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6. OTHER CURRENT ASSETS
12 Months Ended
Oct. 31, 2016
Notes to Financial Statements  
6. OTHER CURRENT ASSETS

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

 

    2016     2015  
Notes Receivable – Current   $ 83,339     $ 59,811  
Prepaid Insurance     282,952       306,812  
Prepaid Software     74,121       18,780  
Prepaid Property Taxes     170,522       190,721  
Prepaid Fees     46,100       46,100  
Security Deposits     165,428       170,097  
Miscellaneous     78,912       144,636  
Total Other Current Assets   $ 901,374     $ 936,957