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Note 5 - Balance Sheet Components (Tables)
12 Months Ended
Dec. 31, 2013
Disclosure Text Block Supplement [Abstract]  
Condensed Balance Sheet [Table Text Block]
   

December 31, 2013

   

December 31, 2012

 

INVENTORY

               

On hand:

               

Finished goods held for sale

  $ 24,546,771     $ 24,039,846  

Raw materials and work in process

    853,200       495,182  

Inventory in transit

    900,859       1,327,756  

TOTAL

  $ 26,300,830     $ 25,862,784  
                 

PROPERTY AND EQUIPMENT

               

Building

  $ 9,232,066     $ 6,412,861  

Land

    1,451,132       1,451,132  

Leasehold improvements

    527,637       652,641  

Equipment and machinery

    4,321,509       4,124,553  

Furniture and fixtures

    4,597,366       3,034,128  

Vehicles

    161,280       77,396  

Construction in progress

    -       1,822,184  
      20,290,990       17,574,895  

Less: accumulated depreciation

    (5,863,280 )     (5,630,305 )

TOTAL

  $ 14,427,710     $ 11,944,590  
                 

PREPAID EXPENSES

               

Prepaid insurance

  $ 479,220     $ 51,113  

Prepaid postage

    89,702       67,650  

Prepaid advertising

    309,908       296,687  

Prepaid rent

    93,866       46,825  

Prepaid supplies/equipment

    145,223       67,098  

Prepaid licenses/dues

    120,476       48,855  

Prepaid IT services

    315,099       103,609  

Prepaid other

    56,150       94,626  

TOTAL

  $ 1,609,644     $ 776,463  
                 

OTHER CURRENT ASSETS

               

Accounts receivable - employees

  $ 80,556     $ 47,533  

Accounts receivable - other

    257,932       22,244  

Payments for merchandise not received

    140,105       83,673  

TOTAL

  $ 478,593     $ 153,450  
                 

OTHER ASSETS

               

Security deposits - utilities, locations, etc.

  $ 89,959     $ 84,695  

Leather art collection

    252,000       252,000  

TOTAL

  $ 341,959     $ 336,695  
                 

ACCRUED EXPENSES AND OTHER LIABILITIES

               

Accrued bonuses

  $ 2,741,003     $ 2,238,057  

Accrued payroll

    702,456       629,636  

Deferred revenue

    864,104       826,467  

Sales and payroll taxes payable

    423,340       295,482  

Inventory in transit

    321,608       1,327,756  

Other

    756,371       611,400  

TOTAL

  $ 5,808,882     $ 5,928,798