income          
  Expenses Not Related to Business Operations:            
    Legal and Professional Fees      
   
    Other Non-Operating Revenues (Specify)      
   
      Total Non-Operating Expenses          
  NET INCOME /(LOSS) FOR PERIOD          

Revised April 1989   OPERATING REPORT   UST-4



DEBTOR IN POSSESSION OPERATING REPORT NO. 20

    Page 2 of 3

2. Aging of Accounts Payable and Receivable (exclude pre-petition debt from accounts payable):

 
   
  Accounts Payable
  Accounts Receivable
Current   Under 30 days   $0   $0
Overdue   31—60 days   $0   $0
Overdue   61—90 days   PLEASE SEE ATTACHED SCHEDULE B
Overdue   91—120 days   $0   $0
Overdue   121 + days   $0   $0
Total       $0   $0

3. Statement of Status of Payments to Secured Creditors and Lessors:

 
   
   
   
  Post-Petition
Payments Not Made

Creditor/Lessor

  Frequency of
Payments per
Lease/Contract

  Amount of
Each Payment

  Next Payment Due
  Number
  Amount
    NONE                

4. Tax Liability:

Gross Payroll Expense For Period   $ 142,868
Gross Sales for Period Subject to Sales Tax   $ 0

 

 

Date Paid


 

Amount Paid *


 

Post Petition Taxes
Still Owing

Federal Payroll and Withholding Taxes   11/15/01 & 11/30/01   $33,828   0
State Payroll and Withholding Taxes   11/15/01 & 11/30/01   $4,467   0
State Sales and Use Tax   N/A   $0   N/A
Real Property Taxes   N/A   $0   N/A

        ALL PAYROLL TAXES PAID BY ADP
        * Attach photocopies of depository receipts from taxing authority or financial institution to verify that such deposits or payments have been made.

5. Insurance Coverage

 
  Carrier/
Agent

  Amount of
Coverage

  Policy
Exp. Date

  Premium Paid
Thru Date

Worker's Compensation   See Schedule D            
Liability   See Schedule E            
Fire and Extended Coverage   See Schedule E            
Property   See Schedule E            
Theft   See Schedule E            
Life (Beneficiary:                        )   See Schedule E            
Vehicle   See Schedule E            
Other   See Schedule E            


DEBTOR IN POSSESSION OPERATING REPORT NO. 20

    Page 3 of 3

6. Questions:

A.   Has the Debtor provided to any officers, directors, shareholders, or other principals compensation without the approval of the Office of the United States Trustee?
                  : Yes   Explain:  
    X        : No        
B.   Has the Debtor, subsequent to the filing of the petition made any payments on its pre-petition unsecured debt, except as have been authorized by the Court?
                  : Yes   Explain:  
    X        : No        

7. Statement of Unpaid Professional Fees (Post-Petition Only):

Name of Professional

  Type
Professional

  Post-Petition
Unpaid Total

See Schedule F        

8. Narrative Report of Significant Events And Events Out Of The Ordinary Course Of Business:

9. Quarterly Fees: (This Fee must be paid to the United States Trustee every calendar quarter)

Quarterly
Period Ending

  Quarterly
Disbursements
for Quarter

  Quarterly
Fee

  Date Paid
  Amount Paid
  Check No.
  Quarterly
Fee Still Owing


 

 

 

 

 

 

 

 

 

 

 

 

 

I, Alex Corbett — Chief Financial Officer, declare under penalty of perjury that the information contained in the above Debtor in Possession Operating Report is true and complete to the best of my knowledge.

Dated:   1-10-2002
  Signed:   /s/ Alex Corbett



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EX-99.143 7 a2067871zex-99_143.htm EXHIBIT 99.143 Prepared by MERRILL CORPORATION
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Exhibit 99.143


OFFICE OF THE UNITED STATES TRUSTEE

CENTRAL DISTRICT OF CALIFORNIA


   
IN RE:    

 

 

DEBTOR IN POSSESSION INTERIM STATEMENT
SNTL Corporation
(formerly Superior National Insurance Group)
   
    STATEMENT NO. 20
FOR THE PERIOD FROM: 1-Nov-01
DEBTOR   TO: 30-Nov-01

   
CHAPTER 11 CASE NO. SV00-14099-GM    

   
 
   
 


 
   
  DIP Payroll
Account

  DIP WCMA/MLIF
Account

  DIP Operating
Account

  Pre-Petition
Payroll Account

  Pre-Petition
Operating Account
Imperial Bank

  Pre-Petition
Operating Account
Bank of Bermuda

  Pre-Petition
Investment Account

         
    CASH ACTIVITY ANALYSIS                       CLOSED 5/12/00     CLOSED 5/15/00     CLOSED 5/19/00     CLOSED 5/31/00
         
A.   Total Receipts Per All Prior Interim Statements   $ 8,302,985.84   $ 4,983,824.69   $ 730,319.36   $ 127,139.87   $ 84.46   $ 45.84   $ 12.16
B.   Less: Total Disbursements Per All Prior Interim Statements   $ 8,280,159.36   $ 4,956,554.85   $ 693,885.98   $ 127,139.87   $ 84.46   $ 45.84   $ 12.16
         
C.   Beginning Balance   $ 22,826.48   $ 27,269.84   $ 36,433.38   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
D.   Receipts During Current Period                                          
    Per Attached Schedule   $ 0.00   $ 913.05   $ 25,000.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
E.   Balance Available   $ 22,826.48   $ 28,182.89   $ 61,433.38   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
F.   Less: Disbursements During Period                                          
    Per Attached Schedule   $ 1,039.26   $ 25,000.00   $ 25,840.06   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
G.   Ending Balance   $ 21,787.22   $ 3,182.89   $ 35,593.32   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         

H.  ACCOUNT INFORMATION

    (1).   DIP Payroll Account        
        (a) Depository Name and Location   Bank of America, 345 Montgomery Street, LL1, San Francisco, CA 94104
        (b) Account Number   15818-20438    
    (2).   DIP WCMA/MLIF Account        
        (a) Depository Name and Location   Merrill Lynch, 10 West Second Street, #400, Dayton, OH 45402
        (b) Account Number   77M07W63    
    (3).   DIP Operating Account        
        (a) Depository Name and Location   Bank of America, 345 Montgomery Street, LL1, San Francisco, CA 94104
        (b) Account Number   15815-16527    
    (4).   Pre-Petition Payroll Account        
        (a) Depository Name and Location   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   14173-04996   CLOSED 5/12/00
    (5).   Pre-Petition Operating Account        
        (a) Depository Name and Location   Imperial Bank, 226 Airport Parkway, San Jose, CA 95110
        (b) Account Number   17-061-275   CLOSED 5/15/00
    (6).   Pre-Petition Operating Account        
        (a) Depository Name and Location   Bank of Bermuda, 6 Front Street, Hamilton HM 11, Bermuda
        (b) Account Number   1010-584560   CLOSED 5/19/00
    (7).   Pre-Petition Investment Account        
        (a) Depository Name and Location   Bank of New York, 700 S. Flower Street, 2nd Floor, Los Angeles, CA 90017
        (b) Account Number   350776   CLOSED 5/31/00

I.  Other Monies On Hand: None

I, Alex Corbett, Chief Financial Officer, declare under penalty of perjury, that the information contained in the above Debtor in Possession Interim Statement is true and complete to the best of my knowledge:

Dated:   1-2-2002
  Signed:   /s/ Alex Corbett


OFFICE OF THE UNITED STATES TRUSTEE

CENTRAL DISTRICT OF CALIFORNIA


   
IN RE:    

 

 

DEBTOR IN POSSESSION INTERIM STATEMENT
SNTL Corporation
(formerly Superior National Insurance Group)
   
    STATEMENT NO. 20
FOR THE PERIOD FROM: 1-Nov-01
DEBTOR   TO: 30-Nov-01

   
CHAPTER 11 CASE NO. SV00-14099-GM    

   
 
   
 


 
   
  Pre-Petition
MLIF Account

  Pre-Petition Monarch
Funds Account

  Pre-Petition
Preemptive Rights
Holding Account

  Pre-Petition
Operating Account
Chase

  Pre-Petition
Equity Account

  Pre-Petition
Concentration Acct
Bank of America

  Pre-Petition
Accounts Payable
Bank of America

         
    CASH ACTIVITY ANALYSIS     CLOSED
6/6/00
    CLOSED
6/6/00
    CLOSED
5/15/00
    CLOSED
5/18/00
    CLOSED
5/15/00
    CLOSED
5/10/00
    CLOSED
5/15/00
         
A.   Total Receipts Per All Prior Interim Statements   $ 1,215,440.20   $ 173.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
B.   Less: Total Disbursements Per All Prior Interim Statements   $ 1,215,439.74   $ 173.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
C.   Beginning Balance   $ 0.46   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
D.   Receipts During Current Period                                          
    Per Attached Schedule   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
E.   Balance Available   $ 0.46   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
F.   Less: Disbursements During Period                                          
    Per Attached Schedule   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
G.   Ending Balance   $ 0.46   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         

H.  ACCOUNT INFORMATION

    (7).   Pre-Petition MLIF Account        
        (a) Depository Name and Location   Merrill Lynch, 10 West Second Street, #400, Dayton, OH 45402
        (b) Account Number   77M07K15   CLOSED 6/6/00
    (8).   Pre-Petition Monarch Funds Account        
        (a) Depository Name and Location   Imperial Bank-Monarch Funds, PO Box 446, Portland, ME 04112
        (b) Account Number   10-00054585-31-01   CLOSED 6/6/00
    (9).   Pre-Petition Preemptive Rights Holding Account        
        (a) Depository Name and Location   Imperial Bank-Monarch Funds, PO Box 446, Portland, ME 04112
        (b) Account Number   17-108-832   CLOSED 5/15/00
    (10).   Pre-Petition Operating Account        
        (a) Depository Name and Location   Chase Manhattan Bank, 4 Chase MetroTech Center, 18th Floor, Brooklyn, NY 11245
        (b) Account Number   910-2-662864   CLOSED 5/18/00
    (11).   Pre-Petition Equity Account        
        (a) Depository Name and Location   Chase Manhattan Bank, 4 Chase MetroTech Center, 18th Floor, Brooklyn, NY 11245
        (b) Account Number   910-2-662856   CLOSED 5/15/00
    (12).   Pre-Petition Concentration Account        
        (a) Depository Name and Location   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   14173-04939   CLOSED 5/10/00
    (13).   Pre-Petition Accounts Payable Account        
        (a) Depository Name and Location   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   77650-01167   CLOSED 5/15/00



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OFFICE OF THE UNITED STATES TRUSTEE CENTRAL DISTRICT OF CALIFORNIA
OFFICE OF THE UNITED STATES TRUSTEE CENTRAL DISTRICT OF CALIFORNIA
EX-99.144 8 a2067871zex-99_144.htm EXHIBIT 99.144 Prepared by MERRILL CORPORATION
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Exhibit 99.144


OFFICE OF THE UNITED STATES TRUSTEE

CENTRAL DISTRICT OF CALIFORNIA


   
IN RE:    

 

 

DEBTOR IN POSSESSION INTERIM STATEMENT
SNTL Holdings Corporation
(formerly Business Insurance Group, Inc.)
   
    STATEMENT NO. 20
FOR THE PERIOD FROM: 1-Nov-01
DEBTOR   TO: 30-Nov-01

   
CHAPTER 11 CASE NO. SV00-14101-GM    

   
 
   
 


 
   
  DIP General
Account

  DIP Accounts
Payable Account

  DIP WCMA/MLIF
Account

  Pre-Petition
Concentration Acct (1)

  Pre-Petition Money
Market Account

  Pre-Petition
Investment Acct (1)

  Pre-Petition
Investment Acct (2)

         
    CASH ACTIVITY ANALYSIS           CLOSED 7/31/00           CLOSED 5/11/00     CLOSED 5/18/00     CLOSED 5/31/00     CLOSED 5/31/00
         
A.   Total Receipts Per All Prior Interim Statements   $ 690,073.06   $ 0.00   $ 6,321,415.26   $ 544,242.11   $ 105,830.95   $ 0.36   $ 0.97
B.   Less: Total Disbursements Per All Prior Interim Statements   $ 670,392.83   $ 0.00   $ 5,349,507.94   $ 544,242.11   $ 105,830.95   $ 0.36   $ 0.97
         
C.   Beginning Balance   $ 19,680.23   $ 0.00   $ 971,907.32   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
D.   Receipts During Current Period                                          
    Per Attached Schedule   $ 0.00   $ 0.00   $ 77,653.26   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
E.   Balance Available   $ 19,680.23   $ 0.00   $ 1,049,560.58   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
F.   Less: Disbursements During Period                                          
    Per Attached Schedule   $ 149.65   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
G.   Ending Balance   $ 19,530.58   $ 0.00   $ 1,049,560.58   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         

H.  ACCOUNT INFORMATION

    (1).   DIP General Account        
        (a) Name and Location of Bank   Bank of America, 345 Montgomery Street, LL1, San Francisco, CA 94104
        (b) Account Number   15819-20485    
    (2).   DIP Accounts Payable Account        
        (a) Name and Location of Bank   Bank of America, 345 Montgomery Street, LL1, San Francisco, CA 94104
        (b) Account Number   15816-20491   CLOSED 7/31/00
    (3).   DIP WCMA/MLIF Account        
        (a) Name and Location of Bank   Merril Lynch, 10 West Second Street, #400, Dayton, OH 45402
        (b) Account Number   77M07W61    
    (4).   Pre-Petition Concentration Account        
        (a) Name and Location of Bank   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   14176-00505   CLOSED 5/11/00
    (5).   Pre-Petition Money Market Account        
        (a) Name and Location of Bank   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   14179-03328   CLOSED 5/18/00
    (6).   Pre-Petition Investment Account (1)        
        (a) Name and Location of Bank   Bank of New York, 700 S. Flower Street, 2nd Floor, Los Angeles, CA 90017
        (b) Account Number   046705   CLOSED 5/31/00
    (7).   Pre-Petition Investment Account (2)        
        (a) Name and Location of Bank   Bank of New York, 700 S. Flower Street, 2nd Floor, Los Angeles, CA 90017
        (b) Account Number   046706   CLOSED 5/31/00

I.  Other Monies On Hand: None

I, Alex Corbett, Chief Financial Officer, declare under penalty of perjury, that the information contained in the above Debtor in Possession Interim Statement is true and complete to the best of my knowledge:

Dated:   1-2-2002
  Signed:   /s/ Alex Corbett


OFFICE OF THE UNITED STATES TRUSTEE

CENTRAL DISTRICT OF CALIFORNIA


   
IN RE:    

 

 

DEBTOR IN POSSESSION INTERIM STATEMENT
SNTL Holdings Corporation
(formerly Business Insurance Group, Inc.)
   
    STATEMENT NO. 20
FOR THE PERIOD FROM: 1-Nov-01
DEBTOR   TO: 30-Nov-01

   
CHAPTER 11 CASE NO. SV00-14101-GM    

   
 
   
 


 
   
  Pre-Petition
Concentration Acct (2)

  Pre-Petition Accounts
Payable Account

  Pre-Petition
Payroll Account

  NOT
APPLICABLE

  NOT
APPLICABLE

  NOT
APPLICABLE

    CASH ACTIVITY ANALYSIS     CLOSED 5/10/00     CLOSED 5/15/00     CLOSED 5/12/00                  
         
A.   Total Receipts Per All Prior Interim Statements   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
B.   Less: Total Disbursements Per All Prior Interim Statements   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
C.   Beginning Balance   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
D.   Receipts During Current Period                                    
    Per Attached Schedule   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
E.   Balance Available   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
F.   Less: Disbursements During Period                                    
    Per Attached Schedule   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
G.   Ending Balance   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         

H.  ACCOUNT INFORMATION

    (1).   Pre-Petition Concentration Account        
        (a) Name and Location of Bank   Bank of America, 345 Montgomery Street, LL1, San Francisco, CA 94104
        (b) Account Number   14999-02337   CLOSED 5/10/00
    (2).   Pre-Petition Accounts Payable Account        
        (a) Name and Location of Bank   Bank of America, 345 Montgomery Street, LL1, San Francisco, CA 94104
        (b) Account Number   77651-00780   CLOSED 5/15/00
    (3).   Pre-Petition Payroll Account        
        (a) Name and Location of Bank   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   12336-23733   CLOSED 5/12/00
    (4).   NOT APPLICABLE        
        (a) Name and Location of Bank        
        (b) Account Number        
    (5).   NOT APPLICABLE        
        (a) Name and Location of Bank        
        (b) Account Number        
    (6).   NOT APPLICABLE        
        (a) Name and Location of Bank        
        (b) Account Number        

I. Other Monies On Hand: None

I,                              , declare under penalty that the information contained in the above Debtor in Possession Interim Statement is true and complete to the best of my knowledge:

Dated:  
  Signed:  



QuickLinks

OFFICE OF THE UNITED STATES TRUSTEE CENTRAL DISTRICT OF CALIFORNIA
OFFICE OF THE UNITED STATES TRUSTEE CENTRAL DISTRICT OF CALIFORNIA
EX-99.145 9 a2067871zex-99_145.htm EXHIBIT 99.145 Prepared by MERRILL CORPORATION
QuickLinks -- Click here to rapidly navigate through this document


Exhibit 99.145


OFFICE OF THE UNITED STATES TRUSTEE

CENTRAL DISTRICT OF CALIFORNIA


   
IN RE:    

 

 

DEBTOR IN POSSESSION INTERIM STATEMENT
SN Insurance Administrators, Inc.    
    STATEMENT NO. 20
FOR THE PERIOD FROM: 11/1/2001
DEBTOR   TO: 11/30/2001

   
CHAPTER 11 CASE NO. SV00-14102-GM )    

   
 
   
 


 
   
  DIP Payroll
Account

  DIP Operating
Account

  DIP WCMA/MLIF
Account

  DIP Operating
Account

  Pre-Petition
Payroll Account

  Pre-Petition
Operating Account

  Pre-Petition
Concentration Acct

  Pre-Petition
Account Payable Acct

         
    CASH ACTIVITY ANALYSIS           CLOSED 2/01                 CLOSED 5/12/00     CLOSED 6/1/00     CLOSED 5/10/00     CLOSED 5/15/00
         
A.   Total Receipts Per All Prior Interim Statements   $ 12,735,019.47   $ 201,886.69   $ 743,446.51   $ 166,003.59   $ 89,716.19   $ 55.00   $ 0.00   $ 0.00
B.   Less: Total Disbursements Per All Prior Interim Statements   $ 12,733,692.88   $ 201,886.69   $ 451,773.49   $ 132,875.13   $ 89,716.19   $ 55.00   $ 0.00   $ 0.00
         
C.   Beginning Balance   $ 1,326.59   $ 0.00   $ 291,673.02   $ 33,128.46   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
D.   Receipts During Current Period                                                
    Per Attached Schedule   $ 0.00   $ 0.00   $ 593.34   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
E.   Balance Available   $ 1,326.59   $ 0.00   $ 292,266.36   $ 33,128.46   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
F.   Less: Disbursements During Period                                                
    Per Attached Schedule   $ 73.90   $ 0.00   $ 35,531.00   $ 6,628.50   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
G.   Ending Balance   $ 1,252.69   $ 0.00   $ 256,735.36   $ 26,499.96   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         

H.      ACCOUNT INFORMATION

    (1).   DIP Payroll Account        
        (a) Bank name and location   Bank of America, 345 Montgomery Street, LL1, San Francisco, CA 94104
        (b) Account Number   15811-20465    
    (2).   DIP Operating Account        
        (a) Bank name and location   Imperial Bank, 226 Airport Parkway, San Jose, CA 95110
        (b) Account Number   17-402-552   CLOSED 2/01
    (3).   DIP WCMA/MLIF Account        
        (a) Bank name and location   Merrill Lynch, 10 West Second Street, #400, Dayton, OH 45402
        (b) Account Number   77M07W62    
    (4).   DIP Operating Account        
        (a) Bank name and location   Bank of America, 345 Montgomery Street, LL1, San Francisco, CA 94104
        (b) Account Number   15816-16574    
    (5).   Pre-Petition Payroll Account        
        (a) Bank name and location   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   14177-04994   CLOSED 5/12/00
    (6).   Pre-Petition Operating Account        
        (a) Bank name and location   Imperial Bank, 226 Airport Parkway, San Jose, CA 95110
        (b) Account Number   17-401-289   CLOSED 6/1/00
    (7).   Pre-Petition Concentration Account        
        (a) Bank name and location   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   14178-04941   CLOSED 5/10/00
    (8).   Pre-Petition Accounts Payable Account        
        (a) Bank name and location   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   77652-01166   CLOSED 5/15/00

I.      Other Monies On Hand: None

I, Alex Corbett, Chief Financial Officer, declare under penalty of perjury, that the information contained in the above Debtor in Possession Interim Statement is true and complete to the best of my knowledge:

Dated:   1-2-2002
  Signed:   /s/ Alex Corbett



QuickLinks

OFFICE OF THE UNITED STATES TRUSTEE CENTRAL DISTRICT OF CALIFORNIA
EX-99.146 10 a2067871zex-99_146.htm EXHIBIT 99.146 Prepared by MERRILL CORPORATION
QuickLinks -- Click here to rapidly navigate through this document


Exhibit 99.146


OFFICE OF THE UNITED STATES TRUSTEE

CENTRAL DISTRICT OF CALIFORNIA


   
IN RE:    

 

 

DEBTOR IN POSSESSION INTERIM STATEMENT
SN Insurance Services, Inc.    
    STATEMENT NO. 20
FOR THE PERIOD FROM: 1-Nov-01
DEBTOR   TO: 30-Nov-01

   
CHAPTER 11 CASE NO. SV00-14100-GM    

   
 
   
 


 
   
  DIP General
Account

  DIP Payroll
Account

  DIP General
Account — Chase

  DIP Fiduciary
Account

  DIP Cananwill Trust
Account

    CASH ACTIVITY ANALYSIS                             CLOSED 3/7/01
         
A.   Total Receipts Per All Prior Interim Statements   $ 34,451,921.81   $ 11,036,077.09   $ 24,049,299.34   $ 32,478,124.19   $ 766,173.14
B.   Less: Total Disbursements Per All Prior Interim Statements   $ 34,410,029.67   $ 11,032,402.18   $ 23,940,237.16   $ 32,478,124.19   $ 766,173.14
         
C.   Beginning Balance   $ 41,892.14   $ 3,674.91   $ 109,062.18   $ 0.00   $ 0.00
         
D.   Receipts During Current Period                              
    Per Attached Schedule   $ 602,798.38   $ 0.00   $ 1,419.84   $ 0.00   $ 0.00
         
E.   Balance Available   $ 644,690.52   $ 3,674.91   $ 110,482.02   $ 0.00   $ 0.00
         
F.   Less: Disbursements During Period                              
    Per Attached Schedule   $ 494,935.32   $ 2,039.66   $ 811.07   $ 0.00   $ 0.00
         
G.   Ending Balance   $ 149,755.20   $ 1,635.25   $ 109,670.95   $ 0.00   $ 0.00
         

H.      ACCOUNT INFORMATION

    (1).   DIP General Account        
        (a) Depository Name and Location   Bank of America, 345 Montgomery Street, LL1, San Francisco, CA 94104
        (b) Account Number   15819-20480    
    (2).   DIP Payroll Account        
        (a) Depository Name and Location   Bank of America, 345 Montgomery Street, LL1, San Francisco, CA 94104
        (b) Account Number   15812-20431    
    (3).   DIP General Account — Chase        
        (a) Depository Name and Location   Chase Manhattan Bank, 4 Chase MetroTech Center, 18th Floor, Brooklyn, NY 11245
        (b) Account Number   323-894984    
    (4).   DIP Fiduciary Account        
        (a) Depository Name and Location   Imperial Bank, 226 Airport Parkway, San Jose, CA 95110
        (b) Account Number   17-402-536    
    (5).   DIP Cananwill Trust Account        
        (a) Depository Name and Location   Imperial Bank, 226 Airport Parkway, San Jose, CA 95110
        (b) Account Number   17-402-528    

I, Alex Corbett, Chief Financial Officer, declare under penalty of perjury, that the information contained in the above Debtor in Possession Interim Statement is true and complete to the best of my knowledge:

Dated:   1-2-2002
  Signed:   /s/ Alex Corbett


OFFICE OF THE UNITED STATES TRUSTEE

CENTRAL DISTRICT OF CALIFORNIA


   
IN RE:    

 

 

DEBTOR IN POSSESSION INTERIM STATEMENT
SN Insurance Services, Inc.    
    STATEMENT NO. 20
FOR THE PERIOD FROM: 1-Nov-01
DEBTOR   TO: 30-Nov-01

   
CHAPTER 11 CASE NO. SV00-14100-GM    

   
 
   
 


 
   
  DIP Operating
Account

  DIP WCMA/MLIF
Account

  DIP WCMA UIC
Fiduciary Account

  DIP WCMA CIC
Fiduciary Account

  DIP WCMA ZCIC
Fiduciary Account

    CASH ACTIVITY ANALYSIS     CLOSED 3/7/01                        
         
A.   Total Receipts Per All Prior Interim Statements   $ 203,544.36   $ 91,483,033.27   $ 3,998,020.52   $ 1,692,978.45   $ 227,121.64
B.   Less: Total Disbursements Per All Prior Interim Statements   $ 203,544.36   $ 89,813,412.33   $ 150.00   $ 150.00   $ 150.00
         
C.   Beginning Balance   $ 0.00   $ 1,669,620.94   $ 3,997,870.52   $ 1,692,828.45   $ 226,971.64
         
D.   Receipts During Current Period                              
    Per Attached Schedule   $ 0.00   $ 2,512.85   $ 7,846.16   $ 3,322.28   $ 445.43
         
E.   Balance Available   $ 0.00   $ 1,672,133.79   $ 4,005,716.68   $ 1,696,150.73   $ 227,417.07
         
F.   Less: Disbursements During Period                              
    Per Attached Schedule   $ 0.00   $ 845,687.01   $ 300.00   $ 300.00   $ 300.00
         
G.   Ending Balance   $ 0.00   $ 826,446.78   $ 4,005,416.68   $ 1,695,850.73   $ 227,117.07
         

H.      ACCOUNT INFORMATION

    (6).   DIP Operating Account        
        (a) Depository Name and Location   Imperial Bank, 226 Airport Parkway, San Jose, CA 95110
        (b) Account Number   17-402-544    
    (7).   DIP WCMA/MLIF Account        
        (a) Depository Name and Location   Merrill Lynch, 10 West Second Street, #400, Dayton, OH 45402
        (b) Account Number   77M07W64    
    (8).   DIP WCMA UIC Fiduciary Account        
        (a) Depository Name and Location   Merrill Lynch, 10 West Second Street, #400, Dayton, OH 45402
        (b) Account Number   77M07W77    
    (9).   DIP WCMA CIC Fiduciary Account        
        (a) Depository Name and Location   Merrill Lynch, 10 West Second Street, #400, Dayton, OH 45402
        (b) Account Number   77M07W78
    (10).   DIP WCMA ZCIC Fiduciary Account        
        (a) Depository Name and Location   Merrill Lynch, 10 West Second Street, #400, Dayton, OH 45402
        (b) Account Number   77M07W79    


OFFICE OF THE UNITED STATES TRUSTEE

CENTRAL DISTRICT OF CALIFORNIA


   
IN RE:    

 

 

DEBTOR IN POSSESSION INTERIM STATEMENT
SN Insurance Services, Inc.    
    STATEMENT NO. 20
FOR THE PERIOD FROM: 1-Nov-01
DEBTOR   TO: 30-Nov-01

   
CHAPTER 11 CASE NO. SV00-14100-GM    

   
 
   
 


 
   
  DIP WCMA Creditors
Fiduciary Account

  (1) Pre-Petition
Concentration Account

  (2) Pre-Petition
Concentration Account

  Pre-Petition
Payroll Account

         
    CASH ACTIVITY ANALYSIS           CLOSED 5/11/00     CLOSED 6/12/00     CLOSED 5/11/00
         
A.   Total Receipts Per All Prior Interim Statements   $ 5,120,647.72   $ 0.00   $ 4,941,903.92   $ 116,548.20
B.   Less: Total Disbursements Per All Prior   $ 2,512,532.52   $ 0.00   $ 4,941,903.92   $ 116,548.20
    Interim Statements                        
         
C.   Beginning Balance   $ 2,608,115.20   $ 0.00   $ 0.00   $ 0.00
         
D.   Receipts During Current Period                        
    Per Attached Schedule   $ 5,118.84   $ 0.00   $ 0.00   $ 0.00
         
E.   Balance Available   $ 2,613,234.04   $ 0.00   $ 0.00   $ 0.00
         
F.   Less: Disbursements During Period                        
    Per Attached Schedule   $ 300.00   $ 0.00   $ 0.00   $ 0.00
         
G.   Ending Balance   $ 2,612,934.04   $ 0.00   $ 0.00   $ 0.00
         

H.  ACCOUNT INFORMATION

    (11).   DIP WCMA Creditors Fiduciary Account        
        (a) Depository Name and Location   Merrill Lynch, 10 West Second Street, #400, Dayton, OH 45402
        (b) Account Number   77M07W80    
    (12).   Pre-Petition Concentration Account (1)        
        (a) Depository Name and Location   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   14172-03510   CLOSED 5/11/00
    (13).   Pre-Petition Concentration Account (2)        
        (a) Depository Name and Location   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   14175-03509   CLOSED 6/12/00
    (14).   Pre-Petiton Payroll Account        
        (a) Depository Name and Location   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   14175-04995   CLOSED 5/11/00


OFFICE OF THE UNITED STATES TRUSTEE

CENTRAL DISTRICT OF CALIFORNIA


   
IN RE:    

 

 

DEBTOR IN POSSESSION INTERIM STATEMENT
SN Insurance Services, Inc.    
    STATEMENT NO. 20
FOR THE PERIOD FROM: 1-Nov-01
DEBTOR   TO: 30-Nov-01

   
CHAPTER 11 CASE NO. SV00-14100-GM    

   
 
   
  (3) Pre-Petition
Concentration Account

  (4) Pre-Petition
Concentration Account

  Pre-Petition
Operating Account

  Pre-Petition
Cananwill Trust Acct.

  Pre-Petition
Fiduciary Account

  Pre-Petition
Accounts Payable Acct

    CASH ACTIVITY ANALYSIS     CLOSED 5/26/00     CLOSED 5/31/00     CLOSED 6/1/00     CLOSED 6/8/00     CLOSED 6/30/00     CLOSED 5/15/00
         
A.   Total Receipts Per All Prior Interim Statements   $ 915,515.91   $ 6,717,253.96   $ 203,544.36   $ 766,173.14   $ 34,083,192.19   $ 0.00
B.   Less: Total Disbursements Per All Prior Interim Statements   $ 915,515.91   $ 6,717,253.96   $ 203,544.36   $ 766,173.14   $ 34,083,192.19   $ 0.00
         
C.   Beginning Balance   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
D.   Receipts During Current Period                                    
    Per Attached Schedule   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
E.   Balance Available   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
F.   Less: Disbursements During Period                                    
    Per Attached Schedule   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         
G.   Ending Balance   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00   $ 0.00
         

H.  ACCOUNT INFORMATION

    (15).   Pre-Petition Concentration Account (3)        
        (a) Depository Name and Location   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   73662-11040   CLOSED 5/26/00
    (16).   Pre-Petition Concentration Account (4)        
        (a) Depository Name and Location   Chase Manhattan Bank, 4 Chase MetroTech Center, 18th Floor, Brooklyn, NY 11245
        (b) Account Number   323-892531   CLOSED 5/31/00
    (17).   Pre-Petition Operating Account        
        (a) Depository Name and Location   Imperial Bank, 226 Airport Parkway, San Jose, CA 95110
        (b) Account Number   17-061-429   CLOSED 6/1/00
    (18).   Pre-Petition Cananwill Trust Account        
        (a) Depository Name and Location   Imperial Bank, 226 Airport Parkway, San Jose, CA 95110
        (b) Account Number   17-400-738   CLOSED 6/8/00
    (19).   Pre-Petition Fiduciary Account        
        (a) Depository Name and Location   Imperial Bank, 226 Airport Parkway, San Jose, CA 95110
        (b) Account Number   17-400-967   CLOSED 6/30/00
    (20).   Pre-Petition Accounts Payable Account        
        (a) Depository Name and Location   Bank of America, 2049 Century Park East, 2nd Floor, Los Angeles, CA 90067
        (b) Account Number   77658-01168   CLOSED 5/15/00

I.  Other Monies On Hand: None




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OFFICE OF THE UNITED STATES TRUSTEE CENTRAL DISTRICT OF CALIFORNIA
OFFICE OF THE UNITED STATES TRUSTEE CENTRAL DISTRICT OF CALIFORNIA
OFFICE OF THE UNITED STATES TRUSTEE CENTRAL DISTRICT OF CALIFORNIA
OFFICE OF THE UNITED STATES TRUSTEE CENTRAL DISTRICT OF CALIFORNIA
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