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CONDENSED CONSOLIDATED BALANCE SHEETS (USD $)
Jun. 30, 2011
Sep. 30, 2010
CURRENT ASSETS    
Cash $ 3,350,194 $ 5,313,931
Accounts receivable 6,916,416 6,821,011
Accounts receivable - government subsidies 0  
Inventory 10,403,307 7,808,330
Prepaid expense 354,464 257,934
Commodities trading accounts - futures and options contracts 496,056 231,862
Total current assets 21,520,436 20,433,068
PROPERTY AND EQUIPMENT    
Land 701,872 701,872
Land improvements 1,346,457 1,346,457
Manufacturing equipment 41,692,731 41,524,737
Buildings 3,058,597 3,011,442
Vehicles 1,346,719 589,648
Office equipment, furniture, fixtures 195,682 191,437
Grain Handling and other Equipment 4,994,743 4,994,743
Spare parts 932,167 1,046,710
Construction-in-progress 679,055 36,137
PROPERTY AND EQUIPMENT GROSS 54,948,023 53,443,183
Less: Accumulated depreciation (44,118,668) (41,122,166)
PROPERTY AND EQUIPMENT NET 10,829,355 12,321,018
OTHER ASSETS    
Investment in Industrial Development Revenue Bonds 32,000,000 32,000,000
Water rights 340,408 340,408
Loan origination fees, net 103,958 129,239
Financing fees, net 148,740 153,788
Covenant not to compete - WPT, net of amortization 220,440  
Deposits 97,834 97,834
TOTAL OTHER ASSETS 32,911,380 32,721,269
TOTAL ASSETS 65,261,170 65,475,355
CURRENT LIABILITIES    
Accounts payable and accrued expenses 4,857,239 7,383,874
Accrued interest   5,111
Total current liabilities 4,857,239 7,388,985
LEASE OBLIGATION 32,000,000 32,000,000
COMMITMENTS AND CONTINGENCIES    
MEMBERS' EQUITY    
Membership distributions (102,299,100) (90,362,700)
Accumulated comprehensive income (loss) (1,557,300) (2,170,494)
Retained earnings 113,159,296 99,518,528
Total members' equity 28,403,931 26,086,370
TOTAL LIABILITIES AND MEMBERS' EQUITY 65,261,170 65,475,355
Class A
   
MEMBERS' EQUITY    
Capital Units 10,910,140 10,910,140
Class B
   
MEMBERS' EQUITY    
Capital Units 7,940,895 7,940,895
Class C
   
MEMBERS' EQUITY    
Capital Units $ 250,000 $ 250,000