EX-99.170 18 a2075735zex-99_170.htm EX-99.170

EXHIBIT 99.170

OFFICE OF THE UNITED STATES TRUSTEE
CENTRAL DISTRICT OF CALIFORNIA

IN RE:   )   DEBTOR IN POSSESSION INTERIM STATEMENT
    )    
SN Insurance Services, Inc.   )
)
  STATEMENT NO. 23
FOR THE PERIOD FROM: 1-Feb-02
    )   TO: 28-Feb-02
DEBTOR   )    
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   $ 35,543,829.70   $ 11,046,077.09   $ 24,051,501.76   $ 32,478,124.19   $ 766,173.14
B. Less: Total Disbursements Per All Prior Interim Statements   $ 35,487,329.75   $ 11,038,557.46   $ 23,942,702.40   $ 32,478,124.19   $ 766,173.14
   
 
 
 
 
C. Beginning Balance   $ 56,499.95   $ 7,519.63   $ 108,799.36   $ 0.00   $ 0.00
   
 
 
 
 
D. Receipts During Current Period Per Attached Schedule   $ 314,424.58   $ 0.00   $ 4,780.42   $ 0.00   $ 0.00
   
 
 
 
 
E. Balance Available   $ 370,924.53   $ 7,519.63   $ 113,579.78   $ 0.00   $ 0.00
   
 
 
 
 
F. Less: Disbursements During Period Per Attached Schedule   $ 300,104.27   $ 1,859.61   $ 835.04   $ 0.00   $ 0.00
   
 
 
 
 
G. Ending Balance   $ 70,820.26   $ 5,660.02   $ 112,744.74   $ 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:   3/14/2002   Signed:   /s/  ALEX CORBETT      
   
     

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OFFICE OF THE UNITED STATES TRUSTEE
CENTRAL DISTRICT OF CALIFORNIA

IN RE:   )   DEBTOR IN POSSESSION INTERIM STATEMENT
    )    
SN Insurance Services, Inc.   )
)
  STATEMENT NO. 23
FOR THE PERIOD FROM: 1-Feb-02
    )   TO: 28-Feb-02
DEBTOR   )    
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   $ 91,504,074.58   $ 4,019,710.90   $ 1,702,162.25   $ 228,352.07
B. Less: Total Disbursements Per All Prior Interim Statements   $ 203,544.36   $ 91,483,404.24   $ 450.00   $ 450.00   $ 450.00
   
 
 
 
 
C. Beginning Balance   $ 0.00   $ 20,670.34   $ 4,019,260.90   $ 1,701,712.25   $ 227,902.07
   
 
 
 
 
D. Receipts During Current Period Per Attached Schedule   $ 0.00   $ 299,560.30   $ 5,792.95   $ 2,452.62   $ 328.48
   
 
 
 
 
E. Balance Available   $ 0.00   $ 320,230.64   $ 4,025,053.85   $ 1,704,164.87   $ 228,230.55
   
 
 
 
 
F. Less: Disbursements During Period Per Attached Schedule   $ 0.00   $ 315,706.78   $ 0.00   $ 0.00   $ 0.00
   
 
 
 
 
G. Ending Balance   $ 0.00   $ 4,523.86   $ 4,025,053.85   $ 1,704,164.87   $ 228,230.55
   
 
 
 
 
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

PAGE 2


OFFICE OF THE UNITED STATES TRUSTEE
CENTRAL DISTRICT OF CALIFORNIA

IN RE:   )   DEBTOR IN POSSESSION INTERIM STATEMENT
    )    
SN Insurance Services, Inc.   )
)
  STATEMENT NO. 23
FOR THE PERIOD FROM: 1-Feb-02
    )   TO: 28-Feb-02
DEBTOR   )    
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   $ 5,133,922.62   $ 0.00   $ 4,941,903.92   $ 116,548.20
B. Less: Total Disbursements Per All Prior Interim Statements   $ 2,872,522.04   $ 0.00   $ 4,941,903.92   $ 116,548.20
   
 
 
 
C. Beginning Balance   $ 2,261,400.58   $ 0.00   $ 0.00   $ 0.00
   
 
 
 
D. Receipts During Current Period Per Attached Schedule   $ 2,334.96   $ 0.00   $ 0.00   $ 0.00
   
 
 
 
E. Balance Available   $ 2,263,735.54   $ 0.00   $ 0.00   $ 0.00
   
 
 
 
F. Less: Disbursements During Period Per Attached Schedule   $ 2,258,351.41   $ 0.00   $ 0.00   $ 0.00
   
 
 
 
G. Ending Balance   $ 5,384.13   $ 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-Petition 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

PAGE 3


OFFICE OF THE UNITED STATES TRUSTEE
CENTRAL DISTRICT OF CALIFORNIA

IN RE:   )   DEBTOR IN POSSESSION INTERIM STATEMENT
    )    
SN Insurance Services, Inc.   )
)
  STATEMENT NO. 23
FOR THE PERIOD FROM: 1-Feb-02
    )   TO: 28-Feb-02
DEBTOR   )    
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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