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6. OTHER CURRENT ASSETS
12 Months Ended
Oct. 31, 2012
Notes to Financial Statements  
6. OTHER CURRENT ASSETS

6. OTHER CURRENT ASSETS

 

At October 31, the balance of other current assets is itemized as follows:

 

    2012     2011  
Notes Receivable - Current   $ 12,700     $ 14,900  
Prepaid Insurance     273,705       263,119  
Prepaid Software     39,884       -  
Prepaid Property Taxes     168,975       192,615  
Prepaid Fees     46,100       60,654  
Prepaid Income Taxes     674,093       402,694  
Security Deposits     66,374       61,473  
Miscellaneous     105,457       139,203  
Total Other Current Assets   $ 1,387,288     $ 1,134,658