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Long-Term Debt (Tables)
12 Months Ended
Dec. 31, 2018
Debt Disclosure [Abstract]  
Schedule of long-term debt
  December 31,  December 31, 
  2018  2017 
  ($000's omitted) 
Term loan payable to a financial institution; Interest rate  option of bank prime or Libor plus 1.4% (3.7492% as of   December 31, 2018), monthly prinicipal payments of    $21,833 through 2021 with a balloon payment of   $786,000 due December 1, 2021 $1,572  $1,835 
         
Term loan payable to a financial institution; Interest rate  option of bank prime or Libor plus 1.4% (3.7492% as of   December 31, 2018), monthly prinicipal payments of    $23,810 through December 1, 2021  857   1,142 
         
Lease line of credit for equipment; Interest rate fixed for term of   of each funding based upon the Lender's lease pricing at   time of funding. (Interest rate/factor 1.822758% - 1.869304%   at time of funding)  704   654 
   3,133   3,631 
Less current portion  (723)  (681)
  $2,410  $2,950 
schedule of payments for capital lease obligations
     December 31,
     2018
     ($000's omitted)
    
   2019  193
   2020  193
   2021  193
   2022  193
   2023  4
Total principal payments     776
Less amount representing interest     (72)
Present value of net minimum lease payments     704
Less current portion     (175)
Long term principle payments    $529