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Note 15 - Fair Value Measurements (Tables)
12 Months Ended
Jun. 30, 2014
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]
   

June 30, 2014

   

June 30, 2013

 
   

Carrying

Amount

   

Fair

Value

   

Carrying

Amount

   

Fair

Value

 

Financial assets:

                               

Cash and cash equivalents

  $ 764,931     $ 764,931     $ 4,515,618     $ 4,515,618  

Restricted cash

    755,701       755,701       500,000       500,000  

Accounts receivable - related party

    683,992       683,992       689,067       689,067  
Accounts receivable - non related party     43,974       43,974       196,010       196,010  

Loans held for sale

    15,416,781       15,416,781       17,702,492       17,702,492  

Prepaid expenses

    142,096       142,096       161,717       161,717  

Loan receivable

    88,898       88,898       88,898       88,898  

Intangible Assets

    3,122,590       3,122,590       3,492,172       3,492,172  
                                 

Financial liabilities:

                               

Accounts payable

  $ 602,351     $ 602,351     $ 503,895     $ 503,895  

Warehouse line of credit

    474,000       474,000       1,981,687       1,981,687  

Warehouse lines of credit - related parties

    14,942,781       14,942,781       15,688,725       15,688,725  

Preferred dividends payable – related parties

    82,500       82,500       55,500       55,500  

Preferred dividends payable

    51,000       51,000       30,000       30,000  

Accrued liabilities

    643,915       643,915       1,418,996       1,418,996