EX-99.1 2 v209166_ex99-1.htm Unassociated Document

OFFICE OF THE UNITED STATES TRUSTEE
CENTRAL DISTRICT OF CALIFORNIA

In Re:
   
CHAPTER 11 (BUSINESS)
 
ENIVEL, INC.
       
       
Case Number:
8:10-bk-12735-RK
       
Operating Report Number:
10
   
Debtor(s).
 
For the Month Ending:
12/31/2010
           
I. CASH RECEIPTS AND DISBURSEMENTS
A. (GENERAL ACCOUNT)
           
1.   TOTAL RECEIPTS PER ALL PRIOR GENERAL ACCOUNT REPORTS
5,886,486.58
           
2.   LESS:  TOTAL DISBURSEMENTS PER ALL PRIOR GENERAL ACCOUNT REPORTS
5,846,238.30
           
3.   BEGINNING BALANCE:
   
40,248.28
           
4.   RECEIPTS DURING CURRENT PERIOD:
     
 
Accounts Receivable - Post-filing
 
562,192.10
 
 
Accounts Receivable - Pre-filing
 
0.00
 
 
General Sales
   
0.00
 
 
Other (Specify)
Transfers between DIP Accts
 
165,300.00
 
 
Other (Specify)
DIP Financing
 
0.00
 
           
 
TOTAL RECEIPTS THIS PERIOD:
   
727,492.10
           
5.   BALANCE:
     
767,740.38
           
6.   LESS: TOTAL DISBURSEMENTS DURING CURRENT PERIOD
 
 
Transfers to Other DIP Accounts (from page 2)
 
407,050.00
 
 
Disbursements (from page 2)
   
358,550.98
 
           
 
TOTAL DISBURSEMENTS THIS PERIOD:
   
765,600.98
           
7.   ENDING BALANCE:
     
2,139.40
           
8.
General Account Number(s):
   
BOH: 0007-050151, 0028-039131
       
FHB: 46-019156  
       
   
 
Depository Name & Location:
 
Bank of Hawaii, 1617 Dillingham Blvd  
       
Honolulu, HI  96817  
       
First Hawaiian Bank, 120 Sand Island Access Rd
       
Honolulu, HI  96819  

 
Page 1 of 17

 

TOTAL DISBURSEMENTS FROM GENERAL ACCOUNT FOR CURRENT PERIOD
 
Date
mm/dd/yyyy
Check
Number
Payee
Purpose
Amount
Transferred
Amount
Disbursed
Total
Disbursements
December 2010
 
See Exhibit I for details
December disbursements
 
358,550.98
358,550.98
December 2010
 
See Exhibit I for details
December Intra Debtor transfers
372,400.00
 
372,400.00
December 2010
 
See Exhibit I for details
December Inter Debtor transfers
34,650.00
 
34,650.00
           
-
           
-
           
-
           
-
           
-
           
-
           
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-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
-
           
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-
           
-
           
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-
           
-
           
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-
           
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-
           
-
           
-
           
-
           
-
           
-
   
TOTAL DISBURSEMENTS THIS PERIOD (FN1):
407,050.00
358,550.98
$765,600.98

(FN1) - Transfers reported on this schedule represent two different types of non-disbursement activity.  Intra Debtor transfers are transfers between bank accounts with the same Federal Identification Number.  Inter Debtor transfers are transfers to bank accounts held by other Debtors within the same bankruptcy proceeding.

 
Page 2 of 17

 

GENERAL ACCOUNT
BANK RECONCILIATION

 
Bank Statement Date:
 
12/31/2010
 
Balance on Statement:
 
18,972.94
               
Plus deposits in transit (a):
           
     
Deposit Date
 
Deposit Amount
   
 
Deposits from BOH Acc #007-050151 are set
           
 
forth on Exhibit II and total $2,730.09
     
                   2,730.09
 
See Exhibit II
 
Deposits from FHB Acc #46-019156 are set
           
 
forth on Exhibit III and total $15,347.04
     
15,347.04
 
See Exhibit III
               
               
               
TOTAL DEPOSITS IN TRANSIT
         
18,077.13
               
Less Outstanding Checks (a):
           
 
Check Number
 
Check Date
 
Check Amount
   
 
Checks from BOH Acc #007-050151 are set
           
 
forth on Exhibit IV and total $17,588.17
     
17,588.17
 
See Exhibit IV
 
Checks from FHB Acc #46-019156 are set
           
 
forth on Exhibit V and total $17,322.50
     
17,322.50
 
See Exhibit V
               
               
               
               
               
               
               
               
               
               
               
               
TOTAL OUTSTANDING CHECKS:
         
34,910.67
               
Bank statement Adjustments:
           
Explanation of Adjustments-
           
               
               
               
ADJUSTED BANK BALANCE:
         
2,139.40
 
Page 3 of 17

 

I. CASH RECEIPTS AND DISBURSEMENTS
B. (PAYROLL ACCOUNT)

1.   TOTAL RECEIPTS PER ALL PRIOR PAYROLL ACCOUNT REPORTS
1,640,494.93
       
2.   LESS:  TOTAL DISBURSEMENTS PER ALL PRIOR PAYROLL ACCOUNT REPORTS
1,640,355.80
       
3.   BEGINNING BALANCE:
   
139.13
       
4.   RECEIPTS DURING CURRENT PERIOD:
     
      (Transferred from General Account)
   
                207,100.00
       
5.   BALANCE:
   
207,239.13
       
6.   LESS: TOTAL DISBURSEMENTS DURING CURRENT PERIOD
 
      TOTAL DISBURSEMENTS THIS PERIOD:
   
207,073.61
       
7.   ENDING BALANCE:  (FN1)
   
165.52
       
8.   PAYROLL Account Number(s):
 
01-198254
 
       
      Depository Name & Location:
 
First Hawaiian Bank
 
   
120 Sand Island Access Rd
 
   
Honolulu, HI  96819
 
 
Page 4 of 17

 

TOTAL DISBURSEMENTS FROM PAYROLL ACCOUNT FOR CURRENT PERIOD

Date mm/dd/yyyy
 Check Number 
Payee
Purpose
Amount
December 2010
 
See Exhibit VI for details
December Payroll
207,073.61
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
     
TOTAL DISBURSEMENTS THIS PERIOD: 
207,073.61

 
Page 5 of 17

 

BANK RECONCILIATION

 
Bank Statement Date:
 
12/31/2010
 
Balance on Statement:
 
              14,740.66
               
Plus deposits in transit (a):
           
     
Deposit Date
 
Deposit Amount
   
               
               
               
               
               
               
TOTAL DEPOSITS IN TRANSIT
         
0.00
               
Less Outstanding Checks (a):
           
 
Check Number
 
Check Date
 
Check Amount
   
 
Checks from FHB Acc #01-198254 are set
           
 
forth on Exhibit VII and total $14,575.14
     
14,575.14
 
See Exhibit VII
               
               
               
               
               
               
               
               
               
               
               
               
               
               
               
               
               
               
TOTAL OUTSTANDING CHECKS:
         
14,575.14
               
Bank statement Adjustments:
           
Explanation of Adjustments-
           
               
               
               
ADJUSTED BANK BALANCE:
         
165.52

 
Page 6 of 17

 

I.  CASH RECEIPTS AND DISBURSEMENTS
C. (TAX ACCOUNT)
  
1.   TOTAL RECEIPTS PER ALL PRIOR TAX ACCOUNT REPORTS
0.00
       
2.   LESS:  TOTAL DISBURSEMENTS PER ALL PRIOR TAX ACCOUNT REPORTS
 
       
3.   BEGINNING BALANCE:
   
0.00
       
4.   RECEIPTS DURING CURRENT PERIOD:
   
0.00
      (Transferred from General Account)
     
       
5.   BALANCE:
   
0.00
       
6.   LESS: TOTAL DISBURSEMENTS DURING CURRENT PERIOD
 
      TOTAL DISBURSEMENTS THIS PERIOD:
   
0.00
       
7.   ENDING BALANCE:
   
0.00
       
8.   TAX Account Number(s):
 
NONE
 
       
      Depository Name & Location:
     
       

 
Page 7 of 17

 

TOTAL DISBURSEMENTS FROM TAX ACCOUNT FOR CURRENT PERIOD

Date
mm/dd/yyyy
Check
Number
Payee
Purpose
Amount
N/A
       
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
         
     
TOTAL DISBURSEMENTS THIS PERIOD:
0.00

 
Page 8 of 17

 

TAX ACCOUNT
BANK RECONCILIATION

 
Bank Statement Date:
 
N/A
 
Balance on Statement:
 
0.00
               
Plus deposits in transit (a):
           
     
Deposit Date
 
Deposit Amount
   
     
N/A
       
               
               
               
               
               
TOTAL DEPOSITS IN TRANSIT
         
0.00
               
Less Outstanding Checks (a):
           
 
Check Number
 
Check Date
 
Check Amount
   
     
N/A
       
               
               
               
               
               
               
               
               
               
               
               
               
               
               
               
               
               
               
               
TOTAL OUTSTANDING CHECKS:
         
0.00
               
Bank statement Adjustments:
           
Explanation of Adjustments-
           
               
               
               
ADJUSTED BANK BALANCE:
         
0.00

 
Page 9 of 17

 

I. D SUMMARY SCHEDULE OF CASH

ENDING BALANCES FOR THE PERIOD:

     
General Account:
 
2,139.40
   
     
Payroll Account:
 
165.52
   
     
Tax Account:
 
0.00
   
Other Accounts:
 
NONE
   
0.00
   
         
0.00
   
         
0.00
   
Other Monies:
 
NONE
   
0.00
   
   
Petty Cash and Cash on Hand (from below):
 
5,515.00
   
               
TOTAL CASH AVAILABLE:
       
7,819.92

Petty Cash Transactions (Includes cash maintained in registers at stores, office petty cash and petty cash for gas for delivery vehicles):

Date
 
Purpose
 
Amount
   
3/31/2010
 
Beginning balance  
 
6,787.67
   
5/31/2010
 
Three months of petty cash disbursements at main office
 
(590.00)
   
   
and 15 stores on supplies, fuel, minor repairs and small cash
       
   
transactions. In the past, petty cash was reconciled every 3
       
   
to 4 months but is now done monthly. The Debtor replenishes
       
   
the balances at the end of each month.  Petty cash expense are
       
   
included in the profit and loss statement.  Balance $6,197.67
       
9/30/2010
 
Prior to 9/30/10, the Debtor reconciled petty cash sporadically.
 
(12.67)
   
   
When petty cash was reconciled at the end of September, it was
       
   
off by $12.67.  The balance on September 30, 2010 was $6,185.
       
   
All disbursements are reflected on the Debtor's profit and loss
       
   
statement when amounts are replenished.
       
10/31/2010
 
$4,025-cash registers at 15 stores, $600-petty cash at office &
 
0.00
   
   
$1,560-petty cash for gas for delivery vehicles. Balance $6,185.00
       
12/31/2010
 
$520 from closed store (918) and $120 gas petty cash expense
 
(670.00)
   
   
   
       
   
   
       
   
   
       
             
TOTAL PETTY CASH TRANSACTIONS:
     
5,515.00

 
Page 10 of 17

 

AND OTHER PARTIES TO EXECUTORY CONTRACTS

Creditor, Lessor, Etc.
Frequency of Payments
(Mo/Qtr)
Amount of
Payment
Post-Petition
payments not 
made
(Number)
Total Due
Setal and related entities (secured creditors)(FN1)
N/A.  Debt matured pre-petition
N/A
N/A
 
De Lage Landen-Equip Lease
Monthly
277.00
0
0.00
De Lage Landen-Equip Lease
Monthly
277.00
0
0.00
Axis-Equipment Lease
Monthly
                   642.00
0
0.00
Direct Capital- Equip Lease
Monthly
                 1,275.00
0
0.00
First Hawaiian Bank-Secured Note (FN2)
Monthly
6,655.05
0
0.00
Rhoton Family Trust dated 5/8/00
N/A.  Debt matured pre-petition
N/A
N/A
 
Kaimana Ventures Ltd. - Landlord
Monthly
1,751.83
0
0.00
Bishop Square Associates - Landlord
Monthly
1,238.00
0
0.00
Duesenberg Investment Co.  - Landlord
Monthly
1,157.00
0
0.00
Pacific Guardian Center - Landlord
Monthly
390.19
0
0.00
Tanaka Properties, LLC - Landlord - HI Plant
Monthly
30,286.17
0
0.00
 
 
TOTAL DUE:
11,811.10
**See attached schedule for remaining leases
(FN1) - All of the Debtors are jointly and severally liable for Setal debt, which for convenience is listed in detail on the Monthly report for U.S. Dry Cleaning Services
(FN2) - This is a secured loan and the treatment of this loan will be provided for in the plan of reorganization.

III. TAX LIABILITIES
FOR THE REPORTING PERIOD:

   
Gross Sales Subject to Sales Tax: 
643,051.56
   
Total Wages Paid: 
269,239.07
         
   
Total Post-Petition 
Amounts Owing
Amount Delinquent
Date Delinquent
Amount Due
(FN3) 
Federal Withholding
0.00
0.00
 
(FN3) 
State Withholding
0.00
0.00
 
(FN3) 
FICA- Employer's Share
0.00
0.00
 
(FN3) 
FICA- Employee's Share
0.00
0.00
 
(FN3) 
Federal Unemployment
0.00
0.00
 
 
Sales and Use
8,625.96
0.00
 
 
Real Property
0.00
0.00
 
Other: 
State Unemployment (FN3)
0.00
0.00
 
 
TOTAL:
8,625.96
0.00
 

(FN3) - The Debtor uses a payroll service that makes pre-funded payroll tax payments directly to the taxing authorities

 
Page 11 of 17

 

II.  STATUS OF PAYMENTS TO SECURED CREDITORS, LESSORS
AND OTHER PARTIES TO EXECUTORY CONTRACTS
(CONTINUED)

Creditor, Lessor, Etc.
Frequency of Payments
(Mo/Qtr)
Amount of Payment
Post-Petition
payments not made
(Number)
Total Due
Trustees of the Estate of Bernice Pauahi Bishop
Monthly
2,381.60
0
0.00
Manoa Marketplace, LLC
Monthly
2,554.00
0
0.00
Kahala Center Company
Monthly
3,622.00
0
0.00
WCSC, LLC
Monthly
1,806.00
0
0.00
TIAA Realty, Inc.
Monthly
2,282.00
0
0.00
Fort Street Investment Corp.
Monthly
4,080.00
0
0.00
Kahala Center Company
Monthly
8,133.34
0
0.00
Twenty First Technologies Corp.
Monthly
3,178.00
0
0.00
Victoria Ward, Limited
Monthly
6,264.00
0
0.00
Manana CDIT, LLC
Monthly
6,319.00
0
0.00
Vision Windward 1, LLC-Rejected Lease (FN1)
Monthly
4,537.00
3
9,534.41
Waimalu Plaza Co.-Rejected Lease (FN1)
Monthly
2,159.00
3
2,276.69
         
         
         
         
         
         
         
         

(FN1) - These leases were rejected by the Debtor at the end of May 2010.  The Debtor owes lease administrative payments for March, April and May 2010.  The remaining unpaid balances are shown on the schedule.

 
Page 12 of 17

 

IV.  AGING OF ACCOUNTS PAYABLE AND RECEIVABLE

     
Accounts Payable
Accounts Receivable
 
     
Post-Petition
Pre-Petition
Post-Petition
 
   
30 days or less
54,748.85
0.00
353,623.78
 
   
31 - 60 days
(5,966.30)
0.00
51,175.62
 
   
61 - 90 days
6,539.48
0.00
9,199.75
 
   
91 - 120 days
(317.47)
0.00
2,375.88
 
   
Over 120 days
74,111.73
0.00
91,616.75
 
   
TOTAL:
129,116.29
0.00
507,991.78
 
             
V. INSURANCE COVERAGE
 
             
   
Name of Carrier
Amount of
Coverage
Policy Expiration
Date
Premium Paid
Through (Date)
 
Workers Compensation
Argo
 Compulsory
6/1/2011
6/1/2011
*
 
Umbrella
Evanston
            4,000,000
10/30/2011
12/31/2010
 
 
Property
Lloyd's of London
            3,592,500
10/30/2011
12/31/2010
 
 
Liability
Essex
            1,000,000
10/30/2011
12/31/2010
 
Others:
Health (FN1)
HMAA
 Varies
Mo. to Mo.
12/31/2010
 
 
Auto
Island Insurance
            1,000,000
9/30/2011
9/30/2011
 
* The premiums have been paid through the policy term.  Premium financing payments are due in 4 monthly payments of $7,499.
 
VI.  UNITED STATES TRUSTEE QUARTERLY FEES
 
(TOTAL PAYMENTS)
 
 
(FN2)
         
Quarterly Period
Ending (Date)
Total
Disbursements
Quarterly Fees
Date Paid
Amount Paid
Quarterly Fees Still
Owing
 
3/31/2010
346,459.41
4,875.00
5/11/10
4,875.00
0.00
 
6/30/2010
1,755,913.30
6,500.00
7/30/10
9,750.00
(3,250.00)
 
9/30/2010
1,476,449.21
6,500.00
10/28/10
6,500.00
0.00
 
   
Additional payment - 11/23/10
3,250.00
(3,250.00)
 
12/31/2010
1,674,532.12
6,500.00
Previous overpayments applied
6,500.00
 
             
             
             
             
             
             
             
   
24,375.00
 
24,375.00
0.00
 

(FN1) - The health insurance is paid current at the beginning of each month.
(FN2) - Pursuant to discussion with the Office of the United States Trustee, the Total Disbursements amounts for the previous quarters have been restated to reflect only disbursements from the Debtors' bankruptcy estates (and not inter and intra company transfers).  Inter and intra company transfers have been eliminated to show only true disbursements leaving the bankruptcy estates.  The relating Quarterly Fees have been restated, accordingly.

 
Page 13 of 17

 

VII SCHEDULE OF COMPENSATION PAID TO INSIDERS
  
Name of Insider
Date of Order
Authorizing
Compensation
Authorized Gross Compensation
Gross
Compensation Paid
During the Month
Michael Drace
July 2010 
Weekly compensation $3,800.00
19,450.00
Michael Drace
July 2010 
Monthly auto allowance
450.00
       
       
       
       
       
       
       
       
       
       
       
       
       
       
VIII.  SCHEDULE OF OTHER AMOUNTS PAID TO INSIDERS
       
Name of Insider
Date of Order
Authorizing
Compensation
Description
Amount Paid
During the Month
NONE
     
       
       
       
       
       
       
       
       
       
       
       
       
       
       
       

 
Page 14 of 17

 

IX. PROFIT AND LOSS STATEMENT
(ACCRUAL BASIS ONLY)

 
Current Month
 
Cumulative Post-Petition
Sales/Revenue:
     
Gross Sales/Revenue
643,051.56
 
5,934,144.79
Less: Returns/Discounts
115,497.43
 
996,345.03
Net Sales/Revenue
527,554.13
 
4,937,799.76
       
Cost of Goods Sold:
     
Beginning Inventory at cost
0.00
 
0.00
Purchases
32,950.15
 
252,302.33
Less: Ending Inventory at cost
0.00
 
0.00
Cost of Goods Sold (COGS)
32,950.15
 
252,302.33
       
Gross Profit
494,603.98
 
4,685,497.43
       
Other Operating Income (Itemize)
0.00
 
0.00
       
Operating Expenses:
     
Payroll - Insiders
19,450.00
 
109,100.00
Payroll - Other Employees
249,789.07
 
2,399,870.32
Payroll Taxes
29,097.58
 
263,132.80
Other Taxes (Itemize)
0.00
 
1,402.12
Depreciation and Amortization
16,471.98
 
176,127.08
Rent Expense - Real Property
72,226.19
 
749,335.08
Lease Expense - Personal Property
0.00
 
30,297.28
Insurance
5,928.08
 
66,123.58
Real Property Taxes
0.00
 
0.00
Telephone and Utilities
48,427.24
 
365,992.66
Repairs and Maintenance
6,366.67
 
37,780.98
Travel and Entertainment (Itemize)
203.13
 
2,960.47
Miscellaneous Operating Expenses (Itemize)
44,948.37
 
495,307.74
Total Operating Expenses
492,908.31
 
4,697,430.11
       
Net Gain/(Loss) from Operations
1,695.67
 
(11,932.68)
       
Non-Operating Income:
     
Interest Income
20.63
 
949.69
Net Gain on Sale of Assets (Itemize)
0.00
 
0.00
Other (Itemize)
2,968.08
 
22,181.20
Total Non-Operating income
2,988.71
 
23,130.89
       
Non-Operating Expenses:
     
Interest Expense
2,975.60
 
35,317.33
Legal and Professional (Itemize)
0.00
 
27,035.74
Other (Itemize)
52,980.00
 
256,577.46
Total Non-Operating Expenses
55,955.60
 
318,930.53
       
NET INCOME/(LOSS)
(51,271.22)
 
(307,732.32)

 
Page 15 of 17

 

X. BALANCE SHEET
(ACCRUAL BASIS ONLY)

 
Current Month End
   
ASSETS
     
Current Assets:
     
Unrestricted Cash
7,819.92
 
  
Restricted Cash
0.00
   
Accounts Receivable
507,991.78
 
 
Inventory
0.00
   
Notes Receivable
0.00
   
Prepaid Expenses
94,061.49
   
Other (Itemize)
107,011.50
   
Total Current Assets
   
716,884.69
       
Property, Plant, and Equipment
5,465,283.05
   
Accumulated Depreciation/Depletion
(4,029,479.06)
   
Net Property, Plant, and Equipment
   
1,435,803.99
       
Other Assets (Net of Amortization):
     
Due from Insiders
0.00
   
Other (Itemize)
4,597,649.48
   
Total Other Assets
   
4,597,649.48
       
TOTAL ASSETS
   
6,750,338.16
       
LIABILITIES
     
Post-petition Liabilities:
     
Accounts Payable
129,116.29
 
 
Taxes Payable
8,625.96
   
Notes Payable
0.00
   
Professional fees
0.00
   
Secured Debt
0.00
   
Other (Itemize)
365,404.26
   
Total Post-petition Liabilities
   
503,146.51
       
Pre-petition Liabilities:
     
Secured Liabilities
472,841.31
   
Priority Liabilities
275,341.65
   
Unsecured Liabilities
623,957.76
   
Other (Itemize)
583,817.82
   
Total Pre-petition Liabilities
   
1,955,958.54
       
TOTAL LIABILITIES
   
2,459,105.05
       
EQUITY:
     
Pre-petition Owners’ Equity
4,598,965.43
   
Post-petition Profit/(Loss)
(307,732.32)
   
Direct Charges to Equity
0.00
   
TOTAL EQUITY
   
4,291,233.11
       
TOTAL LIABILITIES & EQUITY
   
6,750,338.16

 
Page 16 of 17

 

XI.  QUESTIONNAIRE

   
No
 
Yes
1.
Has the debtor-in-possession made any payments on its pre-petition unsecured debt, except as have been authorized by the court?  If "Yes", explain below:
X
   
 
N/A
     
         
   
No
 
Yes
2.
Has the debtor-in-possession during this reporting period provided compensation or remuneration to any officers, directors, principals, or other insiders without appropriate authorization?  If "Yes", explain below:
X
   
 
N/A
     
         
3.
State what progress was made during the reporting period toward filing a plan of reorganization
     
 
The Debtors and their management finalized the Debtors' Chapter 11 plan of reorganization and disclosure statement in December.  The Debtors filed their plan and disclosure statement on January 3, 2011.  A hearing on approval of the disclosure statement is set for February 9, 2011.
     
         
4.
Describe potential future developments which may have a significant impact on the case:
     
 
There is a pending motion to appoint a chapter 11 trustee.  If that motion is granted, it would significantly impact this case.  The current hearing has been continued to April 2011.   The Debtor (and its related entities) are in the process of attempting to raise exit financing with their investment banker, Provident Group.
     
         
5.
Attach copies of all Orders granting relief from the automatic stay that were entered during the reporting period.
     
 
N/A
     
         
   
No
 
Yes
6.
Did you receive any exempt income this month, which is not set forth in the operating report?  If "Yes", please set forth the amounts and sources of the income below.
X
   
 
N/A
     
         
         
I,
Robert Lee, Chief Executive Officer
     
 
declare under penalty of perjury that I have fully read and understood the foregoing debtor-in-possession operating report and that the information contained herein is true and complete to the best of my knowledge.
     

1-20-11
 
  
 
Date
  
 
  
Principal for debtor-in-possession

 
Page 17 of 17