-----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, MKY2rtb1mhOnj05j4l5UlYkI1yAR0mLig6T88d5G5y3DAQU3RjOcuL0f4Tn4rzLO Lqq3ioCC5b4MRN03Cn1jMA== 0000950149-02-001469.txt : 20020724 0000950149-02-001469.hdr.sgml : 20020724 20020724124019 ACCESSION NUMBER: 0000950149-02-001469 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20020718 ITEM INFORMATION: Other events ITEM INFORMATION: Financial statements and exhibits FILED AS OF DATE: 20020724 FILER: COMPANY DATA: COMPANY CONFORMED NAME: METRICOM INC / DE CENTRAL INDEX KEY: 0000884318 STANDARD INDUSTRIAL CLASSIFICATION: RADIO & TV BROADCASTING & COMMUNICATIONS EQUIPMENT [3663] IRS NUMBER: 770294597 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 000-19903 FILM NUMBER: 02709583 BUSINESS ADDRESS: STREET 1: 333 WEST JULIAN ST. CITY: SAN JOSE STATE: CA ZIP: 95110-2335 BUSINESS PHONE: 4082828000 MAIL ADDRESS: STREET 1: 333 WEST JULIAN ST. CITY: SAN JOSE STATE: CA ZIP: 95110-2335 8-K 1 f83083e8vk.txt 8-K SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 8-K CURRENT REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 Date of Report (Date of earliest event reported): July 18, 2002 METRICOM, INC. (Exact name of registrant as specified in its charter) DELAWARE 0-19903 77-0294597 (State or other jurisdiction (Commission File Number) (IRS Employer of incorporation) Identification No.) 2033 GATEWAY PLACE SUITE 500 SAN JOSE, CALIFORNIA 95110 (Address of principal executive offices and zip code) Registrant's telephone number, including area code: (408) 573-3620 ITEM 5. OTHER EVENTS. On July 18, 2002, Metricom, Inc., Metricom Finance, Inc., Metricom New York, L.L.C., Metricom Investments DC, Inc., Metricom DC, L.L.C., debtors-in-possession, in chapter 11 case nos. 01-53291, 01-53297, 01-53301, 01-53302 and 01-53300 (Jointly Administered), filed a monthly operating report for the month of June 2002 with the United States Bankruptcy Court for the Northern District of California in San Jose, California, a copy of which is filed herewith as Exhibit 99.1. ITEM 7. FINANCIAL STATEMENTS, PRO FORMA FINANCIAL INFORMATION AND EXHIBITS. (c) Exhibits. EXHIBIT NO. DESCRIPTION 99.1 Chapter 11 Monthly Operating Report for June 2002 filed by Metricom, Inc., Metricom Finance, Inc., Metricom New York, L.L.C., Metricom Investments DC, Inc., Metricom DC, L.L.C., debtors-in-possession, in chapter 11 case nos. 01-53291, 01-53297, 01-53301, 01-53302 and 01-53300 (Jointly Administered), filed with the United States Bankruptcy Court for the Northern District of California in San Jose, California. 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. METRICOM, INC. Date: July 24, 2002 By: /s/ Eugene A. Reilly ---------------------------------------------- Eugene A. Reilly Chief Financial Officer and General Counsel EX-99.1 3 f83083exv99w1.txt EXHIBIT 99.1 UNITED STATES BANKRUPTCY COURT NORTHERN DISTRICT OF CALIFORNIA In re: Metricom, Inc. CASE NO. 01-53291 ------------------ CHAPTER 11 MONTHLY OPERATING REPORT (GENERAL BUSINESS CASE) SUMMARY OF FINANCIAL STATUS MONTH ENDED: Jun-02 PETITION DATE: 07/02/01 1. Debtor in possession (or trustee) hereby submits this Monthly Operating Report on the Accrual Basis of accounting (or if checked here ____ the Office of the U.S. Trustee or the Court has approved the Cash Basis of Accounting for the Debtor). Dollars reported in $1
2. ASSET AND LIABILITY STRUCTURE END OF CURRENT END OF PRIOR AS OF PETITION MONTH MONTH FILING(1) ---------------- ---------------- ---------------- a. Current Assets $141,411,570 $180,888,146 ---------------- ---------------- b. Total Assets $316,032,403 $355,526,165 $922,513,084 ---------------- ---------------- ---------------- c. Current Liabilities $2,606,415 $2,514,589 ---------------- ---------------- d. Total Liabilities $336,302,807 $375,801,611 $340,671,459 ---------------- ---------------- ----------------
CUMULATIVE 3. STATEMENT OF CASH RECEIPTS & DISBURSEMENTS FOR MONTH CURRENT MONTH PRIOR MONTH (CASE TO DATE) ---------------- ---------------- ---------------- a. Total Receipts $249,254 $420,587 $17,972,949 ---------------- ---------------- ---------------- b. Total Disbursements $39,617,304 $1,152,076 $71,646,853 ---------------- ---------------- ---------------- c. Excess (Deficiency) of Receipts Over Disbursements (a - b) $(39,368,050) $(731,489) $(53,673,904) ---------------- ---------------- ---------------- d. Cash Balance Beginning of Month $173,025,142 $173,756,631 $187,330,996 ---------------- ---------------- ---------------- e. Cash Balance End of Month (c + d ) $133,657,092 $173,025,142 $133,657,092 ---------------- ---------------- ----------------
CUMULATIVE CURRENT MONTH PRIOR MONTH (CASE TO DATE) ---------------- ---------------- ---------------- 4. PROFIT/(LOSS) FROM THE STATEMENT OF OPERATIONS $52,237 $(554,568) $(571,163,720) ---------------- ---------------- ---------------- 5. ACCOUNT RECEIVABLES (PRE AND POST PETITION) $5,212,106 $5,238,188 ---------------- ---------------- 6. POST-PETITION LIABILITIES $2,606,415 $2,514,589 ---------------- ---------------- 7. PAST DUE POST-PETITION ACCOUNT PAYABLES (OVER 30 DAYS) $644,405 $597,876 ---------------- ----------------
AT THE END OF THIS REPORTING MONTH: YES NO --- --- 8. Have any payments been made on pre-petition debt, other than payments in X the normal course to secured creditors or lessors? (if yes, attach listing including date of payment, amount of payment and name of payee) --- --- 9. Have any payments been made to professionals? (if yes, attach listing X including date of payment, amount of payment and name of payee) --- --- 10. If the answer is yes to 8 or 9, were all such payments approved by the X court? --- --- 11. Have any payments been made to officers, insiders, shareholders, relatives? X (if yes, attach listing including date of payment, amount and reason for payment, and name of payee) --- --- 12. Is the estate insured for replacement cost of assets and for general X liability? --- --- 13. Are a plan and disclosure statement on file? X(2) --- --- 14. Was there any post-petition borrowing during this reporting period? X --- --- 15. Check if paid: Post-petition taxes (3); U.S. Trustee Quarterly Fees X; Check if filing is current for: Post-petition --- -- tax reporting and tax returns: X ---
(Attach explanation, if post-petition taxes or U.S. Trustee Quarterly Fees are not paid current or if post-petition tax reporting and tax return filings are not current.) NOTES: (1) AS MAINTAINED ON THE DEBTOR'S BOOKS. (2) THE DEBTOR FILED ITS LIQUIDATING PLAN OF REORGANIZATION AND DISCLOSURE STATEMENT ON JUNE 7, 2002. (3) POST-PETITION TAXES ARE ACCRUED, ESTIMATED SALES TAXES RELATED TO THE SALE OF THE DEBTOR'S ASSETS TO AERIE NETWORKS. DEBTOR IS CURRENTLY DISPUTING THESE TAXES WITH THE BANKRUPTCY COURT. I declare under penalty of perjury I have reviewed the above summary and attached financial statements, and after making reasonable inquiry believe these documents are correct. Date: 07/18/02 /s/ EUGENE A. REILLY ----------------------- ------------------------------------------- Responsible Individual Page 1 of 12 SUMMARY OF FINANCIAL STATUS QUESTION 8
PAYEE DATE OF PAYMENT AMOUNT PAID - ----- --------------- --------------- Bondholders 6/14/2002 $39,000,000.00 ===============
Page 2 of 12 SUMMARY OF FINANCIAL STATUS QUESTION 9
PAYEE DATE OF PAYMENT AMOUNT PAID - ----- --------------- ------------ Nightingale & Assoc., LLC 6/4/2002 $ 85,335.36 Ernst & Young 6/7/2002 $142,006.00 Murphy Sheneman Julian & Rogers 6/7/2002 $103,446.29 Pachulski, Stang, Ziehl, Young & Jones 6/7/2002 $ 25,499.57 Gibson, Dunn & Crutcher 6/7/2002 $ 21,727.57 PriceWaterhouseCoopers 6/7/2002 $ 62,974.70 ----------- $440,989.49 ===========
Page 3 of 12 STATEMENT OF OPERATIONS (GENERAL BUSINESS CASE) For the Month Ended 06/30/02
CURRENT MONTH CUMULATIVE NEXT MONTH - ------------------------------------------------- ACTUAL FORECAST(1) VARIANCE (CASE TO DATE) FORECAST(2) - ------------- --------------- --------------- ----------------- ---------------- REVENUES: $0 n/a n/a 1 Gross Sales $1,944,095 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 2 less: Sales Returns & Allowances n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 3 Net Sales $1,944,095 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 4 less: Cost of Goods Sold (Schedule "B") $13,523,137 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a Gross Profit $(11,579,042) n/a - ------------- --------------- --------------- ----------------- --------------- $229,880 n/a n/a 6 Interest $4,322,417 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 7 Other Income: Proceeds from sale of $1,779,385 n/a - ------------- --------------- --------------- common stock in Packeteer, Inc. ----------------- --------------- 8 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- 9 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- $229,880 n/a n/a 10 TOTAL REVENUES $(5,477,240) n/a - ------------- --------------- --------------- ----------------- --------------- EXPENSES: $0 n/a n/a 11 Compensation to Owner(s)/Officer(s) $339,114 n/a - ------------- --------------- --------------- ----------------- --------------- $69,263 n/a n/a 12 Salaries (4) $3,648,934 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 13 Commissions $16,225 n/a - ------------- --------------- --------------- ----------------- --------------- $2,812 n/a n/a 14 Contract Labor $678,982 n/a - ------------- --------------- --------------- ----------------- --------------- Rent/Lease: $0 n/a n/a 15 Personal Property $63,284 n/a - ------------ --------------- --------------- ----------------- -------------- $10,467 n/a n/a 16 Real Property $4,255,609 n/a - ------------- --------------- --------------- ----------------- --------------- $80,473 n/a n/a 17 Insurance $1,048,844 n/a - ------------- --------------- --------------- ----------------- --------------- 18 Management Fees - ------------- --------------- --------------- ----------------- --------------- $495 n/a n/a 19 Depreciation $32,788,718 n/a - ------------- --------------- --------------- ----------------- --------------- Taxes: 20 Employer Payroll Taxes - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 21 Real Property Taxes $16,822 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 22 Other Taxes $280,309 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 23 Other Selling $359,386 n/a - ------------- --------------- --------------- ----------------- --------------- $37,994 n/a n/a 24 Other Administrative $2,212,484 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 25 Interest Expense $1,726,246 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 26 Other Expenses: Bonus $1,499,172 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 27 Overtime $29,404 n/a - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- $0 n/a n/a 28 Fringe benefit $896,383 n/a - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- $0 n/a n/a 29 Severance $912,712 n/a - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- $0 n/a n/a 30 Repair & Maintenance $1,146,626 n/a - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- $84 n/a n/a 31 Travel $134,364 n/a - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- $0 n/a n/a 32 Telephone $404,055 n/a - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- 33 IS & Facility $0 n/a n/a Allocation $(1,483,937) n/a - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- $0 n/a n/a 34 Cleaning Services $91,697 n/a - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- $201,588 n/a n/a 35 TOTAL EXPENSES $51,065,433 n/a - ------------- --------------- --------------- ----------------- --------------- $28,292 n/a n/a 36 SUBTOTAL $(56,542,673) n/a - ------------- --------------- --------------- ----------------- --------------- REORGANIZATION ITEMS: $(517,387) n/a n/a 37 Professional Fees $(9,733,012) n/a - ------------- --------------- --------------- ----------------- --------------- 38 Provisions for Rejected Executory n/a n/a Contracts n/a - ------------- --------------- --------------- ----------------- --------------- n/a n/a 39 Interest Earned on Accumulated Cash from n/a - ------------- --------------- --------------- Resulting Chp 11 Case ----------------- -------------- $0 n/a n/a 40 Gain or (Loss) from Sale of Equipment $(491,930,622) n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 41 U.S. Trustee Quarterly Fees $(31,000) n/a - ------------- --------------- --------------- ----------------- --------------- 42 Writeoff of Pre-Petition Fringe Benefit $0 n/a n/a Accrual $1,108,719 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 43 Writeoff of Pre-Petition Accrued Bonus $4,909,952 n/a - ------------- --------------- --------------- ----------------------------------------- ----------------- --------------- $0 n/a n/a 44 Writeoff of Debt & Warrant Offering Cost $(7,255,999) n/a - ------------- --------------- --------------- ----------------------------------------- ----------------- --------------- $0 n/a n/a 45 Writeoff of Deferred Cost of Sales $(2,961,114) n/a - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- $0 n/a n/a 46 Writeoff of Investment in Subsidiaries $(5,185,973) n/a - ------------- --------------- --------------- ----------------------------------------- ----------------- --------------- $0 n/a n/a 47 Writeoff Prepaid Expenses $(2,064,761) n/a - ------------- --------------- --------------- ----------------------------------------- ----------------- --------------- $0 n/a n/a 48 Settlement Charges $(1,457,923) n/a - ------------- --------------- --------------- ----------------------------------------- ----------------- --------------- 49 Expenses for pre-petition $0 n/a n/a liabilities(3) $(750,000) n/a - ------------- --------------- --------------- ----------------------------------------- ----------------- --------------- $0 n/a n/a 50 Refund on collocation site $189,354 n/a - ------------- --------------- --------------- ------------------------------- --------- ----------------- --------------- 51 Gain on adjustment of pre-petition bond $541,332 interest $541,332 - ------------- --------------- --------------- ----------------------------------------- ----------------- -------------- $23,945 n/a n/a 52 TOTAL REORGANIZATION ITEMS $(514,621,047) n/a - ------------- --------------- --------------- ----------------- --------------- 53 NET PROFIT (LOSS) BEFORE FEDERAL & STATE $52,237 n/a n/a TAXES $(571,163,720) n/a - ------------- --------------- --------------- ----------------- --------------- n/a n/a 54 Federal & State Income Taxes $0 n/a - ------------- --------------- --------------- ----------------- --------------- $52,237 n/a n/a 55 NET PROFIT (LOSS) $(571,163,720) n/a ============= =============== =============== ================= ===============
Attach an Explanation of Variance to Statement of Operations (For variances greater than +/- 10% only): NOTES: (1) The Debtor did not file a formal operations forecast with the Bankruptcy Court for this period. (2) The Debtor will not be filing a formal operations forecast with the Bankruptcy Court for the upcoming period. (3) Expense the settlement of unrecorded pre-petition debt. Payment made from restricted cash - Surety Bonds. (4) Includes payments made to former employees who are currently working under consulting agreements. Page 4 of 12 BALANCE SHEET (GENERAL BUSINESS CASE) FOR THE MONTH ENDED 06/30/02 ASSETS
FROM SCHEDULES BOOK VALUE --------------- ------------- CURRENT ASSETS 1 Cash, cash equivalents and short term investment - unrestricted $126,173,708 ------------- 2 Cash, cash equivalents and short term investment - restricted $7,483,384 ------------- 3 Accounts receivable (net) A $5,212,106 ------------- 4 Inventory(2) B $0 ------------- 5 Prepaid expenses $1,191,819 ------------- 6 Professional retainers $99,278 ------------- 7 Other:Deferred Cost of Sales(3) $0 --------------------------------------------- ------------- 8 Deposits $1,249,847 --------------------------------------------- ------------- 9 Other receivable $0 --------------------------------------------- ------------- 10 Others $1,429 --------------------------------------------------- ------------- 11 TOTAL CURRENT ASSETS $141,411,570 ------------- PROPERTY AND EQUIPMENT (BOOK VALUE)(2) 12 Real property C $0 ------------- 13 Machinery and equipment D $4,164 ------------- 14 Furniture and fixtures D $0 ------------- 15 Network equipment D $0 ------------- 16 Leasehold improvements D $0 ------------- 17 Vehicles D $0 ------------- 18 Other: D --------------------------------------------- ------------- 19 D --------------------------------------------------- ------------- 20 TOTAL PROPERTY AND EQUIPMENT $4,164 ------------- OTHER ASSETS 21 Network Equipment & Inventory(2) $0 ------------- 22 Deferred Cost of Sales-Long term(3) $0 ------------- 23 Long Term Deposits $642,064 ------------- 24 Investment in subsidiaries(3) $0 --------------------------------------------------- ------------- 25 WCS Spectrum $1,219,193 --------------------------------------------------- ------------- 26 Debt & Warrant Offering-2000(3) $0 --------------------------------------------------- ------------- 27 Intercompany receivables-Metricom DC, LLC(1) $172,755,411 --------------------------------------------------- ------------- 28 TOTAL OTHER ASSETS $174,616,668 ------------- 29 TOTAL ASSETS $316,032,403 =============
NOTE: Indicate the method used to estimate the market value of assets (e.g., appraisals; familiarity with comparable market prices, etc.) and the date the value was determined. (1) Prior year adjustment retroactive to 12/31/00 due to the change in the management fee of Metricom DC, LLC., a wholly-owned subsidiary of the Debtor. (2) Inventory and PP&E were sold via the Company's public auction on November 27, 2001 and to Aerie Networks. The remaining assets are computers only. (3) Deferred Cost of Sales, Debt & Warrant Offering cost and Investment in subsidiaries were written off from the books on 12/31/01. The book value of assets as maintained in the Debtor's records is reported above. No valuation of the assets has been made at this time. Page 5 of 12 LIABILITIES AND EQUITY (GENERAL BUSINESS CASE) LIABILITIES FROM SCHEDULES POST-PETITION
CURRENT LIABILITIES 30 Salaries and wages $0 ----------------- 31 Payroll taxes $0 ----------------- 32 Real and personal property taxes $0 ----------------- 33 Bonus $0 ----------------- 34 Vacation $0 ----------------- 35 Sales and use tax payable $15,868 ----------------- 36 Accounts payable (trade) A $1,115,577 ----------------- 37 Franchise Tax Payable $8,035 ----------------- 38 Fringe Benefits Applied $68,435 ----------------- 39 Accrued professional fees $1,410,500 ----------------- 40 Current portion of long-term post-petition debt (due within 12 months) ----------------- 41 Other: Others $(12,000) ------------------------------------ ----------------- 42 --------------------------------------------- ----------------- 43 --------------------------------------------- ----------------- 44 TOTAL CURRENT LIABILITIES $2,606,415 ----------------- 45 LONG-TERM POST-PETITION DEBT, NET OF CURRENT PORTION $0 ----------------- 46 TOTAL POST-PETITION LIABILITIES $2,606,415 ----------------- PRE-PETITION LIABILITIES (ALLOWED AMOUNT) 47 Secured claims F $3,470,874 ----------------- 48 Priority unsecured claims F $3,638,869 ----------------- 49 General unsecured claims F $326,586,650 ----------------- 50 TOTAL PRE-PETITION LIABILITIES $333,696,392 ----------------- 51 TOTAL LIABILITIES $336,302,807 ----------------- EQUITY (DEFICIT) 52 Retained Earnings/(Deficit) at time of filing(1) $(885,004,240) ----------------- 53 Capital Stock $30,920 ----------------- 54 Additional paid-in capital $790,757,686 ----------------- 55 Warrants to purchase Common Stock $6,328,173 ----------------- 56 Accum other comprehensive income $102,873 ----------------- 57 Cumulative profit/(loss) since filing of case $(571,163,720) ----------------- Preferred Stock $638,677,904 ----------------- 58 Equity adjustment for pre-petition liabilities due to Chapter 11 filing(2) $0 ----------------- 59 TOTAL EQUITY (DEFICIT) $(20,270,404) ----------------- 60 TOTAL LIABILITIES AND EQUITY (DEFICIT) $316,032,403 =================
NOTE: (1) Prior year adjustment retroactive to 12/31/00 due to the change in the management fee of Metricom DC, LLC., a wholly-owned subsidiary of the Debtor. (2) Reclassification of the pre-petition liabilities from Equity to Schedule F. The amounts were erroneously scheduled in prior Monthly Operation Reports as an adjustment to equity. Page 6 of 12 SCHEDULES TO THE BALANCE SHEET (GENERAL BUSINESS CASE) SCHEDULE A ACCOUNTS RECEIVABLE AND (NET) PAYABLE
ACCOUNTS RECEIVABLE ACCOUNTS PAYABLE PAST DUE RECEIVABLES AND PAYABLES AGINGS [PRE AND POST PETITION] [POST PETITION] POST PETITION DEBT - ------------------------------- ----------------------- --------------- ------------------ 0-30 Days $0 $471,172 ----------------------- --------------- 31-60 Days $0 $48,535 ----------------------- --------------- 61-90 Days $0 $155,139 $644,405(1) ----------------------- --------------- ------------------ 91+ Days $6,857,104 $440,732 ----------------------- --------------- Total accounts receivable/payable $6,857,104 $1,115,577 ----------------------- =============== Allowance for doubtful accounts $1,644,998 ----------------------- Accounts receivable (net) $5,212,106 =======================
SCHEDULE B INVENTORY/COST OF GOODS SOLD
TYPES AND AMOUNT OF INVENTORY(IES) COST OF GOODS SOLD - ---------------------------------- ------------------ ------------------- INVENTORY(IES) BALANCE AT END OF MONTH INVENTORY BEGINNING OF MONTH $0 ------------------- Add - Retail/Restaurants - Net purchase ------------------- Product for resale Direct labor -------------------------- ------------------- Manufacturing overhead ------------------- Distribution - Freight in ------------------- Products for resale Other: $0 -------------------------- ------------------- $0 --------------------------------- ------------------- Manufacturer - $0 --------------------------------- ------------------- Raw Materials $0 -------------------------- Work-in-progress $0 Less - -------------------------- Finished goods $0 Inventory End of Month $0 -------------------------- ------------------- Shrinkage ------------------- Other - Explain Inventory sold and write off -------------------------- ------------------- ------------------------------ Cost of Goods Sold $0 ------------------------------ =================== TOTAL $0 ==========================
METHOD OF INVENTORY CONTROL INVENTORY VALUATION METHODS Do you have a functioning perpetual inventory system? Indicate by a checkmark method of inventory used. Yes No ----- ----- How often do you take a complete physical inventory? Valuation methods - FIFO cost -- Weekly LIFO cost ------ -- Monthly Lower of cost or market ------ -- Quarterly Retail method ------ -- Semi-annually Other ------ -- Annually Explain ------ Date of last physical inventory was Not Applicable ------------------------ ------------------------------------------------------------- ------------------------------------------------------------- Date of next physical inventory is Not Applicable ------------------------- -------------------------------------------------------------
NOTE: (1) Represents the 20% holdback of approved professional fees and $404,120 of professional fee invoice from Houlihan Lokey. Page 7 of 12 SCHEDULE C REAL PROPERTY
Description COST MARKET VALUE - ----------- ---------------- -------------------- None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ====================
SCHEDULE D OTHER DEPRECIABLE ASSETS(1)
Description COST BOOK VALUE - ----------- ---- ---------- Machinery & Equipment - Computer Hardware $21,302 $21,302 ------------------------------ ---------------- -------------------- Accumulated Depreciation $(17,138) $(17,138) ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $4,164 $4,164 ================ ==================== Furniture & Fixtures - ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Network Equipment - ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Leasehold Improvements - ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Vehicles - ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ====================
NOTE: (1) Sale of assets through the Company's public auction dated November 27, 2001 and to Aerie Networks. Page 8 of 12 SCHEDULE E AGING OF POST-PETITION TAXES (AS OF END OF THE CURRENT REPORTING PERIOD)
TAXES PAYABLE(1) 0-30 DAYS 31-60 DAYS 61-90 DAYS 91+ DAYS TOTAL - ---------------- -------------- --------------- -------------- -------------- ------------- FEDERAL Income Tax Withholding $0 $0 -------------- --------------- -------------- -------------- ------------- FICA - Employee $0 $0 -------------- --------------- -------------- -------------- ------------- FICA - Employer $0 $0 -------------- --------------- -------------- -------------- ------------- Unemployment (FUTA) $0 $0 -------------- --------------- -------------- -------------- ------------- Income $0 $0 -------------- --------------- -------------- -------------- ------------- Other (Attach List) $0 $0 -------------- --------------- -------------- -------------- ------------- TOTAL FEDERAL TAXES $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- STATE AND LOCAL Income Tax Withholding $0 $0 -------------- --------------- -------------- -------------- ------------- Unemployment (UT) $0 $0 -------------- --------------- -------------- -------------- ------------- Disability Insurance (DI) $0 $0 -------------- --------------- -------------- -------------- ------------- Empl. Training Tax (ETT) $0 $0 -------------- --------------- -------------- -------------- ------------- Sales and Use Tax $0 $15,868 $15,868 -------------- --------------- -------------- -------------- ------------- Excise $0 $0 -------------- --------------- -------------- -------------- ------------- Real property(2) $0 $0 -------------- --------------- -------------- -------------- ------------- Personal property(2) $0 $0 -------------- --------------- -------------- -------------- ------------- Income $0 $0 -------------- --------------- -------------- -------------- ------------- Other (Franchise Tax) $0 $0 $0 $8,035 $8,035 -------------- --------------- -------------- -------------- ------------- TOTAL STATE & LOCAL TAXES $0 $0 $0 $23,903 $23,903 -------------- --------------- -------------- -------------- ------------- TOTAL TAXES $0 $0 $0 $23,903 $23,903 ============== =============== ============== ============== =============
(1) ACCRUAL BASIS ACCOUNTING REPORTED FOR POST-PETITION TAXES. (2) IN PRIOR MONTHLY OPERATING REPORTS, $220,000 AND $1,847,592 WERE REPORTED ERRONEOUSLY AS POST-PETITION REAL AND PERSONAL PROPERTY TAXES, WHICH SHOULD HAVE BEEN SCHEDULED AS PRE-PETITION TAXES. SCHEDULE F PRE-PETITION LIABILITIES
CLAIMED ALLOWED LIST TOTAL CLAIMS FOR EACH CLASSIFICATION - AMOUNT(2) AMOUNT(3) - ------------------------------------------- -------------- -------------- Secured claims(1) $3,470,874 $3,470,874 -------------- -------------- Priority claims other than taxes $4,650 $364,522 -------------- -------------- Priority tax claims $1,979,948 $3,274,347 -------------- -------------- General unsecured claims $961,883,175 $326,586,650 -------------- --------------
(1) The balance represents the amount originally filed in the Debtors' Schedule of Assets and Liabilities (SoAL). (2) The above amount represents the total claimed amount originally filed. As of 6/30/02 Creditors have filed claims of approximately $1.0 billion. The Debtors are reviewing all filed claims and will revise the listed amounts in subsequent Monthly Operating Reports. (3) The total represents the Debtors' balance recorded in accordance with GAAP as of 6/30/02. This amount does not include any contingent, unliquidated, or disputed claims that were either originally scheduled by the Debtor or filed as a claim by the Creditors. As of 6/30/02 the total amount of the claims filed was approximately $1.0 billion. The Debtor is working with its financial and legal advisors to assess the validity of each claim to determine the estimated allowed amount. In addition, on 6/14/02 approximately $39,000,000 was paid to the Bondholders for the accrual interest and and principal. SCHEDULE G RENTAL INCOME INFORMATION NOT APPLICABLE TO GENERAL BUSINESS CASES SCHEDULE H RECAPITULATION OF FUNDS HELD AT END OF MONTH
ACCOUNT 1 ACCOUNT 2 ACCOUNT 3 ACCOUNT 4 -------------- --------------- -------------- -------------- Bank Please refer to attached statement. -------------- --------------- -------------- -------------- Account Type -------------- --------------- -------------- -------------- Account No. -------------- --------------- -------------- -------------- Account Purpose -------------- --------------- -------------- -------------- Balance, End of Month -------------- --------------- -------------- -------------- Total Funds on Hand for all Accounts $133,657,092 --------------
Attach copies of the month end bank statement(s), reconciliation(s), and the check register(s) to the Monthly Operating Report. Page 9 of 12 SCHEDULE H RECAPITULATION OF FUNDS HELD AT END OF MONTH
ACCOUNT NO. ACCOUNT TYPE ---------- ------------------------------------- BANKS Wells Fargo General Account 4487-098311 General Banking Wells Fargo Controlled Disbursement Account 4759-600877 General Banking Wells Fargo Southeast PC Account 4375-685799 General Banking Wells Fargo Northeast Account 4375-685815 General Banking Wells Fargo Western Region Account 4375-685823 General Banking Wells Fargo Northern Central Account 4375-686193 General Banking Wells Fargo Ricochet Account 4487-098485 General Banking Wells Fargo Metricom Account 4496-812934 General Banking Wells Fargo Flex Benefits Account 4761-067420 General Banking Wells Fargo Medical Benefits Account 4761-067438 General Banking Wells Fargo LLC Account 4487-099655 General Banking Union Bank of California 6450-135869 General Banking Union Bank of California - Payroll 6450-136792 General Banking Union Bank of California - General 2180043112 CHPT. 11 Banking Union Bank of California - General 2180043244 CHPT. 11 Banking Union Bank of California - Payroll 2180043252 CHPT. 11 Banking Union Bank of California - Tax 2180043260 CHPT. 11 Banking Union Bank of California - Medical 2180043279 CHPT. 11 Banking Union Bank of California - Flex Benefits 2180043287 CHPT. 11 Banking Union Bank of California - Escrow 2180043740 CHPT. 11 Banking Union Bank of California - General Pre-petition 2180043147 General Banking Union Bank of California - Payroll Pre-petition 2180043155 General Banking Wells Fargo CD's MONEY MARKET ACCOUNTS Janus Institutional 881-881235108 Money Market Funds Fidelity Institutional 0059-00493084842 Money Market Funds JP Morgan Institutional 5012931 Money Market Funds Dreyfus Institutional 288-0981002876 Money Market Funds INSTITUTIONAL ACCOUNTS - ST INVESTMENTS AIG Money Market Fund 000MB2890-1 Investments in CP, Money Market Funds, Treasuries Morgan Stanley & Co. 14-78C44-1 Investments in CP, Money Market Funds, Treasuries Salomon Smith Barney 449-0H399-19 Investments in CP, Money Market Funds, Treasuries Lehman Brothers 833-79266-15 Investments in CP, Money Market Funds, Treasuries Wells Fargo Asset Mgmt 138816 Investments in CP, Money Market Funds, Treasuries Wells Fargo Asset Mgmt Pledged 2215431 Investments in CP, Money Market Funds, Treasuries LT INVESTMENTS Bank One 204821-000 Government T-Strips State Street Bank 127415-010 Money Market account EQUITY INVESTMENTS Lehman Brothers 833-41241-15 Equity stake in Packeteer, Inc. Petty Cash on hand
6/30/2002 6/30/2002 ACCOUNT PURPOSE BANK BALANCE BOOK BALANCE ----------------------------------------------------- -------------- -------------- BANKS Wells Fargo General Account General Banking $0 $0 Wells Fargo Controlled Disbursement Account General Banking $0 $0 Wells Fargo Southeast PC Account General Banking $0 $0 Wells Fargo Northeast Account General Banking $0 $0 Wells Fargo Western Region Account General Banking $0 $0 Wells Fargo Northern Central Account General Banking $0 $0 Wells Fargo Ricochet Account General Banking $0 $0 Wells Fargo Metricom Account General Banking $0 $0 Wells Fargo Flex Benefits Account General Banking $0 $0 Wells Fargo Medical Benefits Account General Banking $0 $0 Wells Fargo LLC Account General Banking $0 $0 Union Bank of California General Banking $0 $0 Union Bank of California - Payroll General Banking $0 $0 Union Bank of California - General General Banking $0 $0 Union Bank of California - General General Banking $107,185 $6,647 Union Bank of California - Payroll General Banking $5,835 $5,835 Union Bank of California - Tax General Banking $0 $0 Union Bank of California - Medical General Banking $459 $459 Union Bank of California - Flex Benefits General Banking $0 $0 Union Bank of California - Escrow General Banking $0 $0 Union Bank of California - General Pre-petition General Banking $0 $0 Union Bank of California - Payroll Pre-petition General Banking $0 $0 Wells Fargo CD's MONEY MARKET ACCOUNTS Janus Institutional Account invests in A1/P1 funds only $51,874,632 $51,874,632 Fidelity Institutional Account invests in A1/P1 funds only $33,314,471 $33,314,471 JP Morgan Institutional Account invests in A1/P1 funds only $0 Dreyfus Institutional Account invests in A1/P1 funds only $0 $0 INSTITUTIONAL ACCOUNTS - ST INVESTMENTS AIG Money Market Fund Account invests in A1/P1 funds only $5,503,074 $5,503,074 Morgan Stanley & Co. Account invests in A1/P1 funds only $39,508,518 $39,508,518 Salomon Smith Barney Account invests in A1/P1 funds only $0 $0 Lehman Brothers Account invests in A1/P1 funds only $1,219,181 $1,219,181 Wells Fargo Asset Mgmt Account invests in A1/P1 funds only $151,471 $151,471 Wells Fargo Asset Mgmt Pledged Account holds collateral for outstanding Letters of Credit $1,470,892 $1,470,892 LT INVESTMENTS Bank One Restricted Bonds for Coupon payments $220,188 $220,188 State Street Bank Escrow account for Tim Dreisbach $289,229 $289,229 EQUITY INVESTMENTS Lehman Brothers Own 20,700 stake in PKTR at a purchase price of $0.25 $91,494 $91,494 Petty Cash on hand $1,000 $1,000 ------------- ------------ $133,757,630 $133,657,092 ============= ============
Page 10 of 12 STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS FOR THE MONTH ENDED 06/30/02
Actual Cumulative Current Month (Case to Date) ------------- ------------ CASH RECEIPTS 1 Rent/Leases Collected ------------- ------------ 2 Cash Received from Sales $4,951 $828,337 ------------- ------------ 3 Interest Received $229,635 $3,437,549 ------------- ------------ 4 Borrowings ------------- ------------ 5 Funds from Shareholders, Partners, or Other Insiders ------------- ------------ 6 Capital Contributions ------------- ------------ 7 Legal Settlement $9,000 ------------------------------------------------------ ------------- ------------ 8 Proceeds from sale of common stock in Packeteer, Inc. $1,810,635 ------------------------------------------------------ ------------- ------------ 9 Interest Accrued on Government Strip $913,643 ------------------------------------------------------ ------------- ------------ 10 Unrealized gain on short term investment $124,307 ------------------------------------------------------ ------------- ------------ 11 Proceeds from sale of fixed assets/Inventory $9,575,568 ------------------------------------------------------ ------------- ------------ 12 Miscellaneous refund $14,668 $799,684 ------------------------------------------------------ ------------- ------------ 13 Voided cashier's checks paid for pre-petition liabilities $474,226 ------------------------------------------------------ ------------- ------------ 14 TOTAL CASH RECEIPTS $249,254 $17,972,949 ------------- ------------ CASH DISBURSEMENTS 15 Payments for Inventory ------------- ------------ 16 Selling ------------- ------------ 17 Administrative $45,462 $10,534,974 ------------- ------------ 18 Capital Expenditures ------------- ------------ 19 Principal Payments on Debt ------------- ------------ 20 Interest Paid on Bonds (Court Approved) $39,000,000 $39,000,000 ------------- ------------ Rent/Lease: 21 Personal Property ------------- ------------ 22 Real Property $10,467 $4,187,503 ------------- ------------ Amount Paid to Owner(s)/Officer(s) 23 Salaries $222,327 ------------- ------------ 24 Draws ------------- ------------ 25 Commissions/Royalties ------------- ------------ 26 Expense Reimbursements $7,618 ------------- ------------ 27 Other (includes Retention Bonuses) $142,897 ------------- ------------ 28 Salaries/Commissions (less employee withholding) (3) $72,124 $4,382,139 ------------- ------------ 29 Management Fees ------------- ------------ Taxes: 30 Employee Withholding $2,399,779 ------------- ------------ 31 Employer Payroll Taxes $351,492 ------------- ------------ 32 Real Property Taxes $237,230 ------------- ------------ 33 Other Taxes $229,867 ------------- ------------ 34 Other Cash Outflows: ------------- ------------ 35 ESPP refund $512,394 ------------------------------------------------- ------------- ------------ 36 Employee Expense Reimbursements (3) $1,066 $228,298 ------------------------------------------------- ------------- ------------ 37 Severance $448,842 ------------------------------------------------- ------------- ------------ 38 Reverse the unrealized gain for Packeteer Shares(1) $47,196 $1,622,618 ------------------------------------------------- ------------- ------------ 39 Retention Bonus $838,713 ------------------------------------------------- ------------- ------------ 40 Professional fees paid for services in connection with Chp 11 case $440,989 $4,061,239 ------------------------------------------------- ------------- ------------ 41 U.S. Trustee Quarterly Fees $31,000 ------------------------------------------------- ------------- ------------ 42 Expenses for Pre-petition liabilities(2) $750,000 ------------------------------------------------- ------------- ------------ 43 Court Approved Administrative Payments (Worldcom & Spectrasite) $1,457,923 ------------------------------------------------- ------------- ------------ 44 TOTAL CASH DISBURSEMENTS: $39,617,304 $71,646,853 ------------- ------------ 45 NET INCREASE (DECREASE) IN CASH $(39,368,050) $(53,673,904) ------------- ------------ 46 CASH BALANCE, BEGINNING OF PERIOD $173,025,142 $187,330,996 ------------- ------------ 47 CASH BALANCE, END OF PERIOD $133,657,092 $133,657,092 ============= ============
NOTES: (1) Adjustment to the Packeteer Stock for changes in market value from the petition date to the date of this report. (2) Reduction of restricted cash - Surety Bonds. (3) Includes payments made to former employees who are currently working under consulting agreements. Page 11 of 12 STATEMENT OF CASH FLOWS (OPTIONAL) INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS FOR THE MONTH ENDED 06/30/02
ACTUAL CUMULATIVE CASH FLOWS FROM OPERATING ACTIVITIES CURRENT MONTH (CASE TO DATE) -------------- -------------- 1 Cash Received from Sales $4,951 $828,337 -------------- -------------- 2 Rent/Leases Collected -------------- -------------- 3 Interest Received $229,635 $3,437,549 -------------- -------------- 4 Cash Paid to Suppliers -------------- -------------- 5 Cash Paid for Selling Expenses -------------- -------------- 6 Cash Paid for Administrative Expenses $45,462 $10,534,974 -------------- -------------- Cash Paid for Rents/Leases: 7 Personal Property -------------- -------------- 8 Real Property $10,467 $4,187,503 -------------- -------------- 9 Cash Paid for Interest -------------- -------------- 10 Cash Paid for Net Payroll and Benefits (3) $72,124 $4,382,139 -------------- -------------- Cash Paid to Owner(s)/Officer(s) 11 Salaries $222,327 -------------- -------------- 12 Draws -------------- -------------- 13 Commissions/Royalties -------------- -------------- 14 Expense Reimbursements $7,618 -------------- -------------- 15 Other (includes Retention Bonuses) $142,897 -------------- -------------- Cash Paid for Taxes Paid/Deposited to Tax Acct. 16 Employer Payroll Tax $351,492 -------------- -------------- 17 Employee Withholdings $2,399,779 -------------- -------------- 18 Real Property Taxes $237,230 -------------- -------------- 19 Other Taxes $229,867 -------------- -------------- 20 Cash Paid for General Expenses -------------- -------------- 21 Other cash inflows: ------------------------------------------------------------------- -------------- -------------- 22 Legal settlement $9,000 ------------------------------------------------------------------- -------------- -------------- 23 Proceeds from sale of common stock in Packeteer, Inc. $1,810,635 ------------------------------------------------------------------- -------------- -------------- 24 Interest accrued on government strip $913,643 ------------------------------------------------------------------- -------------- -------------- 25 Unrealized gain on short term investment $124,307 ------------------------------------------------------------------- -------------- -------------- 26 Proceeds from sale of fixed assets/Inventory $9,575,568 ------------------------------------------------------------------- -------------- -------------- 27 Miscellaneous refund $14,668 $799,684 ------------------------------------------------------------------- -------------- -------------- 28 Voided cashier's checks paid for pre-petition expenses $474,226 ------------------------------------------------------------------- -------------- -------------- Other cash outflows: ------------------------------------------------------------------- -------------- -------------- 29 ESPP refund $512,394 ------------------------------------------------------------------- -------------- -------------- 30 Employee expense reimbursement (3) $1,066 $228,298 ------------------------------------------------------------------- -------------- -------------- 31 Severance $448,842 ------------------------------------------------------------------- -------------- -------------- 32 Reverse the unrealized gain on Packeteer shares (1) $47,196 $1,622,618 ------------------------------------------------------------------- -------------- -------------- 33 Retention Bonus $838,713 ------------------------------------------------------------------- -------------- -------------- 34 Expenses for pre-petition liabilities (2) $750,000 ------------------------------------------------------------------- -------------- -------------- 35 Interest paid on Bonds (Court Approved) $39,000,000 $39,000,000 ------------------------------------------------------------------- -------------- -------------- 36 NET CASH PROVIDED (USED) BY OPERATING ACTIVITIES BEFORE REORGANIZATION ITEMS $(38,927,061) $(48,123,742) -------------- -------------- CASH FLOWS FROM REORGANIZATION ITEMS 37 Interest Received on Cash Accumulated Due to Chp 11 Case -------------- -------------- 38 Professional Fees Paid for Services in Connection with Chp 11 Case $(440,989) $(4,061,239) -------------- -------------- 39 U.S. Trustee Quarterly Fees $(31,000) ---------------------------------------------------- -------------- -------------- 40 Court Approved Administrative Payments (Worldcom & Spectrasite) $(1,457,923) ------------------------------------------------------------------- -------------- -------------- 41 NET CASH PROVIDED (USED) BY REORGANIZATION ITEMS $(440,989) $(5,550,162) -------------- -------------- 42 NET CASH PROVIDED (USED) FOR OPERATING ACTIVITIES AND REORGANIZATION ITEMS $(39,368,050) $(53,673,904) -------------- -------------- CASH FLOWS FROM INVESTING ACTIVITIES 43 Capital Expenditures -------------- -------------- 44 Proceeds from Sales of Capital Goods due to Chp 11 Case -------------- -------------- 45 ------------------------------------------------------------------- -------------- -------------- 46 NET CASH PROVIDED (USED) BY INVESTING ACTIVITIES $0 $0 -------------- -------------- CASH FLOWS FROM FINANCING ACTIVITIES 47 Net Borrowings (Except Insiders) -------------- -------------- 48 Net Borrowings from Shareholders, Partners, or Other Insiders -------------- -------------- 49 Capital Contributions -------------- -------------- 50 Principal Payments -------------- -------------- 51 ------------------------------------------------------------------- -------------- -------------- 52 NET CASH PROVIDED (USED) BY FINANCING ACTIVITIES $0 $0 -------------- -------------- 53 NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS $(39,368,050) $(53,673,904) -------------- -------------- 54 CASH AND CASH EQUIVALENTS AT BEGINNING OF MONTH $173,025,142 $187,330,996 -------------- -------------- 55 CASH AND CASH EQUIVALENTS AT END OF MONTH $133,657,092 $133,657,092 ============== ==============
NOTES: (1) Adjustment to the Packeteer Stock for changes in market value from the petition date to the date of this report. (2) Reduction of restricted cash - Surety Bonds. (3) Includes payments made to former employees who are currently working under consulting agreements. Page 12 of 12 UNITED STATES BANKRUPTCY COURT NORTHERN DISTRICT OF CALIFORNIA In re: Metricom, DC, L.L.C. CASE NO. 01-53300 ------------------ CHAPTER 11 MONTHLY OPERATING REPORT (GENERAL BUSINESS CASE) SUMMARY OF FINANCIAL STATUS MONTH ENDED: Jun-02 PETITION DATE: 07/02/01 1. Debtor in possession (or trustee) hereby submits this Monthly Operating Report on the Accrual Basis of accounting (or if checked here ____ the Office of the U.S. Trustee or the Court has approved the Cash Basis of Accounting for the Debtor). Dollars reported in $1
2. ASSET AND LIABILITY STRUCTURE END OF CURRENT END OF PRIOR AS OF PETITION MONTH MONTH FILING(1) ---------------- ---------------- ---------------- a. Current Assets $0 $0 ---------------- ---------------- b. Total Assets $747,656 $747,656 $180,022,607 ---------------- ---------------- ---------------- c. Current Liabilities $35,937 $35,937 ---------------- ---------------- d. Total Liabilities $173,539,004 $173,539,004 $180,367,549 ---------------- ---------------- ----------------
CUMULATIVE 3. STATEMENT OF CASH RECEIPTS & DISBURSEMENTS FOR MONTH CURRENT MONTH PRIOR MONTH (CASE TO DATE) ---------------- ---------------- ---------------- a. Total Receipts $0 $0 $0 ---------------- ---------------- ---------------- b. Total Disbursements $0 $0 $0 ---------------- ---------------- ---------------- c. Excess (Deficiency) of Receipts Over Disbursements (a - b) $0 $0 $0 ---------------- ---------------- ---------------- d. Cash Balance Beginning of Month $0 $0 $0 ---------------- ---------------- ---------------- e. Cash Balance End of Month (c + d) $0 $0 $0 ---------------- ---------------- ----------------
CUMULATIVE CURRENT MONTH PRIOR MONTH (CASE TO DATE) ---------------- ---------------- ---------------- 4. PROFIT/(LOSS) FROM THE STATEMENT OF OPERATIONS $0 $(166,780) $(179,331,118) ---------------- ---------------- ---------------- 5. ACCOUNT RECEIVABLES (PRE AND POST PETITION) $0 $0 ---------------- ---------------- 6. POST-PETITION LIABILITIES $35,937 $35,937 ---------------- ---------------- 7. PAST DUE POST-PETITION ACCOUNT PAYABLES (OVER 30 DAYS) $0 $0 ---------------- ----------------
AT THE END OF THIS REPORTING MONTH: YES NO --- --- 8. Have any payments been made on pre-petition debt, other than payments in X the normal course to secured creditors or lessors? (if yes, attach listing -------- -------- including date of payment, amount of payment and name of payee) 9. Have any payments been made to professionals? (if yes, attach listing X including payment, amount of payment and name of payee) -------- -------- 10. If the answer is yes to 8 or 9, were all such payments approved by the court? -------- -------- 11. Have any payments been made to officers, insiders, shareholders, relatives? X (if yes, attach listing including date of payment, amount and reason for -------- -------- payment, and name of payee) 12. Is the estate insured for replacement cost of assets and for general X liability? -------- -------- 13. Are a plan and disclosure statement on file? X(2) -------- -------- 14. Was there any post-petition borrowing during this reporting period? X -------- -------- 15. Check if paid: Post-petition taxes (3) U.S. Trustee Quarterly Fees ___; Check if filing is current for: Post-petition tax reporting and tax returns: ---
(Attach explanation, if post-petition taxes or U.S. Trustee Quarterly Fees are not paid current or if post-petition tax reporting and tax return filings are not current.) NOTES: (1) AS FILED WITH THE BANKRUPTCY COURT IN THE DEBTOR'S SCHEDULE OF ASSETS AND LIABILITIES. (2) THE DEBTOR FILED ITS LIQUIDATING PLAN OF REORGANIZATION AND DISCLOSURE STATEMENT ON JUNE 7, 2002. (3) POST-PETITION TAXES ARE ACCRUED, ESTIMATED SALES TAXES RELATED TO THE SALE OF THE DEBTOR'S ASSETS TO AERIE NETWORKS. DEBTOR IS CURRENTLY DISPUTING THESE TAXES WITH THE BANKRUPTCY COURT. I declare under penalty of perjury I have reviewed the above summary and attached financial statements, and after making reasonable inquiry believe these documents are correct. Date: 07/18/02 /s/ EUGENE A. REILLY ----------------------- ------------------------------------------- Responsible Individual Page 1 of 9 STATEMENT OF OPERATIONS (GENERAL BUSINESS CASE) For the Month Ended 06/30/02
CURRENT MONTH CUMULATIVE NEXT MONTH - ------------------------------------------------- ACTUAL FORECAST (1) VARIANCE (CASE TO DATE) FORECAST - ------------- --------------- --------------- ----------------- ---------------- REVENUES: $0 n/a n/a 1 Gross Sales $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 2 less: Sales Returns & Allowances $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 3 Net Sales $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 4 less: Cost of Goods Sold (Schedule "B") $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 5 Gross Profit $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 6 Interest $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 7 Other Income: $0 n/a - ------------- --------------- --------------- ------------------------ ----------------- --------------- 8 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- 9 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- $0 n/a n/a 10 TOTAL REVENUES $0 n/a - ------------- --------------- --------------- ----------------- --------------- EXPENSES: $0 n/a n/a 11 Compensation to Owner(s)/Officer(s) $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 12 Salaries(4) $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 13 Commissions $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 14 Contract Labor $0 n/a - ------------- --------------- --------------- ----------------- --------------- Rent/Lease: $0 n/a n/a 15 Personal Property $0 n/a - ------------- --------------- --------------- ------------------ --------------- $0 n/a n/a 16 Real Property $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 17 Insurance $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 18 Management Fees $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 19 Depreciation $0 n/a - ------------- --------------- --------------- ----------------- --------------- Taxes: $0 n/a n/a 20 Employer Payroll Taxes $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 21 Real Property Taxes $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 22 Other Taxes $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 23 Other Selling $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 24 Other Administrative $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 25 Interest Expense $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 26 Other Expenses: $0 n/a - ------------- --------------- --------------- --------------------- ----------------- --------------- 27 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- 28 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- 29 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- 30 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- 31 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- 32 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- 33 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- 34 - ------------- --------------- --------------- ---------------------------------------- ----------------- --------------- $0 n/a n/a 35 * TOTAL EXPENSES $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 36 SUBTOTAL $0 n/a - ------------- --------------- --------------- ----------------- --------------- REORGANIZATION ITEMS: $0 n/a n/a 37 Professional Fees $0 n/a - ------------- --------------- --------------- ----------------- --------------- 38 Provisions for Rejected Executory $0 n/a n/a Contracts $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 39 Interest Earned on Accumulated Cash $0 n/a - ------------- --------------- --------------- from Resulting Chp 11 Case ----------------- -------------- n/a n/a 40 Gain or (Loss) from Sale of Equipment(1) $(179,164,338) n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 41 U.S. Trustee Quarterly Fees $0 n/a - ------------- --------------- --------------- ----------------- --------------- 42 Pre-petition California sales tax $0 n/a n/a liabilities ($166,780) n/a - ------------- --------------- --------------- ------------------------------------------- ----------------- --------------- $0 n/a n/a 43 * TOTAL REORGANIZATION ITEMS ($179,331,118) n/a - ------------- --------------- --------------- ----------------- --------------- 44 NET PROFIT (LOSS) BEFORE FEDERAL AND $0 n/a n/a STATE TAXES ($179,331,118) n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 45 Federal and State Income Taxes $0 n/a - ------------- --------------- --------------- ----------------- --------------- $0 n/a n/a 46 Net Profit (Loss) ($179,331,118) n/a ============= =============== =============== ================= ===============
Attach an Explanation of Variance to Statement of Operations (For variances greater than +/- 10% only) NOTE: (1) To record the loss on the sale of assets to Aerie Networks. Page 2 of 9 BALANCE SHEET (GENERAL BUSINESS CASE) FOR THE MONTH ENDED 06/30/02 ASSETS
FROM SCHEDULES BOOK VALUE --------------- ------------- CURRENT ASSETS 1 Cash and cash equivalents - unrestricted $0 ------------- 2 Cash and cash equivalents - restricted $0 ------------- 3 Accounts receivable (net) A $0 ------------- 4 Inventory B $0 ------------- 5 Prepaid expenses $0 ------------- 6 Professional retainers $0 ------------- 7 Other: $0 --------------------------------------------- ------------- 8 --------------------------------------------- ------------- 9 TOTAL CURRENT ASSETS $0 ------------- PROPERTY AND EQUIPMENT (BOOK VALUE) 10 Real property C $0 ------------- 11 Machinery and equipment D $0 ------------- 12 Furniture and fixtures D $0 ------------- 13 Network equipment D $0 ------------- 14 Leasehold improvements D $0 ------------- 15 Vehicles D $0 ------------- 16 Other: D $0 --------------------------------------------- ------------- 17 D --------------------------------------------------- ------------- 18 D --------------------------------------------------- ------------- 19 D --------------------------------------------------- ------------- 20 D --------------------------------------------------- ------------- 21 TOTAL PROPERTY AND EQUIPMENT $0 ------------- OTHER ASSETS 22 Loans to shareholders $0 ------------- 23 Loans to affiliates $0 ------------- 24 Intercompany-Metricom Inc., the parent company $747,656 ------------- 25 --------------------------------------------------- ------------- 26 --------------------------------------------------- ------------- 27 --------------------------------------------------- ------------- 28 TOTAL OTHER ASSETS $747,656 ------------- 29 TOTAL ASSETS $747,656 =============
NOTE: Indicate the method used to estimate the market value of assets (e.g., appraisals; familiarity with comparable market prices, etc.) and the date the value was determined. Book value of assets has been reported above. No valuation of the Debtor's assets has been made at this time. Page 3 of 9 LIABILITIES AND EQUITY (GENERAL BUSINESS CASE) LIABILITIES FROM SCHEDULES POST-PETITION
CURRENT LIABILITIES 30 Salaries and wages $0 ------------- 31 Payroll taxes $0 ------------- 32 Real and personal property taxes $0 ------------- 33 Income taxes $0 ------------- 34 Sales taxes $35,937 ------------- 35 Notes payable (short term) $0 ------------- 36 Accounts payable (trade) A $0 ------------- 37 Real property lease arrearage $0 ------------- 38 Personal property lease arrearage $0 ------------- 39 Accrued professional fees $0 ------------- 40 Current portion of long-term post-petition debt (due within 12 months) $0 ------------- 41 Other: ----------------------------------- ------------- 42 -------------------------------------------- ------------- 43 -------------------------------------------- ------------- 44 TOTAL CURRENT LIABILITIES $35,937 ------------- 45 LONG-TERM POST-PETITION DEBT, NET OF CURRENT PORTION $0 ------------- 46 TOTAL POST-PETITION LIABILITIES $35,937 ------------- PRE-PETITION LIABILITIES (ALLOWED AMOUNT) - SEE PAGE 7 OF 9 47 Secured claims F $0 ------------- 48 Priority unsecured claims F $0 ------------- 49 General unsecured claims (1) F $173,503,067 ------------- 50 TOTAL PRE-PETITION LIABILITIES $173,503,067 ------------- 51 TOTAL LIABILITIES $173,539,004 ------------- EQUITY (DEFICIT) 52 Retained Earnings/(Deficit) at time of filing (1) $1,354,797 ------------- 53 Capital Stock $5,184,973 ------------- 54 Additional paid-in capital ------------- 55 Cumulative profit/(loss) since filing of case ($179,331,118) ------------- 56 Post-petition contributions/(distributions) or (draws) ------------- 57 -------------------------------------------------- ------------- 58 Market value adjustment ------------- 59 TOTAL EQUITY (DEFICIT) ($172,791,348) ------------- 60 TOTAL LIABILITIES AND EQUITY (DEFICIT) $747,656 =============
NOTE: (1) Prior year adjustment retroactive to 12/31/00 due to the change in the management fee charged by Metricom Inc., the Debtor's parent company. Page 4 of 9 SCHEDULES TO THE BALANCE SHEET (GENERAL BUSINESS CASE) SCHEDULE A ACCOUNTS RECEIVABLE AND (NET) PAYABLE
ACCOUNTS RECEIVABLE ACCOUNTS PAYABLE PAST DUE RECEIVABLES AND PAYABLES AGINGS [PRE AND POST PETITION] [POST PETITION] POST PETITION DEBT - ------------------------------- ----------------------- --------------- ------------------ 0 -30 Days $0 $0 ----------------------- --------------- 31-60 Days $0 $0 ----------------------- --------------- 61-90 Days $0 $0 $0 ----------------------- --------------- ================== 91+ Days $0 $0 ----------------------- --------------- Total accounts receivable/payable $0 $0 ----------------------- =============== Allowance for doubtful accounts $0 ----------------------- Accounts receivable (net) $0 =======================
SCHEDULE B INVENTORY/COST OF GOODS SOLD
TYPES AND AMOUNT OF INVENTORY(IES) COST OF GOODS SOLD - ---------------------------------- ------------------ INVENTORY(IES) BALANCE AT END OF MONTH INVENTORY BEGINNING OF MONTH $0 ------------------- Add - Retail/Restaurants - Net purchase $0 ------------------- Product for resale $0 Direct labor $0 -------------------------- ------------------- Manufacturing overhead $0 ------------------- Distribution - Freight in $0 ------------------- Products for resale $0 Other: $0 -------------------------- ------------------- --------------------------------- ------------------- Manufacturer - --------------------------------- ------------------- Raw Materials $0 -------------------------- Work-in-progress $0 Less - -------------------------- Finished goods $0 Inventory End of Month $0 -------------------------- ------------------- Shrinkage $0 ------------------- Other - Explain Personal Use $0 -------------------------- ------------------- ------------------------------ Cost of Goods Sold $0 ------------------------------ =================== TOTAL $0 ==========================
METHOD OF INVENTORY CONTROL INVENTORY VALUATION METHODS Do you have a functioning perpetual inventory system? Indicate by a checkmark method of inventory used. Yes No ----- ----- How often do you take a complete physical inventory? Valuation methods - FIFO cost -- Weekly LIFO cost ------ -- Monthly Lower of cost or market ------ -- Quarterly Retail method ------ -- Semi-annually Other ------ -- Annually Explain ------ Date of last physical inventory was Not Applicable ------------------------ ------------------------------------------------------------- ------------------------------------------------------------- Date of next physical inventory is Not Applicable ------------------------- -------------------------------------------------------------
Page 5 of 9 SCHEDULE C REAL PROPERTY
Description COST MARKET VALUE - ----------- ---- ------------ None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ====================
SCHEDULE D OTHER DEPRECIABLE ASSETS
Description COST NET BOOK VALUE - ----------- ---- --------------- Machinery & Equipment - ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Furniture & Fixtures - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Office Equipment - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Leasehold Improvements - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Vehicles - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ====================
Page 6 of 9 SCHEDULE E AGING OF POST-PETITION TAXES (AS OF END OF THE CURRENT REPORTING PERIOD)
TAXES PAYABLE 0-30 DAYS 31-60 DAYS 61-90 DAYS 91+ DAYS TOTAL - ---------------- -------------- --------------- -------------- -------------- ------------- FEDERAL Income Tax Withholding $0 -------------- --------------- -------------- -------------- ------------- FICA - Employee $0 -------------- --------------- -------------- -------------- ------------- FICA - Employer $0 -------------- --------------- -------------- -------------- ------------- Unemployment (FUTA) $0 -------------- --------------- -------------- -------------- ------------- Income $0 -------------- --------------- -------------- -------------- ------------- Other (Attach List) $0 -------------- --------------- -------------- -------------- ------------- TOTAL FEDERAL TAXES $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- STATE AND LOCAL Income Tax Withholding $0 -------------- --------------- -------------- -------------- ------------- Unemployment (UT) $0 -------------- --------------- -------------- -------------- ------------- Disability Insurance (DI) $0 -------------- --------------- -------------- -------------- ------------- Empl. Training Tax (ETT) $0 -------------- --------------- -------------- -------------- ------------- Sales $35,937 $35,937 -------------- --------------- -------------- -------------- ------------- Excise $0 -------------- --------------- -------------- -------------- ------------- Real property $0 -------------- --------------- -------------- -------------- ------------- Personal property $0 -------------- --------------- -------------- -------------- ------------- Income $0 -------------- --------------- -------------- -------------- ------------- Other (Attach List) $0 -------------- --------------- -------------- -------------- ------------- TOTAL STATE & LOCAL TAXES $0 $0 $0 $35,937 $35,937 -------------- --------------- -------------- -------------- ------------- TOTAL TAXES $0 $0 $0 $35,937 $35,937 ============== =============== ============== ============== =============
SCHEDULE F PRE-PETITION LIABILITIES
CLAIMED ALLOWED AMOUNT AMOUNT(b) LIST TOTAL CLAIMS FOR EACH CLASSIFICATION - (1) (2) - ------------------------------------------- -------------- ------------- Secured claims(a) $0 $0 -------------- ------------- Priority claims other than taxes $0 $0 -------------- ------------- Priority tax claims $25,122 $0 -------------- ------------- General unsecured claims $180,342,426 $173,503,067 -------------- -------------
(a) List total amount of claims even if under secured. (b) Estimated amount of claim to be allowed after compromise of litigation. As an example, you are a defendant in a lawsuit alleging damage of $10,000,000 and a proof of claim is filed in that amount. You believe that you can settle the case for a claim of $3,000,000. For Schedule F reporting purposes you should list $10,000,000 as the Claimed Amount and $3,000,000 as the Allowed Amount. (1) As reported on the Schedule of Assets and Liabilities filed on July 27, 2001. (2) As maintained on the Debtor's Balance Sheet at the Month End Close of July 31, 2001. This general unsecured claim represents an intercompany payable to Metricom, Inc. The change in the payable from the claimed amount to the allowed amount is due to certain accounting changes due to intercompany transactions. The allowed amount is an estimated amount and may include claims that are either contingent, disputed, and/or unliquidated. By stating this amount, the Debtor reserves its right to dispute any claim(s) which comprise this estimated allowed amount based on any grounds. SCHEDULE G RENTAL INCOME INFORMATION NOT APPLICABLE TO GENERAL BUSINESS CASES SCHEDULE H RECAPITULATION OF FUNDS HELD AT END OF MONTH
ACCOUNT 1 ACCOUNT 2 ACCOUNT 3 ACCOUNT 4 --------- --------- --------- --------- Bank Wells Fargo LLC --------------- --------------- -------------- ------------- Account Type General Banking --------------- --------------- -------------- ------------- Account No. 4487-099655 --------------- --------------- -------------- ------------- Account Purpose General Banking --------------- --------------- -------------- ------------- Balance, End of Month $0 --------------- --------------- -------------- ------------- Total Funds on Hand for all Accounts $0 ===============
Attach copies of the month end bank statement(s), reconciliation(s), and the check register(s) to the Monthly Operating Report. Page 7 of 9 STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS FOR THE MONTH ENDED 06/30/02
Actual Cumulative Current Month (Case to Date) -------------- -------------- CASH RECEIPTS 1 Rent/Leases Collected $0 $0 -------------- -------------- 2 Cash Received from Sales $0 $0 -------------- -------------- 3 Interest Received $0 $0 -------------- -------------- 4 Borrowings $0 $0 -------------- -------------- 5 Funds from Shareholders, Partners, or Other Insiders $0 $0 -------------- -------------- 6 Capital Contributions $0 $0 -------------- -------------- 7 ------------------------------------------------------ -------------- -------------- 8 ------------------------------------------------------ -------------- -------------- 9 ------------------------------------------------------ -------------- -------------- 10 ------------------------------------------------------ -------------- -------------- 11 ------------------------------------------------------ -------------- -------------- 12 TOTAL CASH RECEIPTS $0 $0 -------------- -------------- CASH DISBURSEMENTS -------------- -------------- 13 Payments for Inventory $0 $0 -------------- -------------- 14 Selling $0 $0 -------------- -------------- 15 Administrative $0 $0 -------------- -------------- 16 Capital Expenditures $0 $0 -------------- -------------- 17 Principal Payments on Debt $0 $0 -------------- -------------- 18 Interest Paid $0 $0 -------------- -------------- Rent/Lease: $0 $0 -------------- -------------- 19 Personal Property $0 $0 -------------- -------------- 20 Real Property $0 $0 -------------- -------------- Amount Paid to Owner(s)/Officer(s) $0 $0 -------------- -------------- 21 Salaries $0 $0 -------------- -------------- 22 Draws $0 $0 -------------- -------------- 23 Commissions/Royalties $0 $0 -------------- -------------- 24 Expense Reimbursements $0 $0 -------------- -------------- 25 Other $0 $0 -------------- -------------- 26 Salaries/Commissions (less employee withholding) $0 $0 -------------- -------------- 27 Management Fees $0 $0 -------------- -------------- Taxes: $0 $0 -------------- -------------- 28 Employee Withholding $0 $0 -------------- -------------- 29 Employer Payroll Taxes $0 $0 -------------- -------------- 30 Real Property Taxes $0 $0 -------------- -------------- 31 Other Taxes $0 $0 -------------- -------------- 32 Other Cash Outflows: $0 $0 -------------- -------------- 33 ------------------------------------------------- -------------- -------------- 34 ------------------------------------------------- -------------- -------------- 35 ------------------------------------------------- -------------- -------------- 36 ------------------------------------------------- -------------- -------------- 37 ------------------------------------------------- -------------- -------------- 38 TOTAL CASH DISBURSEMENTS: $0 $0 -------------- -------------- 39 NET INCREASE (DECREASE) IN CASH $0 $0 -------------- -------------- 40 CASH BALANCE, BEGINNING OF PERIOD $0 $0 -------------- -------------- 41 CASH BALANCE, END OF PERIOD $0 $0 ============== ==============
Page 8 of 9 STATEMENT OF CASH FLOWS (OPTIONAL) INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS FOR THE MONTH ENDED 06/30/02
CASH FLOWS FROM OPERATING ACTIVITIES ACTUAL CUMULATIVE ------------------------------------ CURRENT MONTH (CASE TO DATE) ----------------- ---------------- 1 Cash Received from Sales $0 $0 ----------------- ---------------- 2 Rent/Leases Collected $0 $0 ----------------- ---------------- 3 Interest Received $0 $0 ----------------- ---------------- 4 Cash Paid to Suppliers $0 $0 ----------------- ---------------- 5 Cash Paid for Selling Expenses $0 $0 ----------------- ---------------- 6 Cash Paid for Administrative Expenses $0 $0 ----------------- ---------------- Cash Paid for Rents/Leases: 7 Personal Property $0 $0 ----------------- ---------------- 8 Real Property $0 $0 ----------------- ---------------- 9 Cash Paid for Interest $0 $0 ----------------- ---------------- 10 Cash Paid for Net Payroll and Benefits $0 $0 ----------------- ---------------- Cash Paid to Owner(s)/Officer(s) 11 Salaries $0 $0 ----------------- ---------------- 12 Draws $0 $0 ----------------- ---------------- 13 Commissions/Royalties $0 $0 ----------------- ---------------- 14 Expense Reimbursements $0 $0 ----------------- ---------------- 15 Other $0 $0 ----------------- ---------------- Cash Paid for Taxes Paid/Deposited to Tax Acct. 16 Employer Payroll Tax $0 $0 ----------------- ---------------- 17 Employee Withholdings $0 $0 ----------------- ---------------- 18 Real Property Taxes $0 $0 ----------------- ---------------- 19 Other Taxes $0 $0 ----------------- ---------------- 20 Cash Paid for General Expenses $0 $0 ----------------- ---------------- 21 --------------------------------------------------------------------- ----------------- ---------------- 22 --------------------------------------------------------------------- ----------------- ---------------- 23 --------------------------------------------------------------------- ----------------- ---------------- 24 --------------------------------------------------------------------- ----------------- ---------------- 25 --------------------------------------------------------------------- ----------------- ---------------- 26 --------------------------------------------------------------------- ----------------- ---------------- 27 NET CASH PROVIDED (USED) BY OPERATING ACTIVITIES BEFORE REORGANIZATION ITEMS $0 $0 ----------------- ---------------- CASH FLOWS FROM REORGANIZATION ITEMS 28 Interest Received on Cash Accumulated Due to Chp 11 Case $0 $0 ----------------- ---------------- 29 Professional Fees Paid for Services in Connection with Chp 11 Case $0 $0 ----------------- ---------------- 30 U.S. Trustee Quarterly Fees $0 $0 ----------------- ---------------- 31 --------------------------------------------------------------------- ----------------- ---------------- 32 NET CASH PROVIDED (USED) BY REORGANIZATION ITEMS $0 $0 ----------------- ---------------- 33 NET CASH PROVIDED (USED) FOR OPERATING ACTIVITIES AND REORGANIZATION ITEMS $0 $0 ----------------- ---------------- CASH FLOWS FROM INVESTING ACTIVITIES 34 Capital Expenditures $0 $0 ----------------- ---------------- 35 Proceeds from Sales of Capital Goods due to Chp 11 Case $0 $0 ----------------- ---------------- 36 --------------------------------------------------------------------- ----------------- ---------------- 37 NET CASH PROVIDED (USED) BY INVESTING ACTIVITIES $0 $0 ----------------- ---------------- CASH FLOWS FROM FINANCING ACTIVITIES 38 Net Borrowings (Except Insiders) $0 $0 ----------------- ---------------- 39 Net Borrowings from Shareholders, Partners, or Other Insiders $0 $0 ----------------- ---------------- 40 Capital Contributions $0 $0 ----------------- ---------------- 41 Principal Payments $0 $0 ----------------- ---------------- 42 --------------------------------------------------------------------- ----------------- ---------------- 43 NET CASH PROVIDED (USED) BY FINANCING ACTIVITIES $0 $0 ----------------- ---------------- 44 NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS $0 $0 ----------------- ---------------- 45 CASH AND CASH EQUIVALENTS AT BEGINNING OF MONTH $0 $0 ----------------- ---------------- 46 CASH AND CASH EQUIVALENTS AT END OF MONTH $0 $0 ================= ================
Page 9 of 9 UNITED STATES BANKRUPTCY COURT NORTHERN DISTRICT OF CALIFORNIA In re: Metricom Finance, Inc. CASE NO. 01-53297 ------------------ CHAPTER 11 MONTHLY OPERATING REPORT (GENERAL BUSINESS CASE) SUMMARY OF FINANCIAL STATUS MONTH ENDED: Jun-02 PETITION DATE: 07/02/01 1. Debtor in possession (or trustee) hereby submits this Monthly Operating Report on the Accrual Basis of accounting (or if checked here ____ the Office of the U.S. Trustee or the Court has approved the Cash Basis of Accounting for the Debtor). Dollars reported in $1
END OF CURRENT END OF PRIOR AS OF PETITION 2. ASSET AND LIABILITY STRUCTURE MONTH MONTH FILING ---------------- ---------------- ---------------- a. Current Assets $0 $0 ---------------- ---------------- b. Total Assets $0 $0 $0 ---------------- ---------------- ---------------- c. Current Liabilities $0 $0 ---------------- ---------------- d. Total Liabilities $0 $0 $0 ---------------- ---------------- ----------------
CUMULATIVE 3. STATEMENT OF CASH RECEIPTS & DISBURSEMENTS FOR MONTH CURRENT MONTH PRIOR MONTH (CASE TO DATE) ---------------- ---------------- ---------------- a. Total Receipts $0 $0 $0 ---------------- ---------------- ---------------- b. Total Disbursements $0 $0 $0 ---------------- ---------------- ---------------- c. Excess (Deficiency) of Receipts Over Disbursements (a - b) $0 $0 $0 ---------------- ---------------- ---------------- d. Cash Balance Beginning of Month $0 $0 $0 ---------------- ---------------- ---------------- e. Cash Balance End of Month (c + d ) $0 $0 $0 ---------------- ---------------- ----------------
CUMULATIVE CURRENT MONTH PRIOR MONTH (CASE TO DATE) ---------------- ---------------- ---------------- 4. PROFIT/(LOSS) FROM THE STATEMENT OF OPERATIONS $0 $0 $0 ---------------- ---------------- ---------------- 5. ACCOUNT RECEIVABLES (PRE AND POST PETITION) $0 $0 ---------------- ---------------- 6. POST-PETITION LIABILITIES $0 $0 ---------------- ---------------- 7. PAST DUE POST-PETITION ACCOUNT PAYABLES (OVER 30 DAYS) $0 $0 ---------------- ----------------
AT THE END OF THIS REPORTING MONTH: YES NO --- --- 8. Have any payments been made on pre-petition debt, other than payments in X the normal course to secured creditors or lessors? (if yes, attach listing including date of payment, amount of payment and name of payee) --- --- 9. Have any payments been made to professionals? (if yes, attach listing X including date of payment, amount of payment and name of payee) --- --- 10. If the answer is yes to 8 or 9, were all such payments approved by the court? --- --- 11. Have any payments been made to officers, insiders, shareholders, relatives? X (if yes, attach listing including date of payment, amount and reason for payment, and name of payee) --- --- 12. Is the estate insured for replacement cost of assets and for general X liability? --- --- 13. Are a plan and disclosure statement on file? X(1) --- --- 14. Was there any post-petition borrowing during this reporting period? X --- --- 15. Check if paid: Post-petition taxes ___ U.S. Trustee Quarterly Fees ___; Check if filing is current for: Post-petition tax reporting and tax returns: ___
(Attach explanation, if post-petition taxes or U.S. Trustee Quarterly Fees are not paid current or if post-petition tax reporting and tax return filings are not current.) NOTES: (1) THE DEBTOR FILED ITS LIQUIDATING PLAN OF REORGANIZATION AND DISCLOSURE STATEMENT ON JUNE 7, 2002. I declare under penalty of perjury I have reviewed the above summary and attached financial statements, and after making reasonable inquiry believe these documents are correct. Date: 07/18/02 /s/ EUGENE A. REILLY ----------------------- ------------------------------------------- Responsible Individual STATEMENT OF OPERATIONS (GENERAL BUSINESS CASE) For the Month Ended 06/30/02
CURRENT MONTH - ----------------------------------- CUMULATIVE NEXT MONTH ACTUAL FORECAST VARIANCE (CASE TO DATE) FORECAST - ----------- ---------- --------- ------------------ --------------- REVENUES: $0 $0 $0 1 Gross Sales $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 2 less: Sales Returns & Allowances $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 3 Net Sales $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 4 less: Cost of Goods Sold (Schedule 'B') $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 5 Gross Profit $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 6 Interest $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 7 Other Income: $0 $0 - ----------- ---------- --------- ------------------------ ------------------ --------------- 8 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- 9 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 10 TOTAL REVENUES $0 $0 - ----------- ---------- --------- ------------------ --------------- EXPENSES: $0 $0 $0 11 Compensation to Owner(s)/Officer(s) $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 12 Salaries $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 13 Commissions $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 14 Contract Labor $0 $0 - ----------- ---------- --------- Rent/Lease: ------------------ --------------- $0 $0 $0 15 Personal Property $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 16 Real Property $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 17 Insurance $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 18 Management Fees $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 19 Depreciation $0 $0 - ----------- ---------- --------- ------------------ --------------- Taxes: $0 $0 $0 20 Employer Payroll Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 21 Real Property Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 22 Other Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 23 Other Selling $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 24 Other Administrative $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 25 Interest $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 26 Other Expenses: $0 $0 - ----------- ---------- --------- ------------------------ ------------------ --------------- $0 $0 $0 27 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 28 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 29 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 30 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 31 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 32 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 33 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 34 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 35 TOTAL EXPENSES $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 36 SUBTOTAL $0 $0 - ----------- ---------- --------- ------------------ --------------- REORGANIZATION ITEMS: $0 $0 $0 37 Professional Fees $0 $0 - ----------- ---------- --------- ------------------ --------------- 38 Provisions for Rejected Executory $0 $0 $0 Contracts $0 $0 - ----------- ---------- --------- ------------------ --------------- 39 Interest Earned on Accumulated Cash from $0 $0 $0 Resulting Chp 11 Case $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 40 Gain or (Loss) from Sale of Equipment $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 41 U.S. Trustee Quarterly Fees $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 42 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 43 TOTAL REORGANIZATION ITEMS $0 $0 - ----------- ---------- --------- ------------------ --------------- 44 NET PROFIT (LOSS) BEFORE FEDERAL $0 $0 $0 & STATE TAXES $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 45 Federal & State Income Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 46 NET PROFIT (LOSS) $0 $0 =========== ========== ========= ================== ===============
Attach an Explanation of Variance to Statement of Operations (For variances greater than +/- 10% only): BALANCE SHEET (GENERAL BUSINESS CASE) FOR THE MONTH ENDED 06/30/02 ASSETS
FROM SCHEDULES MARKET VALUE --------------- ------------- CURRENT ASSETS 1 Cash and cash equivalents - unrestricted $0 ------------- 2 Cash and cash equivalents - restricted $0 ------------- 3 Accounts receivable (net) A $0 ------------- 4 Inventory B $0 ------------- 5 Prepaid expenses $0 ------------- 6 Professional retainers $0 ------------- 7 Other: $0 --------------------------------------------- ------------- 8 --------------------------------------------------- ------------- 9 TOTAL CURRENT ASSETS $0 ------------- PROPERTY AND EQUIPMENT (MARKET VALUE) 10 Real property C $0 ------------- 11 Machinery and equipment D $0 ------------- 12 Furniture and fixtures D $0 ------------- 13 Office equipment D $0 ------------- 14 Leasehold improvements D $0 ------------- 15 Vehicles D $0 ------------- 16 Other: D $0 --------------------------------------------- ------------- 17 D $0 --------------------------------------------------- ------------- 18 D $0 --------------------------------------------------- ------------- 19 D $0 --------------------------------------------------- ------------- 20 D $0 --------------------------------------------------- ------------- 21 TOTAL PROPERTY AND EQUIPMENT $0 ------------- OTHER ASSETS 22 Loans to shareholders $0 ------------- 23 Loans to affiliates $0 ------------- 24 --------------------------------------------------- ------------- 25 --------------------------------------------------- ------------- 26 --------------------------------------------------- ------------- 27 --------------------------------------------------- ------------- 28 TOTAL OTHER ASSETS $0 ------------- 29 TOTAL ASSETS $0 =============
NOTE: Indicate the method used to estimate the market value of assets (e.g., appraisals; familiarity with comparable market prices, etc.) and the date the value was determined. LIABILITIES AND EQUITY (GENERAL BUSINESS CASE) LIABILITIES FROM SCHEDULES POST-PETITION
CURRENT LIABILITIES 30 Salaries and wages $0 ------------- 31 Payroll taxes $0 ------------- 32 Real and personal property taxes $0 ------------- 33 Income taxes $0 ------------- 34 Sales taxes $0 ------------- 35 Notes payable (short term) $0 ------------- 36 Accounts payable (trade) A $0 ------------- 37 Real property lease arrearage $0 ------------- 38 Personal property lease arrearage $0 ------------- 39 Accrued professional fees $0 ------------- 40 Current portion of long-term post-petition debt (due within 12 months) $0 ------------- 41 Other: $0 ----------------------------------- ------------- 42 -------------------------------------------- ------------- 43 -------------------------------------------- ------------- 44 TOTAL CURRENT LIABILITIES $0 ------------- 45 LONG-TERM POST-PETITION DEBT, NET OF CURRENT PORTION $0 ------------- 46 TOTAL POST-PETITION LIABILITIES $0 ------------- PRE-PETITION LIABILITIES (ALLOWED AMOUNT) 47 Secured claims F $0 ------------- 48 Priority unsecured claims F $0 ------------- 49 General unsecured claims F $0 ------------- 50 TOTAL PRE-PETITION LIABILITIES $0 ------------- 51 TOTAL LIABILITIES $0 ------------- EQUITY (DEFICIT) 52 Retained Earnings/(Deficit) at time of filing $0 ------------- 53 Capital Stock $0 ------------- 54 Additional paid-in capital $0 ------------- 55 Cumulative profit/(loss) since filing of case $0 ------------- 56 Post-petition contributions/(distributions) or (draws) $0 ------------- 57 -------------------------------------------------- ------------- 58 Market value adjustment $0 ------------- 59 TOTAL EQUITY (DEFICIT) $0 ------------- 60 TOTAL LIABILITIES AND EQUITY (DEFICIT) $0 =============
SCHEDULES TO THE BALANCE SHEET (GENERAL BUSINESS CASE) SCHEDULE A ACCOUNTS RECEIVABLE AND (NET) PAYABLE
ACCOUNTS RECEIVABLE ACCOUNTS PAYABLE PAST DUE RECEIVABLES AND PAYABLES AGINGS [PRE AND POST PETITION] [POST PETITION] POST PETITION DEBT ----------------------- --------------- ------------------ 0-30 Days $0 $0 ----------------------- --------------- 31-60 Days $0 $0 ----------------------- --------------- 61-90 Days $0 $0 $0 ----------------------- --------------- ================== 91+ Days $0 $0 ----------------------- --------------- Total accounts receivable/payable $0 $0 ----------------------- =============== Allowance for doubtful accounts $0 ----------------------- Accounts receivable (net) $0 =======================
SCHEDULE B INVENTORY/COST OF GOODS SOLD
TYPES AND AMOUNT OF INVENTORY(IES) COST OF GOODS SOLD - ---------------------------------- ------------------ INVENTORY(IES) BALANCE AT END OF MONTH INVENTORY BEGINNING OF MONTH $0 ------------- ------------------- Add - Retail/Restaurants - Net purchase $0 ------------------- Product for resale $0 Direct labor $0 -------------------------- ------------------- Manufacturing overhead $0 ------------------- Distribution - Freight in $0 ------------------- Products for resale $0 Other: $0 -------------------------- ------------------- --------------------------------- ------------------- Manufacturer - --------------------------------- ------------------- Raw Materials $0 -------------------------- Work-in-progress $0 Less - -------------------------- Finished goods $0 Inventory End of Month $0 -------------------------- ------------------- Shrinkage $0 ------------------- Other - Explain $0 Personal Use $0 -------------------------- ------------------- ------------------------------ Cost of Goods Sold $0 ------------------------------ =================== TOTAL $0 ==========================
METHOD OF INVENTORY CONTROL INVENTORY VALUATION METHODS Do you have a functioning perpetual inventory system? Indicate by a checkmark method of inventory used. Yes No ----- ----- How often do you take a complete physical inventory? Valuation methods - FIFO cost -- Weekly LIFO cost ------ -- Monthly Lower of cost or market ------ -- Quarterly Retail method ------ -- Semi-annually Other ------ -- Annually Explain ------ Date of last physical inventory was Not Applicable ------------------------ ------------------------------------------------------------- ------------------------------------------------------------- Date of next physical inventory is Not Applicable ------------------------- -------------------------------------------------------------
SCHEDULE C REAL PROPERTY
Description COST MARKET VALUE - ----------- ---- ------------ None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ====================
SCHEDULE D OTHER DEPRECIABLE ASSETS
Description COST MARKET VALUE - ----------- ---- ------------ Machinery & Equipment - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Furniture & Fixtures - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Office Equipment - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Leasehold Improvements - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Vehicles - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ====================
SCHEDULE E AGING OF POST-PETITION TAXES (AS OF END OF THE CURRENT REPORTING PERIOD)
TAXES PAYABLE(1) 0-30 DAYS 31-60 DAYS 61-90 DAYS 91+ DAYS TOTAL - ---------------- -------------- --------------- -------------- -------------- ------------- FEDERAL Income Tax Withholding $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- FICA - Employee $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- FICA - Employer $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Unemployment (FUTA) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Income $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Other (Attach List) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- TOTAL FEDERAL TAXES $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- STATE AND LOCAL Income Tax Withholding $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Unemployment (UT) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Disability Insurance (DI) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Empl. Training Tax (ETT) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Sales $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Excise $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Real property $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Personal property $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Income $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Other (Attach List) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- TOTAL STATE & LOCAL TAXES $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- TOTAL TAXES $0 $0 $0 $0 $0 ============== =============== ============== ============== =============
SCHEDULE F PRE-PETITION LIABILITIES
CLAIMED ALLOWED LIST TOTAL CLAIMS FOR EACH CLASSIFICATION - AMOUNT AMOUNT(b) - ------------------------------------------- -------------- ------------- Secured claims(a) $0 $0 -------------- ------------- Priority claims other than taxes $0 $0 -------------- ------------- Priority tax claims $0 $0 -------------- ------------- General unsecured claims $0 $0 -------------- -------------
(a) List total amount of claims even if under secured. (b) Estimated amount of claim to be allowed after compromise or litigation. As an example, you are a defendant in a lawsuit alleging damage of $10,000,000 and a proof of claim is filed in that amount. You believe that you can settle the case for a claim of $3,000,000. For Schedule F reporting purposes you should list $10,000,000 as the Claimed Amount and $3,000,000 as the Allowed Amount. SCHEDULE G RENTAL INCOME INFORMATION NOT APPLICABLE TO GENERAL BUSINESS CASES SCHEDULE H RECAPITULATION OF FUNDS HELD AT END OF MONTH
ACCOUNT 1 ACCOUNT 2 ACCOUNT 3 ACCOUNT 4 --------------- --------------- -------------- ------------- Bank None --------------- --------------- -------------- ------------- Account Type --------------- --------------- -------------- ------------- Account No. --------------- --------------- -------------- ------------- Account Purpose --------------- --------------- -------------- ------------- Balance, End of Month --------------- --------------- -------------- ------------- Total Funds on Hand for all Accounts $0 ===============
Attach copies of the month end bank statement(s), reconciliation(s), and the check register(s) to the Monthly Operating Report. STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS FOR THE MONTH ENDED 06/30/02
Actual Cumulative Current Month (Case to Date) -------------- -------------- CASH RECEIPTS 1 Rent/Leases Collected $0 $0 -------------- -------------- 2 Cash Received from Sales $0 $0 -------------- -------------- 3 Interest Received $0 $0 -------------- -------------- 4 Borrowings $0 $0 -------------- -------------- 5 Funds from Shareholders, Partners, or Other Insiders $0 $0 -------------- -------------- 6 Capital Contributions $0 $0 -------------- -------------- 7 ------------------------------------------------------ -------------- -------------- 8 ------------------------------------------------------ -------------- -------------- 9 ------------------------------------------------------ -------------- -------------- 10 ------------------------------------------------------ -------------- -------------- 11 ------------------------------------------------------ -------------- -------------- 12 TOTAL CASH RECEIPTS $0 $0 -------------- -------------- CASH DISBURSEMENTS -------------- -------------- 13 Payments for Inventory $0 $0 -------------- -------------- 14 Selling $0 $0 -------------- -------------- 15 Administrative $0 $0 -------------- -------------- 16 Capital Expenditures $0 $0 -------------- -------------- 17 Principal Payments on Debt $0 $0 -------------- -------------- 18 Interest Paid $0 $0 -------------- -------------- Rent/Lease: $0 $0 -------------- -------------- 19 Personal Property $0 $0 -------------- -------------- 20 Real Property $0 $0 -------------- -------------- Amount Paid to Owner(s)/Officer(s) $0 $0 -------------- -------------- 21 Salaries $0 $0 -------------- -------------- 22 Draws $0 $0 -------------- -------------- 23 Commissions/Royalties $0 $0 -------------- -------------- 24 Expense Reimbursements $0 $0 -------------- -------------- 25 Other $0 $0 -------------- -------------- 26 Salaries/Commissions (less employee withholding) $0 $0 -------------- -------------- 27 Management Fees $0 $0 -------------- -------------- Taxes: $0 $0 -------------- -------------- 28 Employee Withholding $0 $0 -------------- -------------- 29 Employer Payroll Taxes $0 $0 -------------- -------------- 30 Real Property Taxes $0 $0 -------------- -------------- 31 Other Taxes $0 $0 -------------- -------------- 32 Other Cash Outflows: $0 $0 -------------- -------------- 33 ------------------------------------------------- -------------- -------------- 34 ------------------------------------------------- -------------- -------------- 35 ------------------------------------------------- -------------- -------------- 36 ------------------------------------------------- -------------- -------------- 37 ------------------------------------------------- -------------- -------------- 38 TOTAL CASH DISBURSEMENTS: $0 $0 -------------- -------------- 39 NET INCREASE (DECREASE) IN CASH $0 $0 -------------- -------------- 40 CASH BALANCE, BEGINNING OF PERIOD $0 $0 -------------- -------------- 41 CASH BALANCE, END OF PERIOD $0 $0 ============== ==============
STATEMENT OF CASH FLOWS (OPTIONAL) INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS FOR THE MONTH ENDED 06/30/02
CASH FLOWS FROM OPERATING ACTIVITIES ACTUAL CUMULATIVE ------------------------------------ CURRENT MONTH (CASE TO DATE) ----------------- ---------------- 1 Cash Received from Sales $0 $0 ----------------- ---------------- 2 Rent/Leases Collected $0 $0 ----------------- ---------------- 3 Interest Received $0 $0 ----------------- ---------------- 4 Cash Paid to Suppliers $0 $0 ----------------- ---------------- 5 Cash Paid for Selling Expenses $0 $0 ----------------- ---------------- 6 Cash Paid for Administrative Expenses $0 $0 ----------------- ---------------- Cash Paid for Rents/Leases: 7 Personal Property $0 $0 ----------------- ---------------- 8 Real Property $0 $0 ----------------- ---------------- 9 Cash Paid for Interest $0 $0 ----------------- ---------------- 10 Cash Paid for Net Payroll and Benefits $0 $0 ----------------- ---------------- Cash Paid to Owner(s)/Officer(s) 11 Salaries $0 $0 ----------------- ---------------- 12 Draws $0 $0 ----------------- ---------------- 13 Commissions/Royalties $0 $0 ----------------- ---------------- 14 Expense Reimbursements $0 $0 ----------------- ---------------- 15 Other $0 $0 ----------------- ---------------- Cash Paid for Taxes Paid/Deposited to Tax Acct. 16 Employer Payroll Tax $0 $0 ----------------- ---------------- 17 Employee Withholdings $0 $0 ----------------- ---------------- 18 Real Property Taxes $0 $0 ----------------- ---------------- 19 Other Taxes $0 $0 ----------------- ---------------- 20 Cash Paid for General Expenses $0 $0 ----------------- ---------------- 21 --------------------------------------------------------------------- ----------------- ---------------- 22 --------------------------------------------------------------------- ----------------- ---------------- 23 --------------------------------------------------------------------- ----------------- ---------------- 24 --------------------------------------------------------------------- ----------------- ---------------- 25 --------------------------------------------------------------------- ----------------- ---------------- 26 --------------------------------------------------------------------- ----------------- ---------------- 27 NET CASH PROVIDED (USED) BY OPERATING ACTIVITIES BEFORE REORGANIZATION ITEMS $0 $0 ----------------- ---------------- CASH FLOWS FROM REORGANIZATION ITEMS 28 Interest Received on Cash Accumulated Due to Chp 11 Case $0 $0 ----------------- ---------------- 29 Professional Fees Paid for Services in Connection with Chp 11 Case $0 $0 ----------------- ---------------- 30 U.S. Trustee Quarterly Fees $0 $0 ----------------- ---------------- 31 --------------------------------------------------------------------- ----------------- ---------------- 32 NET CASH PROVIDED (USED) BY REORGANIZATION ITEMS $0 $0 ----------------- ---------------- 33 NET CASH PROVIDED (USED) FOR OPERATING ACTIVITIES AND REORGANIZATION ITEMS $0 $0 ----------------- ---------------- CASH FLOWS FROM INVESTING ACTIVITIES 34 Capital Expenditures $0 $0 ----------------- ---------------- 35 Proceeds from Sales of Capital Goods due to Chp 11 Case $0 $0 ----------------- ---------------- 36 --------------------------------------------------------------------- ----------------- ---------------- 37 NET CASH PROVIDED (USED) BY INVESTING ACTIVITIES $0 $0 ----------------- ---------------- CASH FLOWS FROM FINANCING ACTIVITIES 38 Net Borrowings (Except Insiders) $0 $0 ----------------- ---------------- 39 Net Borrowings from Shareholders, Partners, or Other Insiders $0 $0 ----------------- ---------------- 40 Capital Contributions $0 $0 ----------------- ---------------- 41 Principal Payments $0 $0 ----------------- ---------------- 42 --------------------------------------------------------------------- ----------------- ---------------- 43 NET CASH PROVIDED (USED) BY FINANCING ACTIVITIES $0 $0 ----------------- ---------------- 44 NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS $0 $0 ----------------- ---------------- 45 CASH AND CASH EQUIVALENTS AT BEGINNING OF MONTH $0 $0 ----------------- ---------------- 46 CASH AND CASH EQUIVALENTS AT END OF MONTH $0 $0 ================= ================
UNITED STATES BANKRUPTCY COURT NORTHERN DISTRICT OF CALIFORNIA In re: Metricom Investments DC, Inc. CASE NO. 01-53302 ------------------ CHAPTER 11 MONTHLY OPERATING REPORT (GENERAL BUSINESS CASE) SUMMARY OF FINANCIAL STATUS MONTH ENDED: Jun-02 PETITION DATE: 07/02/01 1. Debtor in possession (or trustee) hereby submits this Monthly Operating Report on the Accrual Basis of accounting (or if checked here ____ the Office of the U.S. Trustee or the Court has approved the Cash Basis of Accounting for the Debtor). Dollars reported in $1
END OF CURRENT END OF PRIOR AS OF PETITION 2. ASSET AND LIABILITY STRUCTURE MONTH MONTH FILING ---------------- ---------------- ---------------- a. Current Assets $0 $0 ---------------- ---------------- b. Total Assets $0 $0 $0 ---------------- ---------------- ---------------- c. Current Liabilities $0 $0 ---------------- ---------------- d. Total Liabilities $0 $0 $0 ---------------- ---------------- ----------------
CUMULATIVE 3. STATEMENT OF CASH RECEIPTS & DISBURSEMENTS FOR MONTH CURRENT MONTH PRIOR MONTH (CASE TO DATE) ---------------- ---------------- ---------------- a. Total Receipts $0 $0 $0 ---------------- ---------------- ---------------- b. Total Disbursements $0 $0 $0 ---------------- ---------------- ---------------- c. Excess (Deficiency) of Receipts Over Disbursements (a - b) $0 $0 $0 ---------------- ---------------- ---------------- d. Cash Balance Beginning of Month $0 $0 $0 ---------------- ---------------- ---------------- e. Cash Balance End of Month (c + d ) $0 $0 $0 ---------------- ---------------- ----------------
CUMULATIVE CURRENT MONTH PRIOR MONTH (CASE TO DATE) ---------------- ---------------- ---------------- 4. PROFIT/(LOSS) FROM THE STATEMENT OF OPERATIONS $0 $0 $0 ---------------- ---------------- ---------------- 5. ACCOUNT RECEIVABLES (PRE AND POST PETITION) $0 $0 ---------------- ---------------- 6. POST-PETITION LIABILITIES $0 $0 ---------------- ---------------- 7. PAST DUE POST-PETITION ACCOUNT PAYABLES (OVER 30 DAYS) $0 $0 ---------------- ----------------
AT THE END OF THIS REPORTING MONTH: YES NO --- --- 8. Have any payments been made on pre-petition debt, other than payments in X the normal course to secured creditors or lessors? (if yes, attach listing --- --- including date of payment, amount of payment and name of payee) 9. Have any payments been made to professionals? (if yes, attach listing X including payment, amount of payment and name of payee) --- --- 10. If the answer is yes to 8 or 9, were all such payments approved by the court? --- --- 11. Have any payments been made to officers, insiders, shareholders, relatives? X (if yes, attach listing including date of payment, amount and reason for --- --- payment, and name of payee) 12. Is the estate insured for replacement cost of assets and for general X liability? --- --- 13. Are a plan and disclosure statement on file? X(1) --- --- 14. Was there any post-petition borrowing during this reporting period? X --- --- 15. Check if paid: Post-petition taxes ___; U.S. Trustee Quarterly Fees ___; Check if filing is current for: Post-petition tax reporting and tax returns: ___
(Attach explanation, if post-petition taxes or U.S. Trustee Quarterly Fees are not paid current or if post-petition tax reporting and tax return filings are not current.) NOTES: (1) THE DEBTOR FILED ITS LIQUIDATING PLAN OF REORGANIZATION AND DISCLOSURE STATEMENT ON JUNE 7, 2002. I declare under penalty of perjury I have reviewed the above summary and attached financial statements, and after making reasonable inquiry believe these documents are correct. Date: 07/18/02 /s/ EUGENE A. REILLY ----------------------- ------------------------------------------- Responsible Individual STATEMENT OF OPERATIONS (GENERAL BUSINESS CASE) For the Month Ended 06/30/02
CURRENT MONTH - ----------------------------------- CUMULATIVE NEXT MONTH ACTUAL FORECAST VARIANCE (CASE TO DATE) FORECAST - ----------- ---------- --------- ------------------ --------------- REVENUES: $0 $0 $0 1 Gross Sales $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 2 less: Sales Returns & Allowances $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 3 Net Sales $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 4 less: Cost of Goods Sold (Schedule 'B') $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 5 Gross Profit $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 6 Interest $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 7 Other Income: $0 $0 - ----------- ---------- --------- ------------------------ ------------------ --------------- 8 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- 9 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 10 TOTAL REVENUES $0 $0 - ----------- ---------- --------- ------------------ --------------- EXPENSES: $0 $0 $0 11 Compensation to Owner(s)/Officer(s) $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 12 Salaries $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 13 Commissions $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 14 Contract Labor $0 $0 - ----------- ---------- --------- Rent/Lease: ------------------ --------------- $0 $0 $0 15 Personal Property $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 16 Real Property $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 17 Insurance $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 18 Management Fees $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 19 Depreciation $0 $0 - ----------- ---------- --------- ------------------ --------------- Taxes: $0 $0 $0 20 Employer Payroll Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 21 Real Property Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 22 Other Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 23 Other Selling $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 24 Other Administrative $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 25 Interest $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 26 Other Expenses: $0 $0 - ----------- ---------- --------- ------------------------ ------------------ --------------- $0 $0 $0 27 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 28 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 29 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 30 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 31 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 32 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 33 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 34 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 35 TOTAL EXPENSES $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 36 SUBTOTAL $0 $0 - ----------- ---------- --------- ------------------ --------------- REORGANIZATION ITEMS: $0 $0 $0 37 Professional Fees $0 $0 - ----------- ---------- --------- ------------------ --------------- 38 Provisions for Rejected Executory $0 $0 $0 Contracts $0 $0 - ----------- ---------- --------- ------------------ --------------- 39 Interest Earned on Accumulated Cash from $0 $0 $0 Resulting Chp 11 Case $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 40 Gain or (Loss) from Sale of Equipment $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 41 U.S. Trustee Quarterly Fees $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 42 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 43 TOTAL REORGANIZATION ITEMS $0 $0 - ----------- ---------- --------- ------------------ --------------- 44 NET PROFIT (LOSS) BEFORE FEDERAL $0 $0 $0 & STATE TAXES $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 45 Federal & State Income Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 46 NET PROFIT (LOSS) $0 $0 =========== ========== ========= ================== ===============
Attach an Explanation of Variance to Statement of Operations (For variances greater than +/- 10% only): BALANCE SHEET (GENERAL BUSINESS CASE) FOR THE MONTH ENDED 06/30/02 ASSETS
FROM SCHEDULES MARKET VALUE --------------- ------------- CURRENT ASSETS 1 Cash and cash equivalents - unrestricted $0 ------------- 2 Cash and cash equivalents - restricted $0 ------------- 3 Accounts receivable (net) A $0 ------------- 4 Inventory B $0 ------------- 5 Prepaid expenses $0 ------------- 6 Professional retainers $0 ------------- 7 Other: $0 --------------------------------------------- ------------- 8 --------------------------------------------------- ------------- 9 TOTAL CURRENT ASSETS $0 ------------- PROPERTY AND EQUIPMENT (MARKET VALUE) 10 Real property C $0 ------------- 11 Machinery and equipment D $0 ------------- 12 Furniture and fixtures D $0 ------------- 13 Office equipment D $0 ------------- 14 Leasehold improvements D $0 ------------- 15 Vehicles D $0 ------------- 16 Other: D $0 --------------------------------------------- ------------- 17 D $0 --------------------------------------------------- ------------- 18 D $0 --------------------------------------------------- ------------- 19 D $0 --------------------------------------------------- ------------- 20 D $0 --------------------------------------------------- ------------- 21 TOTAL PROPERTY AND EQUIPMENT $0 ------------- OTHER ASSETS 22 Loans to shareholders $0 ------------- 23 Loans to affiliates $0 ------------- 24 --------------------------------------------------- ------------- 25 --------------------------------------------------- ------------- 26 --------------------------------------------------- ------------- 27 --------------------------------------------------- ------------- 28 TOTAL OTHER ASSETS $0 ------------- 29 TOTAL ASSETS $0 =============
NOTE: Indicate the method used to estimate the market value of assets (e.g., appraisals; familiarity with comparable market prices, etc.) and the date the value was determined. LIABILITIES AND EQUITY (GENERAL BUSINESS CASE) LIABILITIES FROM SCHEDULES POST-PETITION
CURRENT LIABILITIES 30 Salaries and wages $0 ------------- 31 Payroll taxes $0 ------------- 32 Real and personal property taxes $0 ------------- 33 Income taxes $0 ------------- 34 Sales taxes $0 ------------- 35 Notes payable (short term) $0 ------------- 36 Accounts payable (trade) A $0 ------------- 37 Real property lease arrearage $0 ------------- 38 Personal property lease arrearage $0 ------------- 39 Accrued professional fees $0 ------------- 40 Current portion of long-term post-petition debt (due within 12 months) $0 ------------- 41 Other: $0 ----------------------------------- ------------- 42 -------------------------------------------- ------------- 43 -------------------------------------------- ------------- 44 TOTAL CURRENT LIABILITIES $0 ------------- 45 LONG-TERM POST-PETITION DEBT, NET OF CURRENT PORTION $0 ------------- 46 TOTAL POST-PETITION LIABILITIES $0 ------------- PRE-PETITION LIABILITIES (ALLOWED AMOUNT) 47 Secured claims F $0 ------------- 48 Priority unsecured claims F $0 ------------- 49 General unsecured claims F $0 ------------- 50 TOTAL PRE-PETITION LIABILITIES $0 ------------- 51 TOTAL LIABILITIES $0 ------------- EQUITY (DEFICIT) 52 Retained Earnings/(Deficit) at time of filing $0 ------------- 53 Capital Stock $0 ------------- 54 Additional paid-in capital $0 ------------- 55 Cumulative profit/(loss) since filing of case $0 ------------- 56 Post-petition contributions/(distributions) or (draws) $0 ------------- 57 -------------------------------------------------- ------------- 58 Market value adjustment $0 ------------- 59 TOTAL EQUITY (DEFICIT) $0 ------------- 60 TOTAL LIABILITIES AND EQUITY (DEFICIT) $0 =============
SCHEDULES TO THE BALANCE SHEET (GENERAL BUSINESS CASE) SCHEDULE A ACCOUNTS RECEIVABLE AND (NET) PAYABLE
ACCOUNTS RECEIVABLE ACCOUNTS PAYABLE PAST DUE RECEIVABLES AND PAYABLES AGINGS [PRE AND POST PETITION] [POST PETITION] POST PETITION DEBT - ------------------------------- ----------------------- --------------- ------------------ 0-30 Days $0 $0 ----------------------- --------------- 31-60 Days $0 $0 ----------------------- --------------- 61-90 Days $0 $0 $0 ----------------------- --------------- ------------------ 91+ Days $0 $0 ----------------------- --------------- Total accounts receivable/payable $0 $0 ----------------------- =============== Allowance for doubtful accounts $0 ----------------------- Accounts receivable (net) $0 =======================
SCHEDULE B INVENTORY/COST OF GOODS SOLD
TYPES AND AMOUNT OF INVENTORY(IES) COST OF GOODS SOLD - ---------------------------------- ------------------ INVENTORY(IES) BALANCE AT END OF MONTH INVENTORY BEGINNING OF MONTH $0 ------------ ------------------- Add - Retail/Restaurants - Net purchase $0 ------------------- Product for resale $0 Direct labor $0 -------------------------- ------------------- Manufacturing overhead $0 ------------------- Distribution - Freight in $0 ------------------- Products for resale $0 Other: $0 -------------------------- ------------------- --------------------------------- ------------------- Manufacturer - --------------------------------- ------------------- Raw Materials $0 -------------------------- Work-in-progress $0 Less - -------------------------- Finished goods $0 Inventory End of Month $0 -------------------------- ------------------- Shrinkage $0 ------------------- Other - Explain $0 Personal Use $0 -------------------------- ------------------- ------------------------------ Cost of Goods Sold $0 ------------------------------ =================== TOTAL $0 ==========================
METHOD OF INVENTORY CONTROL INVENTORY VALUATION METHODS Do you have a functioning perpetual inventory system? Indicate by a checkmark method of inventory used. Yes No ----- ----- How often do you take a complete physical inventory? Valuation methods - FIFO cost -- Weekly LIFO cost ------ -- Monthly Lower of cost or market ------ -- Quarterly Retail method ------ -- Semi-annually Other ------ -- Annually Explain ------ Date of last physical inventory was Not Applicable ------------------------ ------------------------------------------------------------- ------------------------------------------------------------- Date of next physical inventory is Not Applicable ------------------------- -------------------------------------------------------------
SCHEDULE C REAL PROPERTY
Description COST MARKET VALUE ---- ------------ None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ====================
SCHEDULE D OTHER DEPRECIABLE ASSETS
Description COST MARKET VALUE ---- ------------ Machinery & Equipment - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Furniture & Fixtures - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Office Equipment - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Leasehold Improvements - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Vehicles - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ====================
SCHEDULE E AGING OF POST-PETITION TAXES (AS OF END OF THE CURRENT REPORTING PERIOD)
TAXES PAYABLE 0-30 DAYS 31-60 DAYS 61-90 DAYS 91+ DAYS TOTAL -------------- --------------- -------------- -------------- ------------- FEDERAL Income Tax Withholding $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- FICA - Employee $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- FICA - Employer $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Unemployment (FUTA) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Income $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Other (Attach List) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- TOTAL FEDERAL TAXES $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- STATE AND LOCAL Income Tax Withholding $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Unemployment (UT) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Disability Insurance (DI) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Empl. Training Tax (ETT) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Sales $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Excise $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Real property $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Personal property $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Income $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Other (Attach List) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- TOTAL STATE & LOCAL TAXES $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- TOTAL TAXES $0 $0 $0 $0 $0 ============== =============== ============== ============== =============
SCHEDULE F PRE-PETITION LIABILITIES
CLAIMED ALLOWED LIST TOTAL CLAIMS FOR EACH CLASSIFICATION - AMOUNT AMOUNT(b) - ------------------------------------------- -------------- ------------- Secured claims(a) $0 $0 -------------- ------------- Priority claims other than taxes $0 $0 -------------- ------------- Priority tax claims $0 $0 -------------- ------------- General unsecured claims $0 $0 -------------- -------------
(a) List total amount of claims even if under secured. (b) Estimated amount of claim to be allowed after compromise or litigation. As an example, you are a defendant in a lawsuit alleging damage of $10,000,000 and a proof of claim is filed in that amount. You believe that you can settle the case for a claim of $3,000,000. For Schedule F reporting purposes you should list $10,000,000 as the Claimed Amount and $3,000,000 as the Allowed Amount. SCHEDULE G RENTAL INCOME INFORMATION NOT APPLICABLE TO GENERAL BUSINESS CASES SCHEDULE H RECAPITULATION OF FUNDS HELD AT END OF MONTH
ACCOUNT 1 ACCOUNT 2 ACCOUNT 3 ACCOUNT 4 --------------- --------------- ------------- ------------ Bank None --------------- --------------- ------------- ------------ Account Type --------------- --------------- ------------- ------------ Account No. --------------- --------------- ------------- ------------ Account Purpose --------------- --------------- ------------- ------------ Balance, End of Month --------------- --------------- ------------- ------------ Total Funds on Hand for all Accounts $0 ===============
Attach copies of the month end bank statement(s), reconciliation(s), and the check register(s) to the Monthly Operating Report. STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS FOR THE MONTH ENDED 06/30/02
Actual Cumulative Current Month (Case to Date) -------------- -------------- CASH RECEIPTS 1 Rent/Leases Collected $0 $0 -------------- -------------- 2 Cash Received from Sales $0 $0 -------------- -------------- 3 Interest Received $0 $0 -------------- -------------- 4 Borrowings $0 $0 -------------- -------------- 5 Funds from Shareholders, Partners, or Other Insiders $0 $0 -------------- -------------- 6 Capital Contributions $0 $0 -------------- -------------- 7 ------------------------------------------------------ -------------- -------------- 8 ------------------------------------------------------ -------------- -------------- 9 ------------------------------------------------------ -------------- -------------- 10 ------------------------------------------------------ -------------- -------------- 11 ------------------------------------------------------ -------------- -------------- 12 TOTAL CASH RECEIPTS $0 $0 -------------- -------------- CASH DISBURSEMENTS 13 Payments for Inventory $0 $0 -------------- -------------- 14 Selling $0 $0 -------------- -------------- 15 Administrative $0 $0 -------------- -------------- 16 Capital Expenditures $0 $0 -------------- -------------- 17 Principal Payments on Debt $0 $0 -------------- -------------- 18 Interest Paid $0 $0 -------------- -------------- Rent/Lease: 19 Personal Property $0 $0 -------------- -------------- 20 Real Property $0 $0 -------------- -------------- Amount Paid to Owner(s)/Officer(s) 21 Salaries $0 $0 -------------- -------------- 22 Draws $0 $0 -------------- -------------- 23 Commissions/Royalties $0 $0 -------------- -------------- 24 Expense Reimbursements $0 $0 -------------- -------------- 25 Other $0 $0 -------------- -------------- 26 Salaries/Commissions (less employee withholding) $0 $0 -------------- -------------- 27 Management Fees $0 $0 -------------- -------------- Taxes: 28 Employee Withholding $0 $0 -------------- -------------- 29 Employer Payroll Taxes $0 $0 -------------- -------------- 30 Real Property Taxes $0 $0 -------------- -------------- 31 Other Taxes $0 $0 -------------- -------------- 32 Other Cash Outflows: 33 ------------------------------------------------- -------------- -------------- 34 ------------------------------------------------- -------------- -------------- 35 ------------------------------------------------- -------------- -------------- 36 ------------------------------------------------- -------------- -------------- 37 ------------------------------------------------- -------------- -------------- 38 TOTAL CASH DISBURSEMENTS: $0 $0 -------------- -------------- 39 NET INCREASE (DECREASE) IN CASH $0 $0 -------------- -------------- 40 CASH BALANCE, BEGINNING OF PERIOD $0 $0 -------------- -------------- 41 CASH BALANCE, END OF PERIOD $0 $0 ============== ==============
STATEMENT OF CASH FLOWS (OPTIONAL) INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS FOR THE MONTH ENDED 06/30/02
CASH FLOWS FROM OPERATING ACTIVITIES ACTUAL CUMULATIVE CURRENT MONTH (CASE TO DATE) ----------------- ---------------- 1 Cash Received from Sales $0 $0 ----------------- ---------------- 2 Rent/Leases Collected $0 $0 ----------------- ---------------- 3 Interest Received $0 $0 ----------------- ---------------- 4 Cash Paid to Suppliers $0 $0 ----------------- ---------------- 5 Cash Paid for Selling Expenses $0 $0 ----------------- ---------------- 6 Cash Paid for Administrative Expenses $0 $0 ----------------- ---------------- Cash Paid for Rents/Leases: 7 Personal Property $0 $0 ----------------- ---------------- 8 Real Property $0 $0 ----------------- ---------------- 9 Cash Paid for Interest $0 $0 ----------------- ---------------- 10 Cash Paid for Net Payroll and Benefits $0 $0 ----------------- ---------------- Cash Paid to Owner(s)/Officer(s) 11 Salaries $0 $0 ----------------- ---------------- 12 Draws $0 $0 ----------------- ---------------- 13 Commissions/Royalties $0 $0 ----------------- ---------------- 14 Expense Reimbursements $0 $0 ----------------- ---------------- 15 Other $0 $0 ----------------- ---------------- Cash Paid for Taxes Paid/Deposited to Tax Acct. 16 Employer Payroll Tax $0 $0 ----------------- ---------------- 17 Employee Withholdings $0 $0 ----------------- ---------------- 18 Real Property Taxes $0 $0 ----------------- ---------------- 19 Other Taxes $0 $0 ----------------- ---------------- 20 Cash Paid for General Expenses $0 $0 ----------------- ---------------- 21 --------------------------------------------------------------------- ----------------- ---------------- 22 --------------------------------------------------------------------- ----------------- ---------------- 23 --------------------------------------------------------------------- ----------------- ---------------- 24 --------------------------------------------------------------------- ----------------- ---------------- 25 --------------------------------------------------------------------- ----------------- ---------------- 26 --------------------------------------------------------------------- ----------------- ---------------- 27 NET CASH PROVIDED (USED) BY OPERATING ACTIVITIES BEFORE REORGANIZATION ITEMS $0 $0 ----------------- ---------------- CASH FLOWS FROM REORGANIZATION ITEMS 28 Interest Received on Cash Accumulated Due to Chp 11 Case $0 $0 ----------------- ---------------- 29 Professional Fees Paid for Services in Connection with Chp 11 Case $0 $0 ----------------- ---------------- 30 U.S. Trustee Quarterly Fees $0 $0 ----------------- ---------------- 31 --------------------------------------------------------------------- ----------------- ---------------- 32 NET CASH PROVIDED (USED) BY REORGANIZATION ITEMS $0 $0 ----------------- ---------------- 33 NET CASH PROVIDED (USED) FOR OPERATING ACTIVITIES AND REORGANIZATION ITEMS $0 $0 ----------------- ---------------- CASH FLOWS FROM INVESTING ACTIVITIES 34 Capital Expenditures $0 $0 ----------------- ---------------- 35 Proceeds from Sales of Capital Goods due to Chp 11 Case $0 $0 ----------------- ---------------- 36 --------------------------------------------------------------------- ----------------- ---------------- 37 NET CASH PROVIDED (USED) BY INVESTING ACTIVITIES $0 $0 ----------------- ---------------- CASH FLOWS FROM FINANCING ACTIVITIES 38 Net Borrowings (Except Insiders) $0 $0 ----------------- ---------------- 39 Net Borrowings from Shareholders, Partners, or Other Insiders $0 $0 ----------------- ---------------- 40 Capital Contributions $0 $0 ----------------- ---------------- 41 Principal Payments $0 $0 ----------------- ---------------- 42 --------------------------------------------------------------------- ----------------- ---------------- 43 NET CASH PROVIDED (USED) BY FINANCING ACTIVITIES $0 $0 ----------------- ---------------- 44 NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS $0 $0 ----------------- ---------------- 45 CASH AND CASH EQUIVALENTS AT BEGINNING OF MONTH $0 $0 ----------------- ---------------- 46 CASH AND CASH EQUIVALENTS AT END OF MONTH $0 $0 ================= ================
UNITED STATES BANKRUPTCY COURT NORTHERN DISTRICT OF CALIFORNIA In re: Metricom New York, L.L.C. CASE NO. 01-53301 ------------------ CHAPTER 11 MONTHLY OPERATING REPORT (GENERAL BUSINESS CASE) SUMMARY OF FINANCIAL STATUS MONTH ENDED: Jun-02 PETITION DATE: 07/02/01 1. Debtor in possession (or trustee) hereby submits this Monthly Operating Report on the Accrual Basis of accounting (or if checked here ____ the Office of the U.S. Trustee or the Court has approved the Cash Basis of Accounting for the Debtor). Dollars reported in $1
END OF CURRENT END OF PRIOR AS OF PETITION 2. ASSET AND LIABILITY STRUCTURE MONTH MONTH FILING ---------------- ---------------- ---------------- a. Current Assets $0 $0 ---------------- ---------------- b. Total Assets $0 $0 $0 ---------------- ---------------- ---------------- c. Current Liabilities $0 $0 ---------------- ---------------- d. Total Liabilities $0 $0 $0 ---------------- ---------------- ----------------
CUMULATIVE 3. STATEMENT OF CASH RECEIPTS & DISBURSEMENTS FOR MONTH CURRENT MONTH PRIOR MONTH (CASE TO DATE) ---------------- ---------------- ---------------- a. Total Receipts $0 $0 $0 ---------------- ---------------- ---------------- b. Total Disbursements $0 $0 $0 ---------------- ---------------- ---------------- c. Excess (Deficiency) of Receipts Over Disbursements (a - b) $0 $0 $0 ---------------- ---------------- ---------------- d. Cash Balance Beginning of Month $0 $0 $0 ---------------- ---------------- ---------------- e. Cash Balance End of Month (c + d ) $0 $0 $0 ---------------- ---------------- ----------------
CUMULATIVE CURRENT MONTH PRIOR MONTH (CASE TO DATE) ---------------- ---------------- ---------------- 4. PROFIT/(LOSS) FROM THE STATEMENT OF OPERATIONS $0 $0 $0 ---------------- ---------------- ---------------- 5. ACCOUNT RECEIVABLES (PRE AND POST PETITION) $0 $0 ---------------- ---------------- 6. POST-PETITION LIABILITIES $0 $0 ---------------- ---------------- 7. PAST DUE POST-PETITION ACCOUNT PAYABLES (OVER 30 DAYS) $0 $0 ---------------- ----------------
AT THE END OF THIS REPORTING MONTH: YES NO --- --- 8. Have any payments been made on pre-petition debt, other than payments in X the normal course to secured creditors or lessors? (if yes, attach listing including date of payment, amount of payment and name of payee) --- --- 9. Have any payments been made to professionals? (if yes, attach listing X including payment, amount of payment and name of payee) --- --- 10. If the answer is yes to 8 or 9, were all such payments approved by the court? --- --- 11. Have any payments been made to officers, insiders, shareholders, relatives? X (if yes, attach listing including date of payment, amount and reason for payment, and name of payee) --- --- 12. Is the estate insured for replacement cost of assets and for general X liability? --- --- 13. Are a plan and disclosure statement on file? X(1) --- --- 14. Was there any post-petition borrowing during this reporting period? X --- --- 15. Check if paid: Post-petition taxes ___; U.S. Trustee Quarterly Fees ___; Check if filing is current for: Post-petition tax reporting and tax returns: ___.
(Attach explanation, if post-petition taxes or U.S. Trustee Quarterly Fees are not paid current or if post-petition tax reporting and tax return filings are not current.) NOTES: (1) THE DEBTOR FILED ITS LIQUIDATING PLAN OF REORGANIZATION AND DISCLOSURE STATEMENT ON JUNE 7, 2002. I declare under penalty of perjury I have reviewed the above summary and attached financial statements, and after making reasonable inquiry believe these documents are correct. Date: 07/18/02 /s/ EUGENE A. REILLY ----------------------- ------------------------------------------- Responsible Individual STATEMENT OF OPERATIONS (GENERAL BUSINESS CASE) For the Month Ended 06/30/02
CURRENT MONTH - ----------------------------------- CUMULATIVE NEXT MONTH ACTUAL FORECAST VARIANCE (CASE TO DATE) FORECAST - ----------- ---------- --------- ------------------ --------------- REVENUES: $0 $0 $0 1 Gross Sales $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 2 less: Sales Returns & Allowances $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 3 Net Sales $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 4 less: Cost of Goods Sold (Schedule 'B') $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 5 Gross Profit $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 6 Interest $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 7 Other Income: $0 $0 - ----------- ---------- --------- ------------------------ ------------------ --------------- 8 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- 9 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 10 TOTAL REVENUES $0 $0 - ----------- ---------- --------- ------------------ --------------- EXPENSES: $0 $0 $0 11 Compensation to Owner(s)/Officer(s) $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 12 Salaries $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 13 Commissions $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 14 Contract Labor $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 15 Rent/Lease: $0 $0 - ----------- ---------- --------- ------------------ --------------- Personal Property $0 $0 ------------------ --------------- $0 $0 $0 16 Real Property $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 17 Insurance $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 18 Management Fees $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 19 Depreciation $0 $0 - ----------- ---------- --------- ------------------ --------------- Taxes: $0 $0 $0 20 Employer Payroll Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 21 Real Property Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 22 Other Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 23 Other Selling $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 24 Other Administrative $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 25 Interest $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 26 Other Expenses: $0 $0 - ----------- ---------- --------- ------------------------ ------------------ --------------- $0 $0 $0 27 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 28 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 29 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 30 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 31 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 32 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 33 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 34 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 35 TOTAL EXPENSES $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 36 SUBTOTAL $0 $0 - ----------- ---------- --------- ------------------ --------------- REORGANIZATION ITEMS: $0 $0 $0 37 Professional Fees $0 $0 - ----------- ---------- --------- ------------------ --------------- 38 Provisions for Rejected Executory $0 $0 $0 Contracts $0 $0 - ----------- ---------- --------- ------------------ --------------- 39 Interest Earned on Accumulated Cash from $0 $0 $0 Resulting Chp 11 Case $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 40 Gain or (Loss) from Sale of Equipment $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 41 U.S. Trustee Quarterly Fees $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 42 $0 $0 - ----------- ---------- --------- ------------------------------------------ ------------------ --------------- $0 $0 $0 43 TOTAL REORGANIZATION ITEMS $0 $0 - ----------- ---------- --------- ------------------ --------------- 44 NET PROFIT (LOSS) BEFORE FEDERAL $0 $0 $0 & STATE TAXES $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 45 Federal & State Income Taxes $0 $0 - ----------- ---------- --------- ------------------ --------------- $0 $0 $0 46 NET PROFIT (LOSS) $0 $0 =========== ========== ========= ================== ===============
Attach an Explanation of Variance to Statement of Operations (For variances greater than +/- 10% only): BALANCE SHEET (GENERAL BUSINESS CASE) FOR THE MONTH ENDED 06/30/02 ASSETS
FROM SCHEDULES MARKET VALUE --------------- ------------- CURRENT ASSETS 1 Cash and cash equivalents - unrestricted $0 ------------- 2 Cash and cash equivalents - restricted $0 ------------- 3 Accounts receivable (net) A $0 ------------- 4 Inventory B $0 ------------- 5 Prepaid expenses $0 ------------- 6 Professional retainers $0 ------------- 7 Other: $0 --------------------------------------------- ------------- 8 --------------------------------------------------- ------------- 9 TOTAL CURRENT ASSETS $0 ------------- PROPERTY AND EQUIPMENT (MARKET VALUE) 10 Real property C $0 ------------- 11 Machinery and equipment D $0 ------------- 12 Furniture and fixtures D $0 ------------- 13 Office equipment D $0 ------------- 14 Leasehold improvements D $0 ------------- 15 Vehicles D $0 ------------- 16 Other: D $0 --------------------------------------------- ------------- 17 D $0 --------------------------------------------------- ------------- 18 D $0 --------------------------------------------------- ------------- 19 D $0 --------------------------------------------------- ------------- 20 D $0 --------------------------------------------------- ------------- 21 TOTAL PROPERTY AND EQUIPMENT $0 ------------- OTHER ASSETS 22 Loans to shareholders $0 ------------- 23 Loans to affiliates $0 ------------- 24 --------------------------------------------------- ------------- 25 --------------------------------------------------- ------------- 26 --------------------------------------------------- ------------- 27 --------------------------------------------------- ------------- 28 TOTAL OTHER ASSETS $0 ------------- 29 TOTAL ASSETS $0 =============
NOTE: Indicate the method used to estimate the market value of assets (e.g., appraisals; familiarity with comparable market prices, etc.) and the date the value was determined. LIABILITIES AND EQUITY (GENERAL BUSINESS CASE) LIABILITIES FROM SCHEDULES POST-PETITION
CURRENT LIABILITIES 30 Salaries and wages $0 ------------- 31 Payroll taxes $0 ------------- 32 Real and personal property taxes $0 ------------- 33 Income taxes $0 ------------- 34 Sales taxes $0 ------------- 35 Notes payable (short term) $0 ------------- 36 Accounts payable (trade) A $0 ------------- 37 Real property lease arrearage $0 ------------- 38 Personal property lease arrearage $0 ------------- 39 Accrued professional fees $0 ------------- 40 Current portion of long-term post-petition debt (due within 12 months) $0 ------------- 41 Other: ----------------------------------- ------------- 42 -------------------------------------------- ------------- 43 -------------------------------------------- ------------- 44 TOTAL CURRENT LIABILITIES $0 ------------- 45 LONG-TERM POST-PETITION DEBT, NET OF CURRENT PORTION $0 ------------- 46 TOTAL POST-PETITION LIABILITIES $0 ------------- PRE-PETITION LIABILITIES (ALLOWED AMOUNT) 47 Secured claims F $0 ------------- 48 Priority unsecured claims F $0 ------------- 49 General unsecured claims F $0 ------------- 50 TOTAL PRE-PETITION LIABILITIES $0 ------------- 51 TOTAL LIABILITIES $0 ------------- EQUITY (DEFICIT) 52 Retained Earnings/(Deficit) at time of filing $0 ------------- 53 Capital Stock $0 ------------- 54 Additional paid-in capital $0 ------------- 55 Cumulative profit/(loss) since filing of case $0 ------------- 56 Post-petition contributions/(distributions) or (draws) ------------- 57 $0 -------------------------------------------------- ------------- 58 Market value adjustment ------------- 59 TOTAL EQUITY (DEFICIT) $0 ------------- 60 TOTAL LIABILITIES AND EQUITY (DEFICIT) $0 =============
SCHEDULES TO THE BALANCE SHEET (GENERAL BUSINESS CASE) SCHEDULE A ACCOUNTS RECEIVABLE AND (NET) PAYABLE
ACCOUNTS RECEIVABLE ACCOUNTS PAYABLE PAST DUE RECEIVABLES AND PAYABLES AGINGS [PRE AND POST PETITION] [POST PETITION] POST PETITION DEBT - ------------------------------- ----------------------- ---------------- ------------------ 0-30 Days $0 $0 ----------------------- --------------- 31-60 Days $0 $0 ----------------------- --------------- 61-90 Days $0 $0 $0 ----------------------- --------------- ================== 91+ Days $0 $0 ----------------------- --------------- Total accounts receivable/payable $0 $0 ----------------------- =============== Allowance for doubtful accounts $0 ----------------------- Accounts receivable (net) $0 =======================
SCHEDULE B INVENTORY/COST OF GOODS SOLD
TYPES AND AMOUNT OF INVENTORY(IES) COST OF GOODS SOLD - ---------------------------------- ------------------ INVENTORY(IES) BALANCE AT END OF MONTH INVENTORY BEGINNING OF MONTH $0 -------------- ------------------- Add - Retail/Restaurants - Net purchase $0 ------------------- Product for resale $0 Direct labor $0 -------------------------- ------------------- Manufacturing overhead $0 ------------------- Distribution - Freight in $0 ------------------- Products for resale $0 Other: $0 -------------------------- ------------------- --------------------------------- ------------------- Manufacturer - --------------------------------- ------------------- Raw Materials $0 -------------------------- Work-in-progress $0 Less - -------------------------- Finished goods $0 Inventory End of Month $0 -------------------------- ------------------- Shrinkage $0 ------------------- Other - Explain $0 Personal Use $0 -------------------------- ------------------- ------------------------------ Cost of Goods Sold $0 ------------------------------ =================== TOTAL $0 ==========================
METHOD OF INVENTORY CONTROL INVENTORY VALUATION METHODS Do you have a functioning perpetual inventory system? Indicate by a checkmark method of inventory used. Yes No ----- ----- How often do you take a complete physical inventory? Valuation methods - FIFO cost -- Weekly LIFO cost ------ -- Monthly Lower of cost or market ------ -- Quarterly Retail method ------ -- Semi-annually Other ------ Annually Explain ------ Date of last physical inventory was Not Applicable ------------------------ ------------------------------------------------------------- ------------------------------------------------------------- Date of next physical inventory is Not Applicable ------------------------- -------------------------------------------------------------
SCHEDULE C REAL PROPERTY
Description COST MARKET VALUE ---- ------------ None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ====================
SCHEDULE D OTHER DEPRECIABLE ASSETS
Description COST MARKET VALUE - ----------- ---- ------------ Machinery & Equipment - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Furniture & Fixtures - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Office Equipment - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Leasehold Improvements - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ==================== Vehicles - None $0 $0 ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- ------------------------------ ---------------- -------------------- Total $0 $0 ================ ====================
SCHEDULE E AGING OF POST-PETITION TAXES (AS OF END OF THE CURRENT REPORTING PERIOD)
TAXES PAYABLE 0-30 DAYS 31-60 DAYS 61-90 DAYS 91+ DAYS TOTAL - ---------------- -------------- --------------- -------------- -------------- ------------- FEDERAL Income Tax Withholding $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- FICA - Employee $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- FICA - Employer $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Unemployment (FUTA) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Income $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Other (Attach List) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- TOTAL FEDERAL TAXES $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- STATE AND LOCAL Income Tax Withholding $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Unemployment (UT) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Disability Insurance (DI) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Empl. Training Tax (ETT) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Sales $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Excise $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Real property $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Personal property $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Income $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- Other (Attach List) $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- TOTAL STATE & LOCAL TAXES $0 $0 $0 $0 $0 -------------- --------------- -------------- -------------- ------------- TOTAL TAXES $0 $0 $0 $0 $0 ============== =============== ============== ============== =============
SCHEDULE F PRE-PETITION LIABILITIES
CLAIMED ALLOWED LIST TOTAL CLAIMS FOR EACH CLASSIFICATION - AMOUNT AMOUNT(b) - ------------------------------------------- -------------- ------------- Secured claims(a) $0 $0 -------------- ------------- Priority claims other than taxes $0 $0 -------------- ------------- Priority tax claims $0 $0 -------------- ------------- General unsecured claims $0 $0 -------------- -------------
(a) List total amount of claims even if under secured. (b) Estimated amount of claim to be allowed after compromise or litigation. As an example, you are a defendant in a lawsuit alleging damage of $10,000,000 and a proof of claim is filed in that amount. You believe that you can settle the case for a claim of $3,000,000. For Schedule F reporting purposes you should list $10,000,000 as the Claimed Amount and $3,000,000 as the Allowed Amount. SCHEDULE G RENTAL INCOME INFORMATION NOT APPLICABLE TO GENERAL BUSINESS CASES SCHEDULE H RECAPITULATION OF FUNDS HELD AT END OF MONTH
ACCOUNT 1 ACCOUNT 2 ACCOUNT 3 ACCOUNT 4 --------------- --------------- ------------- ------------- Bank None --------------- --------------- ------------- ------------- Account Type --------------- --------------- ------------- ------------- Account No. --------------- --------------- ------------- ------------- Account Purpose --------------- --------------- ------------- ------------- Balance, End of Month --------------- --------------- ------------- ------------- Total Funds on Hand for all Accounts $0 ===============
Attach copies of the month end bank statement(s), reconciliation(s), and the check register(s) to the Monthly Operating Report. STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS FOR THE MONTH ENDED 06/30/02
Actual Cumulative Current Month (Case to Date) -------------- -------------- CASH RECEIPTS 1 Rent/Leases Collected $0 $0 -------------- -------------- 2 Cash Received from Sales $0 $0 -------------- -------------- 3 Interest Received $0 $0 -------------- -------------- 4 Borrowings $0 $0 -------------- -------------- 5 Funds from Shareholders, Partners, or Other Insiders $0 $0 -------------- -------------- 6 Capital Contributions $0 $0 -------------- -------------- 7 ------------------------------------------------------ -------------- -------------- 8 ------------------------------------------------------ -------------- -------------- 9 ------------------------------------------------------ -------------- -------------- 10 ------------------------------------------------------ -------------- -------------- 11 ------------------------------------------------------ -------------- -------------- 12 TOTAL CASH RECEIPTS $0 $0 -------------- -------------- CASH DISBURSEMENTS 13 Payments for Inventory $0 $0 -------------- -------------- 14 Selling $0 $0 -------------- -------------- 15 Administrative $0 $0 -------------- -------------- 16 Capital Expenditures $0 $0 -------------- -------------- 17 Principal Payments on Debt $0 $0 -------------- -------------- 18 Interest Paid $0 $0 -------------- -------------- Rent/Lease: 19 Personal Property $0 $0 -------------- -------------- 20 Real Property $0 $0 -------------- -------------- Amount Paid to Owner(s)/Officer(s) 21 Salaries $0 $0 -------------- -------------- 22 Draws $0 $0 -------------- -------------- 23 Commissions/Royalties $0 $0 -------------- -------------- 24 Expense Reimbursements $0 $0 -------------- -------------- 25 Other $0 $0 -------------- -------------- 26 Salaries/Commissions (less employee withholding) $0 $0 -------------- -------------- 27 Management Fees $0 $0 -------------- -------------- Taxes: 28 Employee Withholding $0 $0 -------------- -------------- 29 Employer Payroll Taxes $0 $0 -------------- -------------- 30 Real Property Taxes $0 $0 -------------- -------------- 31 Other Taxes $0 $0 -------------- -------------- 32 Other Cash Outflows: $0 $0 -------------- -------------- 33 ------------------------------------------------- -------------- -------------- 34 ------------------------------------------------- -------------- -------------- 35 ------------------------------------------------- -------------- -------------- 36 ------------------------------------------------- -------------- -------------- 37 ------------------------------------------------- -------------- -------------- 38 TOTAL CASH DISBURSEMENTS: $0 $0 -------------- -------------- 39 NET INCREASE (DECREASE) IN CASH $0 $0 -------------- -------------- 40 CASH BALANCE, BEGINNING OF PERIOD $0 $0 -------------- -------------- 41 CASH BALANCE, END OF PERIOD $0 $0 ============== ==============
STATEMENT OF CASH FLOWS (OPTIONAL) INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS FOR THE MONTH ENDED 06/30/02
CASH FLOWS FROM OPERATING ACTIVITIES ACTUAL CUMULATIVE ------------------------------------ CURRENT MONTH (CASE TO DATE) ----------------- ---------------- 1 Cash Received from Sales $0 $0 ----------------- ---------------- 2 Rent/Leases Collected $0 $0 ----------------- ---------------- 3 Interest Received $0 $0 ----------------- ---------------- 4 Cash Paid to Suppliers $0 $0 ----------------- ---------------- 5 Cash Paid for Selling Expenses $0 $0 ----------------- ---------------- 6 Cash Paid for Administrative Expenses $0 $0 ----------------- ---------------- Cash Paid for Rents/Leases: 7 Personal Property $0 $0 ----------------- ---------------- 8 Real Property $0 $0 ----------------- ---------------- 9 Cash Paid for Interest $0 $0 ----------------- ---------------- 10 Cash Paid for Net Payroll and Benefits $0 $0 ----------------- ---------------- Cash Paid to Owner(s)/Officer(s) 11 Salaries $0 $0 ----------------- ---------------- 12 Draws $0 $0 ----------------- ---------------- 13 Commissions/Royalties $0 $0 ----------------- ---------------- 14 Expense Reimbursements $0 $0 ----------------- ---------------- 15 Other $0 $0 ----------------- ---------------- Cash Paid for Taxes Paid/Deposited to Tax Acct. 16 Employer Payroll Tax $0 $0 ----------------- ---------------- 17 Employee Withholdings $0 $0 ----------------- ---------------- 18 Real Property Taxes $0 $0 ----------------- ---------------- 19 Other Taxes $0 $0 ----------------- ---------------- 20 Cash Paid for General Expenses $0 $0 ----------------- ---------------- 21 --------------------------------------------------------------------- ----------------- ---------------- 22 --------------------------------------------------------------------- ----------------- ---------------- 23 --------------------------------------------------------------------- ----------------- ---------------- 24 --------------------------------------------------------------------- ----------------- ---------------- 25 --------------------------------------------------------------------- ----------------- ---------------- 26 --------------------------------------------------------------------- ----------------- ---------------- 27 NET CASH PROVIDED (USED) BY OPERATING ACTIVITIES BEFORE REORGANIZATION ITEMS $0 $0 ----------------- ---------------- CASH FLOWS FROM REORGANIZATION ITEMS 28 Interest Received on Cash Accumulated Due to Chp 11 Case $0 $0 ----------------- ---------------- 29 Professional Fees Paid for Services in Connection with Chp 11 Case $0 $0 ----------------- ---------------- 30 U.S. Trustee Quarterly Fees $0 $0 ----------------- ---------------- 31 --------------------------------------------------------------------- ----------------- ---------------- 32 NET CASH PROVIDED (USED) BY REORGANIZATION ITEMS $0 $0 ----------------- ---------------- 33 NET CASH PROVIDED (USED) FOR OPERATING ACTIVITIES AND REORGANIZATION ITEMS $0 $0 ----------------- ---------------- CASH FLOWS FROM INVESTING ACTIVITIES 34 Capital Expenditures $0 $0 ----------------- ---------------- 35 Proceeds from Sales of Capital Goods due to Chp 11 Case $0 $0 ----------------- ---------------- 36 --------------------------------------------------------------------- ----------------- ---------------- 37 NET CASH PROVIDED (USED) BY INVESTING ACTIVITIES $0 $0 ----------------- ---------------- CASH FLOWS FROM FINANCING ACTIVITIES 38 Net Borrowings (Except Insiders) $0 $0 ----------------- ---------------- 39 Net Borrowings from Shareholders, Partners, or Other Insiders $0 $0 ----------------- ---------------- 40 Capital Contributions $0 $0 ----------------- ---------------- 41 Principal Payments $0 $0 ----------------- ---------------- 42 --------------------------------------------------------------------- ----------------- ---------------- 43 NET CASH PROVIDED (USED) BY FINANCING ACTIVITIES $0 $0 ----------------- ---------------- 44 NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS $0 $0 ----------------- ---------------- 45 CASH AND CASH EQUIVALENTS AT BEGINNING OF MONTH $0 $0 ----------------- ---------------- 46 CASH AND CASH EQUIVALENTS AT END OF MONTH $0 $0 ================= ================
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