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CONDENSED CONSOLIDATED BALANCE SHEETS (USD $)
Mar. 31, 2012
Dec. 31, 2011
Cash and cash equivalents $ 24,992 $ 173,780
Trade accounts receivable, net of allowance for doubtful accounts of $935,111 and $1,023,156, respectively 57,899 27,585
Inventory, net of reserve of $2,270,430 and $2,271,008 , respectively 278,482 465,074
Prepaid deposits 39,028  
Other 49,818 26,136
Total current assets 450,219 692,575
Investment in securities, at cost 300,000 300,000
Property and equipment, net 144,972 172,480
Other assets, net 10,822 2,010
Total assets 906,013 1,167,065
Checks written in excess of bank balance 90,063 208,193
Accounts payable 4,590,306 4,079,330
Related party payable 771,174 705,056
Short term advances payable 3,702,263 3,800,263
Accrued payroll and compensation expense 2,173,920 2,589,709
Accrued liabilities 2,609,445 1,913,075
Accrued interest 2,309,807 2,054,148
Deferred revenue 3,416,698 3,485,463
Derivative liability 428,322 294,717
Convertible debenture 3,161,355 3,161,355
Refundable customer deposits 1,317,387 1,317,387
Liabilities subject to compromise 1,122,154 1,122,154
Current maturities of long-term debt 936,585 906,585
Current liabilities to minority interest holders 458,696 443,696
Note payable to stockholders and members 151,833 151,833
Total current liabilities 27,240,008 26,232,964
Total liabilities 27,240,008 26,232,964
Common stock, par value $0.001; authorized 4,500,000,000 shares; issued and outstanding shares: 1,839,302,289 and 1,819,302,289 1,839,302 1,819,302
Additional paid-in capital 29,872,151 29,872,151
Subscription receivable (17,000) (17,000)
Accumulated deficit (49,401,302) (48,267,176)
Total CirTran Corporation stockholders' deficit (17,706,849) (16,592,723)
Noncontrolling interest (8,627,146) (8,473,176)
Total stockholders' deficit (26,333,995) (25,065,899)
Total liabilities and stockholders' deficit $ 906,013 $ 1,167,065