0001185185-14-001672.txt : 20140630 0001185185-14-001672.hdr.sgml : 20140630 20140630160437 ACCESSION NUMBER: 0001185185-14-001672 CONFORMED SUBMISSION TYPE: 10-K PUBLIC DOCUMENT COUNT: 12 CONFORMED PERIOD OF REPORT: 20140331 FILED AS OF DATE: 20140630 DATE AS OF CHANGE: 20140630 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TEL INSTRUMENT ELECTRONICS CORP CENTRAL INDEX KEY: 0000096885 STANDARD INDUSTRIAL CLASSIFICATION: ELECTRONIC COMPONENTS & ACCESSORIES [3670] IRS NUMBER: 221441806 STATE OF INCORPORATION: NJ FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: 10-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-31990 FILM NUMBER: 14948982 BUSINESS ADDRESS: STREET 1: ONE BRANCA ROAD CITY: EAST RUTHERFORD STATE: NJ ZIP: 07073 BUSINESS PHONE: 2019331600 MAIL ADDRESS: STREET 1: ONE BRANCA ROAD CITY: EAST RUTHERFORD STATE: NJ ZIP: 07073 10-K 1 telinstrument10k033114.htm 10-K telinstrument10k033114.htm


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.  20549
 

 
FORM 10-K
 

 
Annual Report Pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934
for the fiscal year ended March 31, 2014
 
Commission File No. 001-31990

TEL-INSTRUMENT ELECTRONICS CORP
(Exact name of Registrant as specified in its charter)
 
New Jersey
22-1441806
(State of incorporation) 
(IRS Employer Identification Number)
   
One Branca Road
East Rutherford, New  Jersey
07073
(Address of principal executive offices)
(Zip Code)
 
Registrant's telephone number, including area code:   (201) 933-1600

Securities registered pursuant to Section 12(b) of the Act:
Title of Each Class
Name of Exchange on Which Registered
Common Stock $.10 par value 
NYSE - MKT
                                                                                                                                 
Indicate by checkmark if registrant is a well-known seasoned issuer, as defined in Rule 405 of the Securities Act.  Yes o No x
 
Indicate by checkmark if registrant is not required to file reports pursuant to Section 13 or Section 15(d) of the Act.  Yes o No x
 
Indicate by checkmark whether the Registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.    Yes x No o
 
Indicate by check mark whether the registrant has submitted electronically and posted on its corporate web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 Regulation S-T (§ 232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).  Yes x No o
 
Indicate by check mark if disclosure of delinquent filers pursuant to Item 405 of Regulation S-K is not contained herein, and will not be contained, to the best of the Registrant’s knowledge, in definitive proxy or information statements incorporated by reference in Part III of this Form 10-K or any amendment to this Form 10-K.  x
 
Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See definition of “large accelerated filer”, “accelerated filer”, and “smaller reporting company” in Rule 12b-2 of the Exchange Act.
 
Large accelerated filer o    Accelerated filer o      Non-accelerated filer o       Smaller reporting company x
 
Indicate by checkmark whether the registrant is a shell company (as defined in Rule 12b-2 of the Securities Act).  Yes o No x
 
The aggregate market value of the voting Common Stock (par value $.10 per share) held by non-affiliates on September 30, 2013 (the last business day of our most recently completed second fiscal quarter) was $6,779,532 using the closing price on September 30, 2013.
 
Indicate the number of shares outstanding of each of the registrant’s classes of common stock, as of the latest practicable date: 3,251,387 shares of Common Stock were outstanding as of June 18, 2014.  
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
TABLE OF CONTENTS
 
PART I.
 
Page
     
Item 1.
  4
     
Item 1A.
  9
     
Item 1B.
  9
     
Item 2.
  9
     
Item 3.
  9
     
Item 4.  
  10
     
PART II.
   
     
Item 5.
  11
     
Item 6.
  12
     
Item 7.
  13
     
Item 7A.
  19
     
Item 8.
  20
     
Item 9.
 51
     
Item 9A.
  51
     
Item 9B.
  51
     
PART III.
   
     
Item 10.
  52
     
Item 11.
  54
     
Item 12.
  57
     
Item 13.
  59
     
Item 14.
60
     
PART IV
   
     
Item 15.
  61
     
  63
 
 
SPECIAL NOTE REGARDING FORWARD-LOOKING STATEMENTS
 
 
Included in this Annual Report on Form 10-K are “forward-looking” statements, as well as historical information. Although we believe that the expectations reflected in these forward-looking statements are reasonable, we cannot assure you that the expectations reflected in these forward-looking statements will prove to be correct. Our actual results could differ materially from those anticipated in forward-looking statements as a result of certain factors, including matters described in the section titled “Risk Factors.” Forward-looking statements include those that use forward-looking terminology, such as the words “anticipate,” “believe,” “estimate,” “expect,” “intend,” “may,” “project,” “plan,” “will,” “shall,” “should,” and similar expressions, including when used in the negative. Although we believe that the expectations reflected in these forward-looking statements are reasonable and achievable, these statements involve risks and uncertainties and we cannot assure you that actual results will be consistent with these forward-looking statements. Important factors that could cause our actual results, performance or achievements to differ from these forward-looking statements include the following:
 
       the availability and adequacy of our cash flow to meet our requirements;
 
       economic, competitive, demographic, business and other conditions in our local and regional markets;
 
       changes in our business and growth strategy;
 
       changes or developments in laws, regulations or taxes in the electronics/aerospace industry;
 
       actions taken or not taken by third-parties, including our vendors, customers and competitors;
 
       the availability of additional capital; and
 
       other factors discussed elsewhere in this Annual Report.
 
All forward-looking statements attributable to us are expressly qualified in their entirety by these and other factors.  We undertake no obligation to update or revise these forward-looking statements, whether to reflect events or circumstances after the date initially filed or published, to reflect the occurrence of unanticipated events or otherwise unless required by applicable law.
 
 
PART I
 
Item 1.          Business
 
General
 
Tel-Instrument Electronics Corp (“Tel”, “TIC” or the “Company”) has been in business since 1947, and is a leading designer and manufacturer of avionics test and measurement solutions for the global commercial air transport, general aviation, and government/military aerospace and defense markets.  The Company designs, manufactures and sells instruments to test and measure, and calibrates and repairs a wide range of airborne navigation and communication equipment.
 
Tel’s instruments are used to test navigation and communications equipment installed in aircraft, both on the flight line (“ramp testers”) and in the maintenance shop (“bench testers”), and range in list price from $7,500 to $80,750 per unit.  Tel continues to develop new products in anticipation of customers’ needs, and to maintain its strong market position.  Its development of multifunction testers has made it easier for customers to perform ramp tests with less operator training, a fewer number of test sets, and lower product support costs.

The Company has become a major manufacturer and supplier of IFF (Identification Friend or Foe) flight line test equipment. The Company has been awarded two major contracts from both the U.S. Navy and the U.S. Army for IFF flight line test equipment (see below). The products under these contracts represent cutting edge technology and, together with derivative products, should provide Tel with a competitive advantage for years to come. Revenues from these programs will be the foundation for our growth for the next few years.

Tel believes it has built a solid infrastructure to support a rapidly growing business, and the outlook for the Company is positive with significant revenue expected over the next few years as a result of these new programs and other new products.

We continue to evaluate other attractive potential market opportunities although our current capital structure limits our flexibility at this time.

CRAFT “Communications/Navigation (COMM/NAV) Radio Frequency (RF) Avionics Flight line Tester”) (AN/USM-708 and AN/USM-719) with the U.S. Navy

The AN/USM-708, the basic CRAFT test set, is a key product for the Company as it represents a new generation technology product. The AN/USM-708 and AN/USM-719 (IFF only) contract was competitively awarded to the Company by the United States Navy. The AN/USM-708 CRAFT unit combines advanced IFF (including Mode 5 encryption technology) navigation, communication, and sonobuoy test capabilities in a portable test set, which will utilize a flexible and expandable digital-signal-processing-based architecture. Both the AN/USM-708 and the AN/USM-719 have been certified by the AIMS Program Office. This represents the culmination of a multi-year, multi-million dollar investment by the Company in Mode 5 technology and will provide a significant competitive advantage in the years to come as the U.S. and our NATO allies migrate to this leading edge IFF technology.
 
The contract for the AN/USM-708 and AN/USM-719 was a significant milestone for the Company because the development of this proprietary technology, which has been funded by the Company, establishes Tel’s position as a leader in the industry, and will meet the U.S. Navy’s test requirements for years to come. The Company believes that, given the unique nature of this design, this product will generate sales to other military customers.  The AN/USM-708 contract also includes options for units testing encrypted communications and advanced data link functions, which, if exercised, would represent a major expansion in the Company’s core business. The Company believes that the core technology in the AN/USM-708 can be the foundation for additional military and commercial products

The initial contract was for 1,200 test sets with a contract value of approximately $31 million.  The Company has received orders for all 1,200 test sets, and also included approximately $4.7 million for testing, documentation and qualification units.  In October 2013, the Company received an additional award for CRAFT products with a maximum value of $9.5 million. This new contract is in support of the U.S. Navy, U.S. Marine Corps, U.S. Army and various Foreign Military Sales customers under the Foreign Military Sales program. The Company has received orders totaling approximately $4.1 million under this new contract. This brings the total contract value to over $40 million with total orders received exceeding $35 million. The Company received the production release during 2012 and commenced production. Most of the CRAFT 719 and 708 units were being held at the Company in a “ship-in-place” arrangement pending receipt of the required frequency allocation from the FAA. The Company has delivered a majority of these “ship-in-place” units. As of March 31, 2014, the Company had open orders for AN/USM-708 and AN/USM-719 for 394 test sets, totaling approximately $10 million.
 

Item 1.         Business (continued)
 
General (continued)

CRAFT “Communications/Navigation (COMM/NAV) Radio Frequency (RF) Avionics Flight line Tester”) (AN/USM-708 and AN/USM-719) with the U.S. Navy (continued)

The Company has resolved its prior quality issues, which included the final AIMS approved software configuration, including several product enhancements. The Company has been in full rate production during fiscal year 2014.   The number of units shipped has been a combination of new units, upgraded ship-in-place units (already paid for by the government) and units returned for repairs from the field.

The issues identified with the CRAFT units required that all CRAFT AN/USM - 708 and CRAFT AN/USM - 719 units be updated with revised software and hardware modifications and that TIC revalidates all of the 460 ship-in-place units at TIC before they are shipped to the customer. (These ship-in-place units had been built and paid for by the U.S. Navy but could not be shipped to the field due to regulatory restrictions)  TIC and the U.S. Navy have finalized the upgraded test procedure for these units. The test procedure needed to be upgraded to reflect the extensive changes to the units over the last few years. The U.S. Navy has also verified and approved these new test procedures and reviewed TIC’s quality assurance procedures. As of March 31, 2014, a total of 119 ship-in-place units out of the total of 460 remain to be upgraded.
 
The Company also received and shipped in fiscal year 2014 a $755,580 order from Lockheed Martin for 21 AN/USM-708 (“CRAFT”) test sets to be used on the Joint Strike Fighter program.
 
TS-4530 IFF test set with the U.S. Army Aviation and Missile Command

In February 2009, the Company was awarded a firm fixed price indefinite-delivery/indefinite-quantity (IDIQ) contract by the U.S. Army Aviation and Missile Command with a maximum dollar value of approximately $44 million, depending on the number of units purchased (see Item 3, Pending Legal Proceedings). The Company’s win of the critical TS-4530A Mode 5 U.S. Army program represented another major event for our future. This award, in conjunction with our U.S. Navy CRAFT Mode 5 program, provides Tel with undisputed market leadership in the Mode 5 Identification Friend or Foe (“IFF”) business and should provide a constant revenue stream for at least the next few years. This program takes full advantage of the significant investment that the Company has made in its proprietary Mode 5 technology.

The program is for Mode 5 conversion kits and new IFF test sets, which incorporate the Company’s proprietary electronics and IFF technology in addition to Mode S Enhanced Surveillance (”EHS”) and Automatic Dependent Surveillance - Broadcast (“ADS-B”) test functionality. The U.S. Army completed its production assurance review, and the Company has successfully completed testing conducted by the Department of Defense (“DOD”) AIMS Program Office to approve its TS-4530A Flight Line Test Set authorizing its use for Mark XIIA IFF (“Identification Friend or Foe”), Mode S (ELS/EHS/ADS-B) and TCAS systems. The TS-4530A program is a critical program which will help drive TIC’s revenue growth and profitability. (See Management’s Discussion and Analysis of Financial Condition and Results of Operations.)

The Company has received approximately $26.9 million in delivery orders on the TS-4530A program out of a maximum contract value of approximately $44 million. During fiscal year 2014 the Company received a limited rate production order in the amount of $3.3 million for 235 TS-4530A sets and 128 kits. These units have been completed and the majority of these units are being held at the Company in a “ship-in-place” arrangement pending receipt of instructions from the U.S. Army. As of March 31, 2014, the Company has open orders for 2,350 kits and 687 sets, totaling $19.5 million. The Company recently received a full production release for the kits, and will commence shipment of these kits in July 2014. We expect the full rate production release for the sets to occur within the next several months.
 
 
Item 1.          Business (continued)
 
General (continued)

ITATS (“Intermediate Level TACAN Test Set”) (AN/ARM-206) with the U.S. Navy

The AN/ARM-206 or ITATS is a bench test set combining advanced digital technology with state of the art automated testing capabilities. The ITATS product is a fully automated TACAN test set for use in U.S. Navy Intermediate Level repair locations. This product represents an important expansion to Tel’s current product line, and the automated testing capabilities will provide a significant labor savings benefit to our customers. This contract with the U.S. Navy has options for approximately 148 units with a total value of over $12 million. Tel has worked with an engineering sub-contractor and, as a result, this program has not required as much Tel engineering design effort as needed for the AN/USM-708. Given the unique nature of the design, this unit could also generate significant sales to other military customers, both domestically and overseas.

The ITATS development program is complete and the U.S. Navy issued a production release in February 2013 for 102 units at a contract value of $5.3 million. TIC has been having issues getting vendors on board with this program due to program and payment delays to vendors. As a result, the U.S. Navy issued a cure letter notice on June 6, 2013. The Company and the U. S. Navy worked together to secure a favorable outcome for both parties. As a result, the Company, with the help of the U.S. Navy, has resolved the open issues and shipment of the AN/ARM-206 will commence in July 2014

In January 2014, the Company received a $2.14 million contract modification on the ITATS program This contract modification entails the sale of certain Intellectual Property (“IP”) to the U.S. Navy plus the sale of ancillary test support equipment, and a modest increase in the recurring price to reflect several product enhancements. As part of this contract modification, the Company sold certain IP in the amount of $1,526,795 of which $1,200,000 of the IP sale proceeds was paid to the Company’s subcontractor on this program. As part of this of this agreement with the Company’s subcontractor, upon payment of the $1,200,000, the outstanding amount due to the subcontractor in the amount of $790,535 was discharged. The Company also received $117,095 for engineering enhancements for this program. The sale of the IP for the ITATS program should have no impact on sales of these units to the U.S. Navy or other customers.

Legacy Products

During fiscal 2014, the Company received and delivered the following significant orders:
 
·  
U.S. Army for 50 T-47N Test Sets for a total of $858,900. This order is part of a five year IDIQ (indefinite delivery/indefinite quantity) contract for up to 235 T-47N Test Sets. After receipt of this order, a total of 75 T-47N Test Sets could be exercised under this IDIQ contract.
 
·  
A $459,186 order from Poland, through its European distributor, for 29 T-47G Test Sets.
 
·  
A $597,835 order from Saudi Arabia for T-47G Test Sets.
 
·  
A $108,000 order from Continental Airlines for its TR-220 Commercial Test Set.
 
Historically, the Company receives regular smaller orders for both its commercial and government products, as these products are widely used in the Avionics Test Equipment market.
 
 
Item 1.          Business (continued)
 
General (continued)

Competition
 
The Company manufactures and sells commercial and military products as a single avionics business, and its designs and products cross both markets.
 
The general aviation market consists of some 1,000 avionics repair and maintenance service shops at private and commercial airports in the United States which purchase test equipment to assist in the repair of aircraft electronics. The commercial aviation market consists of approximately 80 domestic and foreign commercial airlines.
 
The civilian market for avionic test equipment is dominated by two designers and manufacturers, Tel and Aeroflex, with Aeroflex being substantially larger than Tel.  This market is relatively narrow and highly competitive.  Tel has been successful because of its high quality, new technology, user friendly products and competitive prices.  In recent years commercial airlines have experienced financial difficulties, and, as a result of this, sales of avionics test equipment to airlines have been weak.
 
The military market is large and is dominated by large corporations with substantially greater resources than the Company, including Aeroflex.  Tel competitively bids for government contracts on the basis of the engineering quality and innovation of its products, competitive price, and "small business set asides" (i.e., statutory provisions requiring the military to entertain bids only from statutorily defined small businesses), and on bids for sub-contracts from major government suppliers.  There are a limited number of competitors who are qualified to bid for “small business set asides.”  The military market consists of many independent purchasing agencies and offices. The process of awarding contracts is heavily regulated by the U.S. Department of Defense. 
 
In recent years, the Company has won several large, competitively bid contracts from the military and has become the primary supplier for the U.S. Military, as well as the NATO countries, of flight line IFF test equipment. The CRAFT AN/USM-708 and TS-4530 programs, discussed previously, involve a new generation of technology, including the next generation of IFF testing, and is expected to enable the Company to continue to be a major supplier of avionics test equipment to the military for years to come. Tel believes its new technology will also allow it to increase sales to the commercial market in the future.
 
Marketing and Distribution
 
Domestic commercial sales are made throughout the U.S. to commercial airlines and general aviation businesses directly or through distributors. No direct commercial customer accounted for more than 10% of commercial sales in fiscal years 2014 and 2013.  Domestic distributors receive a 15%-20% discount for stocking, selling, and, in some cases, providing product calibration and repairs. Tel gives a 5% to 15% discount to non-stocking distributors, and to independent sales representatives, depending on their sales volume and promotional effort.  The loss of any one of these distributors would not have a material adverse effect on the Company or its operations. Commercial sales represented 11% and 26% of total avionics sales, respectively, for the fiscal years ended March 31, 2014 and 2013. The decrease in the percentage of commercial sales to overall sales decreased as a result of the significant increase in government sales for fiscal year 2014. Commercial sales actually declined 13% in fiscal year 2014 as compared to fiscal year 2013. No distributor represented more than 10% of commercial sales during fiscal years 2014 and  2013.
 
Marketing to the U.S. Government is made directly by employees of the Company or through independent sales representatives, who receive similar commissions to the commercial distributors. For the years ended March 31, 2014 and 2013, sales to the U.S. Government, including shipments through the government’s logistics centers, represented approximately 64% and 65%, respectively, of avionics sales. No other government customer represented over 10% of government sales for fiscal years 2014 and 2013.
 
International sales are made throughout the world to government and commercial customers, directly through American export agents, or through the Company’s overseas distributors at a discount reflecting a 20% to 22% selling commission, under written or oral, year-to-year arrangements. The Company has an exclusive distribution agreement with Muirhead Avionics and Accessories, Ltd (“Muirhead”), based in the United Kingdom, to represent the Company in parts of Europe, and with Milspec Services in Australia and New Zealand.  Tel also sells its products through exclusive distributors in Spain, Portugal, and the Far East and is exploring distribution in other areas.  For the years ended March 31, 2014 and 2013, total international avionics sales were 16% and 12%, respectively, of avionics sales. Additionally, the Company has an agreement with M.P.G. Instruments s.r.l., based in Italy, wherein this distributor has the exclusive sales rights for DME/P ramp and bench test units. The Company continues to explore additional marketing opportunities in other parts of the world, including the Far East. No international distributor accounted for more than 10% of total avionics sales for the fiscal years ended March 31, 2014 and 2013. The Company has no material assets overseas. 
 
 
Item 1.          Business (continued)
 
General (continued)

Marketing and Distribution (continued)

Tel also provides customers with calibration and repair services. Repairs and calibrations accounted for 5% and 15% of avionic sales for the years ended March 31, 2014 and 2013, respectively. Sales from repair and calibration services declined approximately 30% in fiscal year 2014 as compared to fiscal year 2013.
 
Future domestic market growth, if any, will be affected in part by whether the U.S. Federal Aviation Administration (“FAA”) implements plans to upgrade the U.S. air traffic control system regulations and by continuing recent industry trends towards more sophisticated avionics systems, both of which would require the design and manufacture of new test equipment. The weak financial condition of the commercial airline industry also impacts growth in this segment. Military contracts are awarded and implemented by extensive government regulation. The Company believes its test equipment is recognized by its customers for its quality, durability, reliability, affordability, and by its advanced technology.
 
Backlog
 
Set forth below is Tel’s avionics backlog at March 31, 2014 and 2013.
 
   
Commercial
   
Government
   
Total
 
                   
March 31, 2014
 
$
529,779
   
$
37,061,555
   
$
37,591,334
 
March 31, 2013
 
$
388,941
   
$
35,974,074
   
$
36,363,015
 
 
Tel believes that most of its backlog at March 31, 2014 will be delivered during the next three fiscal years. The backlog is pursuant to purchase orders, and all of the government contracts are fully funded.  However, government contracts are always susceptible to termination for convenience by the government. Historically, the Company obtains orders which are required to be filled in less than 12 months, and therefore, these anticipated orders are not reflected in the backlog.

Suppliers
 
Tel obtains its purchased parts from a number of suppliers.  These materials are standard in the industry, and the Company foresees no difficulty in obtaining purchased parts, as needed, at acceptable prices.
 
Patents and Environmental Laws
 
Tel has no patents or licenses which are material to its business, and there are no material costs incurred to comply with environmental laws.

Engineering, Research, and Development
 
In the fiscal years ended March 31, 2014 and 2013, Tel spent $1,853,338 and $2,149,591, respectively, on the engineering, research, and development of new and improved products.  None of these amounts were sponsored by customers. Engineering, research, and development expenditures in fiscal year 2014 were made primarily for the   T-4530A program, AN/USM-206, continuing engineering for the CRAFT program, and the incorporation of other product enhancements in existing designs. The Company owns all of these designs with the exception of the AN/ARM-206 design.
 
Tel's management believes that continued significant expenditures for engineering, research, and development are necessary to enable Tel to expand its products, sales, and profits, and to remain competitive.
 
Personnel
 
At June 18, 2014, Tel had thirty-nine full-time employees in manufacturing, materials management, and quality assurance, eleven in administration and sales, including customer services and product support, and nine in engineering, research and development, none of whom belongs to a union. From time to time, the Company also employs independent contractors to support its manufacturing, engineering, and sales organizations. At June 18, 2014, the Company utilized three independent contractors in manufacturing for assembly and test, one in sales and program management, and one in engineering. Tel has been successful in attracting skilled and experienced management, sales and engineering personnel.
 
 
8

 
Item 1.          Business (continued)
 
Where You Can Find More Information

The public may read and copy any materials the Company files with the U.S. Securities and Exchange Commission (the “SEC”) at the SEC’s Public Reference Room at 100 F Street, NE, Washington, DC 20549.  The public may obtain information on the operation of the Public Reference Room by calling the SEC at 1-800-SEC-0030.  The SEC maintains an Internet website (sec.gov) that contains reports, proxy and information statements and other information regarding issuers that file electronically with the SEC.
 
Item 1A.      Risk Factors
 
We are a smaller reporting company as defined in Rule 12b-2 of the Exchange Act and are not required to provide the information required under this item.

Item 1B.       Unresolved Staff Comments

Not Applicable.
 
Item 2.          Properties
 
The Company leases its only facility in East Rutherford, NJ (approximately 27,000 square feet) under an operating lease agreement which expires July 31, 2016. The lease is for a five year period, beginning August 1, 2011, with a five year option in a one-story facility that will allow for a rapid ramp-up in production volume to support the Company’s customer delivery commitments (see Note 12 of the Notes to the Consolidated Financial Statements). Under terms of the lease, the Company is also responsible for its proportionate share of the additional rent to include all real estate taxes, insurance, snow removal, landscaping and other building charges. The Company is also responsible for the utility costs for the premises.  Tel is unaware of any environmental problems in connection with its location and because of the nature of its manufacturing activities, does not anticipate such problems.

Item 3.          Legal Proceedings
 
On March 24, 2009, Aeroflex Wichita, Inc. (“Aeroflex”) filed a petition against the Company and two of its employees in the District Court, Sedgwick County, Kansas, Case No. 09 CV 1141 (the “Aeroflex Action”), alleging that the Company and its two employees misappropriated Aeroflex’s proprietary technology in connection with the Company winning a substantial contract from the U.S. Army (the “Award”), to develop new Mode-5 radar test sets and kits to upgrade the existing TS-4530 radar test sets to Mode 5. Aeroflex’s petition alleges that in connection with the Award, the Company and its named employees misappropriated Aeroflex’s trade secrets; tortiously interfered with its business relationship; conspired to harm Aeroflex and tortiously interfered with its contract and seeks injunctive relief and damages. The central basis of all the claims in the Aeroflex Action is that the Company misappropriated and used Aeroflex proprietary technology and confidential information in winning the Award. In February 2009, subsequent to the Award to the Company, Aeroflex filed a protest of the Award with the Government Accounting Office (“GAO”). In its protest, Aeroflex alleged, inter alia, that the Company used Aeroflex’s proprietary technology in order to win the Award, the same material allegations as were later alleged in the Aeroflex Action. On or about March 17, 2009, the U.S. Army Contracts Attorney and the U.S. Army Contracting Officer each filed a statement with the GAO, expressly rejecting Aeroflex’s allegations that the Company used or infringed Aeroflex proprietary technology in winning the Award, and concluding that the Company had used only its own proprietary technology. On April 6, 2009, Aeroflex withdrew its protest.
 
In December 2009, the Kansas District Court dismissed on jurisdiction grounds the Aeroflex Action. Aeroflex appealed this decision. In May 2012, the Kansas Supreme Court reversed the decision and remanded the Aeroflex Action to the District Court for further proceedings. Discovery is ongoing. The case is set for trial on May 19, 2015. Tel is optimistic as to the outcome of this litigation. However, the outcome of any litigation is unpredictable and an adverse decision in this matter could have a material adverse effect on our financial condition, results of operations or liquidity.
 
 
Item 3.          Legal Proceedings (continued)

On October 9, 2013, the SEC notified the Company that it may be in violation of Section 16(a) for failure to accurately and timely file beneficial ownership reports (the “Filings”) for certain officers and directors.  The Company accepted responsibility for filing all such reports on behalf of each officer and director.

The Company apparently made certain coding errors with respect to certain of the Filings, in addition to, not filing within two business days of a reportable transaction as reported by an officer or director. Based on the above, the SEC notified the Company that it may be in violation of Section 16(a). Currently, all transactions by the Holders have been disclosed with the SEC and the Company believes that the transactions which required timely Section 16(a) reports did not involve a material amount of equity securities.  Additionally, no sales were made by any officer of director and the violation is related to disclosure only.

The Company has made an Offer to Settle to the Commission and is finalizing such Offer. The Company has also revised its procedures for Section 16(a) reports to ensure complete compliance.

Other than the matters outlined above, we are currently not involved in any litigation that we believe could have a material adverse effect on our financial condition or results of operations. There is no action, suit, proceeding, inquiry or investigation before any court, public board, government agency, self-regulatory organization or body pending or, to the knowledge of executive officers of our Company, threatened against or affecting our Company, or our common stock in which an adverse decision could have a material effect.
 
Item 4.           Mine Safety Disclosures
 
Not applicable.
 

PART II
 
Item 5.          Market for Registrant's Common Equity,  Related Stockholder Matters and Issuer Purchases of Equity Securities
 
       a) Market Information

The Common Stock, $0.10 par value, of the Registrant (“Common Stock”) is traded on the NYSE - MKT and its symbol is TIK.  The following table sets forth the high and low per share sale prices for our common stock for the periods indicated as reported for fiscal years 2014 and 2013 by the NYSE - MKT:
 
Fiscal Year
           
Ended March 31,
           
2014
 
High
   
Low
 
First Quarter
 
$
3.50
   
$
3.18
 
Second Quarter
   
4.18
     
3.21
 
Third Quarter
   
5.92
     
3.80
 
Fourth Quarter
   
6.48
     
4.18
 
2013
               
First Quarter
 
$
6.35
   
$
3.40
 
Second Quarter
   
4.27
     
3.25
 
Third Quarter
   
3.95
     
3.42
 
Fourth Quarter
   
3.87
     
3.22
 

b) Holders

The Company has 209 holders of its Common Stock as of March 31, 2014. This figure does not take into account those shareholders whose certificates are held in the name of broker-dealers or other nominees.
 
c) Dividends
 
We have not declared or paid any dividends on our Common Stock and intend to retain any future earnings to fund development and growth of our business. Therefore, we do not anticipate paying dividends on our common stock for the foreseeable future. There are no restrictions on our present ability to pay dividends to stockholders of our common stock, other than those prescribed by law.

d) Securities Authorized for Issuance under Equity Compensation Plans

The following table provides information as of March 31, 2014 regarding compensation plans under which equity securities of the Company are authorized for issuance.

 
Plan category
 
Number of securities to be issued upon exercise of outstanding options
   
Weighted average exercise price of outstanding options
   
Number of options remaining available for future issuance under Equity Compensation Plans
 
Equity Compensation Plans approved by shareholders
   
88,000
   
$
6.12
     
  237,278
 
Equity Compensation Plans not approved by shareholders
   
--
     
--
     
--
 
Total
   
88,000
   
$
6.12
     
237,278
 

See “Equity Compensation Plan Information” under Item 12 below.
 
 
Item 5.         Market for Registrant's Common Stock and Related Stockholder Matters (continued)

d) Securities Authorized for Issuance under Equity Compensation Plans (continued)

During fiscal year 2014, the Company issued 8,300 shares of common stock upon exercise of stock options granted pursuant to its 2006 Employee Stock Option Plan for an aggregate $33,020, which was added to working capital.  All of the shares were issued pursuant to our S-8 Registration Statement filed on August 18, 2005 or pursuant to the exemption provided by Section 4 of the Securities Act of 1933. See Note 16 of the Notes to the Consolidated Financial Statements and Item 11, Executive Compensation, for information on the Company’s Employee Stock Option Plan of 2006.

In conjunction with the loan from BCA (see Note 10 of the Notes to the Consolidated Financial Statements), the Company issued BCA a nine-year warrant exercisable for 136,920 shares, based upon 4.5% of the fully–diluted outstanding shares of the Company’s common stock at $6.70 per share, the average closing price over the three days preceding the closing of the loan on the NYSE – MKT. In the event of specific major corporate events or the maturity of the five-year loan, BCA can require the Company to purchase the warrant shares at the higher of the then Exchange market price less, in the case of the warrant, the exercise price, or five times operating income per share.

The Company also issued to a third party warrants exercisable for 10,416 shares at $6.70 per share for five years in conjunction with the BCA loan as an additional finder’s fee.
 
In consideration for the waiver for non-compliance of the financial covenants and for the deferral of certain principal payments, BCA received warrants to purchase a total of 100,000 shares of the Company’s common stock at prices ranging from $3.33 to $3.69 during fiscal years 2014 and 2013 (see Note 10 of the Notes to the Consolidated Financial Statements).

In conjunction with a loan from a private investor (see Note 10 of the Notes to the Consolidated Financial Statements, the Company issued a warrant exercisable for 50,000 shares of the Company’s common stock at $3.35 per share, expiring September 10, 2019.

The warrants and the shares issuable upon exercise of each warrant are restricted against transfer in violation of the securities laws.

Rule 10B-18 Transactions
 
During the year ended March 31, 2014, there were no repurchases of the Company’s common stock by the Company.
 
Recent Sales of Unregistered Securities

Effective May 31, 2013, a Private Investor converted its total outstanding principal of $600,000, penalty of $25,000 and accrued interest for the month of May in the amount of $12,400 for a total of $637,400 for 200,000 shares of common stock at a price of $3.187 per share.

In June 2013, a related party received a note payable from the Company in exchange for $100,000 which the Company used for working capital needs. On July 24, 2013, the related party converted its note payable in the amount of $100,000 into 31,348 shares of the Company’s common stock at a price of $3.187 per share. The price was approved by the board of directors (the “Board”) of the Company and was the same price as the 200,000 shares issued to the Private Investor upon the conversion of debt on May 31, 2013.

The securities mentioned above were not registered under the Securities Act of 1933, as amended (the “Securities Act”), and qualified for exemption under Section 4(2) of the Securities Act because the issuance of the securities did not involve a public offering. The offering was not a “public offering” as defined in Section 4(2) due to the insubstantial number of persons involved in the transaction, size of the offering, manner of the offering and number of securities offered.

Item 6.         Selected Financial Data

The Company is a smaller reporting company as defined in Item 10 (f) of Regulation S-K and therefore is not required to provide the information under this item. 
 
 
Item 7.          Management’s Discussion and Analysis of Financial Condition and Results of Operations
 
Forward Looking Statements

A number of the statements made by the Company in this report may be regarded as “forward-looking statements” within the meaning of the Private Securities Litigation Reform Act of 1965.

Forward-looking statements include, among others, statements concerning the Company’s outlook, pricing trends and forces within the industry, the completion dates of projects, expected sales growth, cost reduction strategies and their results, long-term goals of the Company and other statements of expectations, beliefs, future plans and strategies, anticipated events or trends and similar expressions concerning matters that are not historical facts.

All predictions as to future results contain a measure of uncertainty and accordingly, actual results could differ materially.  Among the factors that could cause a difference are changes in the general economy; changes in demand for the Company’s products or in the costs and availability of its raw materials; the actions of competitors; the success of our customers, technological change; changes in employee relations; government regulations; litigation, including its inherent uncertainty; difficulties in plant operations and materials transportation; environmental matters; and other unforeseen circumstances.  A number of these factors are discussed in the Company’s filings with the Securities and Exchange Commission. 

General

Management’s discussion and analysis of results of operations and financial condition is intended to assist the reader in the understanding and assessment of significant changes and trends related to the results of operations and financial position of the Company together with its subsidiary.  This discussion and analysis should be read in conjunction with the consolidated financial statements and accompanying financial notes, and with the Critical Accounting Policies noted below.  The Company’s fiscal year begins on April 1 and ends on March 31.  Unless otherwise noted, all references in this document to a particular year shall mean the Company’s fiscal year ending on March 31.

Overview

For the year ended March 31, 2014, total sales increased $8,001,033 (102.2%) to $15,828,291 as compared to $7,827,258 for the year ended March 31, 2013. This increase is mostly attributed to the shipment of units and kits for the TS-4530A program against a partial release from the U.S. Army, an increase in revenues for the Company’s legacy products, as well as increase in revenues on the CRAFT program.

The Company recently received a full production release for the kits, and will commence shipment of these kits in July 2014. We expect the full rate production release for the sets to occur within the next several months. The Company continues to ship the AN/USM-708 CRAFT test sets.   During the last quarter of fiscal year 2014 the Company has received additional orders under this contract totaling approximately $3.9 million. The Company currently has $19.7 million of existing TS-4530A orders on this Indefinite-Delivery-Indefinite Quantity (“IDIQ”) contract program. The commencement of TS-4530A volume shipments will augment the Company’s liquidity position as the Company has a substantial amount of the material in-house to commence production.

For the year ended March 31, 2014, the Company recorded operating income of $1,363,902 as compared to an operating loss of $3,753,006 for the year ended March 31, 2013. This increase is due to the increase in avionics sales as discussed above as well as the reversal of a liability in the amount of $790,535, which was discharged by the vendor. The Company hopes to continue this positive trend. If the Company is unable to obtain a full rate production release of the sets on the TS-4530A program within a reasonable period of time, earnings growth could be delayed.

In October 2013, the Company received an additional contract for the CRAFT program with a maximum value of $9.5 million. The order is a not-to-exceed $9.5 million fixed-price, indefinite-delivery/indefinite-quantity (“IDIQ”) contract for the manufacture and delivery of communications/navigation radio frequency avionics flight line tester CRAFT AN/USM-708 and/or AN/USM-719. This contract is in support of the U.S. Navy, U.S. Marine Corps, U.S. Army and various Foreign Military Sales customers under the Foreign Military Sales program. This follow-on contract further strengthens our position in the industry as the predominant supplier of Mode 5 test equipment. The CRAFT unit has been well received by the end users and we look forward to working with the U.S. Navy on this program, and believe it will be the Mode 5 test set of choice for a number of years. The Company has received three delivery orders against this new contract for the additional test sets at a total value of $4.1 million. The Company currently has approximately $10.0 million of existing orders on the CRAFT program, and an option to purchase up to $5.4 million of additional units.
 

Item 7.         Management’s Discussion and Analysis of Financial Condition and Results of Operations

Overview (continued)

The Company has also started production on the ITATS program, and expects shipments to commence in July 2014. The Company has $5.6 million in open orders for this program.

In June 2013 a related party received a note payable from the Company in exchange for $100,000, which the Company used for working capital needs. On July 24, 2013, the related party converted its note payable in the amount of $100,000 into 31,348 shares of the Company’s common stock at a price of $3.187 per share.

During fiscal year 2014, the Company has not been in compliance with its financial covenants. In consideration for the waivers for non-compliance of the financial covenants, BCA received warrants and fees (see Note 10 to Notes to the Consolidated Financial Statements).

As a result of the substantial operating losses incurred in fiscal year 2013, the Company is not currently in compliance with the NYSE-MKT’s (the “Exchange”) continued listing standards. Based on the information provided by the Company on February 20, 2014, the Exchange has determined, based on the information provided and the improved results that the Company had made a reasonable demonstration of its ability to regain compliance and granted the Company an extension until July 10, 2014. As such, the Company listing is being continued pursuant to an extension and will continue to be monitored against this plan.
 
The Company also received a letter from the staff of the Exchange that, based on the Company’s financial statements at March 31, 2013, the Company was no longer in compliance with the minimum stockholders’ equity requirement of $4.0 million, and had also reported net losses in three of its last four fiscal years, as set forth in Section 1003(a)(ii) of the NYSE MKT Company Guide. The Company was afforded the opportunity to submit a plan of compliance to the Exchange and based on information provided by the Company, the Exchange notified the Company that it accepted the Company’s plan of compliance and granted an extension until November 7, 2014.
 
The Company is optimistic that it will demonstrate sufficient progress to maintain our NYSE-MKT listing. 
 
In June 2013, the Company received a performance-based payment from the government in the amount of $858,050, which was used to pay old outstanding accounts payable of a significant vendor. The Company made solid progress during fiscal year 2014 in working down outstanding payables to its vendors. Based on existing and expected production releases, the Company believes that it will have adequate liquidity and backlog to fund operating plans for at least the next twelve months.  Currently, the Company has no material future capital expenditure requirements.
 
The Company recently received a full production release for the kits and will commence shipment of these kits in July 2014. We expect the full rate production release for the sets to occur within the next several months.

Based on existing and expected production releases, the Company believes that it will have adequate liquidity, and backlog to fund operating plans for at least the next twelve months.  Currently, the Company has no material future capital expenditure requirements. However, there can be no assurances that the Company will achieve profitability or will not require additional financing.
 
At March 31, 2014, the Company’s backlog was approximately $37.6 million as compared to approximately $36.4 million at March 31, 2013. 

Results of Operations 2014 Compared to 2013
 
Sales
 
For the fiscal year ended March 31, 2014, total sales increased $8,001,033 (102.2%) to $15,828,291 as compared to $7,827,258 for the same period in the prior year. Total Avionics sales increased $7,674,238 (98.0% to $15,501,496 for the year ended March 31, 2014 as compared to $7,827,258 for the fiscal year ended March 31, 2013. Avionics government sales increased $7,947,029 (137.5%) to $13,726,976 for the year ended March 31, 2014 as compared to $5,779,947 for the year ended March 31, 2013. This increase is mostly attributed to the shipment of units and kits for the TS-4530A program against a partial release from the U.S. Army, an increase in revenues for the Company’s legacy products as well as increase in revenues on the CRAFT program.  Commercial sales decreased $272,791 (13.3%) to $1,774,520 for the year ended March 31, 2014 as compared to $2,047,311 for the same period in the prior fiscal year.  The decrease in sales is primarily attributed to lower sales from the overhaul and repairs business. The economic conditions in the commercial market remain depressed.   

 
Item 7.         Management’s Discussion and Analysis of Financial Condition and Results of Operations

Results of Operations 2014 Compared to 2013

Gross Margin
 
Gross margin increased $5,402,665 (562.1%) to $6,363,887 for the fiscal year ended March 31, 2014 as compared to $961,222 for the prior fiscal year.  Gross profit was favorably impacted by the increase in sales volume as a result of the increase in shipments of units and kits for the TS-4530A program against a partial release from the U.S. Army, an increase in revenues for the Company’s legacy products as well as an increase in revenues on the CRAFT program. The gross margin percentage for the fiscal year ended March 31, 2014 was 40.2% as compared to 12.3% for the fiscal year ended March 31, 2013.  Gross profit was favorably impacted by the increase in sales volume as a result of the increase in shipments of units and kits for the TS-4530A program against a partial release from the U.S. Army, an increase in revenues for the Company’s legacy products as well as an increase in revenues on the CRAFT program. The gross profit percentage was also favorably impacted by the reversal of a liability in the amount of $790,535, which was discharged by the vendor.

Operating Expenses
 
Selling, general and administrative expenses increased $582,010 (22.7%) to $3,146,647 for the fiscal year ended March 31, 2014, as compared to $2,564,637 for the fiscal year ended March 31, 2013. This increase was attributed to higher outside commission expenses, higher legal costs associated with the Aeroflex litigation, an increase in accrued profit sharing expense, and increased program management fees offset partially with lower personnel costs.

Engineering, research and development expenses decreased $296,253 (13.8%) to $1,853,338 for fiscal year 2014 as compared to $2,149,591 for the prior fiscal year, primarily as a result of a decrease in personnel costs as a result of the Company finalizing the engineering efforts on the CRAFT and TS-4530A programs.

Income (Loss) From Operations

As a result of the above, the Company recorded income from operations in the amount of $1,363,902 for the fiscal year ended March 31, 2014 as compared to a loss from operations of $3,753,006 for the year ended March 31, 2013.

Other Expense

Other expense increased to $659,529 for the year ended March 31, 2014 as compared to $563,145 for the year ended March 31, 2013. This change is primarily due to the higher non-cash loss on the change in the valuation of common stock warrants as compared to the prior period last year offset partially by lower interest expense, amortization of debt discount and financing costs. For year ended March 31, 2014, the Company recorded a non-cash loss on the change in the valuation of common stock warrants in the amount of $114,869, primarily as a result of the higher stock price, as compared to a gain in the valuation of common stock warrants in the amount of $294,785 for the year ended March 31, 2013, an unfavorable change of $409,654.

Income (Loss) before Income Taxes

As a result of the above, the Company recorded income before taxes of $704,373 for the year ended March 31, 2014 as compared to a loss before taxes of $4,316,151 for the fiscal year ended March 31, 2013.
 
 
Item 7.         Management’s Discussion and Analysis of Financial Condition and Results of Operations (continued)
 
Results of Operations 2014 Compared to 2013 (continued)

Income Taxes

For the year ended March 31, 2014, the Company recorded a provision for income taxes in the amount of $442,845 as compared to an income tax benefit of $1,543,580 for the year ended March 31, 2013.  These amounts represent the statutory federal and state tax rate on the Company’s income (loss) before taxes. For the year ended March 31, 2014, the Company recorded a provision for income taxes as the Company recorded a profit before taxes for the current fiscal year.

Net Income (Loss)

As a result of the above, the Company recorded net income in the amount of $261,528 for the year ended March 31, 2014 as compared to a net loss of $2,772,571 for the fiscal year ended March 31, 2013.

Liquidity and Capital Resources
 
At March 31, 2014, the Company had working capital of $2,452,798 as compared to $1,008,849 at March 31, 2013.

During the year ended March 31, 2014, the Company had a net decrease in cash of $78,179. The Company’s principal sources and uses of funds were as follows:
 
Cash provided by (used in) operating activities.  For the year ended March 31, 2014, the Company generated $432,639 in cash from operations as compared to using $1,296,368 in cash for operations for the year ended March 31, 2013.  This improvement is the result of the improvement in operating income, decrease in inventories and the increase in progress billings partially offset by the decrease in accounts payable and accounts receivable.

Cash used in investing activities. Net cash used in investing activities was $65,851 for the fiscal year ended March 31, 2014 as compared to $109,157 for the fiscal year ended March 31, 2013 as a result of lower purchases of equipment.

Cash provided by financing activities. For the year ended March 31, 2014, the Company used $444,967 in financing activities as compared to providing $1,302,627 for the year ended March 31, 2013.  During the previous fiscal year ended March 31, 2013, the Company received net proceeds from the sale of common stock and proceeds from the issuance of long-term debt in the amount of $1,488,661 as compared to $100,000 for the year ended March 31, 2014.  Additionally, the Company repaid debt and capital lease obligations of $577,987 for the year ended March 31, 2014 as compared to $324,124 for the year ended March 31, 2013. 

At March 31, 2014 the Company’s backlog was approximately $37.6 million as compared to approximately $36.4 million at March 31, 2013. Historically, the Company obtains a substantial volume of orders which are required to be filled in less than twelve months, and, therefore, these anticipated orders are not reflected in the backlog.

In September 2010, the Company, pursuant to an agreement with BCA Mezzanine Fund LP, borrowed $2.5 million for five years. See Note 10 to the Financial Statements.
 
During the year ended March 31, 2014, the Private Investor converted the outstanding principal of $600,000, penalty of $25,000 and accrued interest for the month of May 2013 in the amount of $12,400 for a total of $637,400 into 200,000 shares of common stock at a price of $3.187 per share.

In June 2013, a related party received a note payable from the Company in exchange for $100,000, which the Company used for working capital needs. On July 24, 2013, the related party converted its note payable in the amount of $100,000 into 31,348 shares of the Company’s common stock at a price of $3.187 per share.
 

Item 7.          Management’s Discussion and Analysis of Financial Condition and Results of Operations (continued)
 
Liquidity and Capital Resources (continued)

During fiscal year 2014, the Company has not been in compliance with its financial covenants. In consideration for the waivers for non-compliance of the financial covenants, BCA received warrants and fees (see Note 10 to Notes to the Consolidated Financial Statements).

As a result of the substantial operating losses incurred in fiscal year 2013, the Company is not currently in compliance with the NYSE-MKT’s (the “Exchange”) continued listing standards. Based on the information provided by the Company on February 20, 2014, the Exchange has determined, based on the information provided and the improved results that the Company had made a reasonable demonstration of its ability to regain compliance and granted the Company an extension until July 10, 2014. As such, the Company listing is being continued pursuant to an extension and will continue to be monitored against this plan.
 
The Company also received a letter from the staff of the Exchange that, based on the Company’s financial statements at March 31, 2013, the Company was no longer in compliance with the minimum stockholders’ equity requirement of $4.0 million, and had also reported net losses in three of its last four fiscal years, as set forth in Section 1003(a)(ii) of the NYSE MKT Company Guide. The Company was afforded the opportunity to submit a plan of compliance to the Exchange and based on information provided by the Company, the Exchange notified the Company that it accepted the Company’s plan of compliance and granted an extension until November 7, 2014.
 
The Company is optimistic that it will continue to demonstrate sufficient progress to maintain our NYSE-MKT listing. 
 
In June 2013, the Company received a performance-based payment from the government in the amount of $858,050, which was used to pay old outstanding accounts payable of a significant vendor. The balance due to the government on the performance-based payment at March 31, 2014 was $775,475.  The Company has also made solid progress during the fiscal year 2014 in working down outstanding payables to its vendors.

Based on existing and expected production releases, the Company believes that it will have adequate liquidity, and backlog to fund operating plans for at least the next twelve months.  Currently, the Company has no material future capital expenditure requirements.
 
The Company recently received a full production release for the kits and will commence shipment of these kits in July 2014. We expect the full rate production release for the sets to occur within the next several months.

Based on existing and expected production releases, the Company believes that it will have adequate liquidity, and backlog to fund operating plans for at least the next twelve months.  Currently, the Company has no material future capital expenditure requirements. However, there can be no assurances that the Company will achieve profitability or will not require additional financing.
 
There was no significant impact on the Company’s operations as a result of inflation for the year ended March 31, 2014.
 
 
Item 7.          Management’s Discussion and Analysis of Financial Condition and Results of Operations (continued)

Critical Accounting Policies
 
In preparing the financial statements and accounting for the underlying transactions and balances, the Company applies its accounting policies as disclosed in Note 2 of our Notes to Consolidated Financial Statements.  The Company’s accounting policies that require a higher degree of judgment and complexity used in the preparation of financial statements include:
 
Revenue recognition – revenues are recognized at the time of shipment to, or acceptance by customer, provided title and risk of loss are transferred to the customer.  Provisions, when appropriate, are made where the right to return exists.  In certain instances, the Company may offer the unit on trial basis. The Company does not recognize revenue until the unit has been accepted. The Company only offers product on a trial basis in rare instances, and, as such, no provision has been made at March 31, 2014 and 2013.
  
Revenues for repairs and calibrations of the Company’s products represent 5.2% and 14.9% of revenues for the years ended March 31, 2014 and 2013, respectively. These revenues are for units that are periodically returned for annual calibrations and/or for repairs after the warranty period has expired. Revenues on repairs and calibrations are recognized at time the repaired or calibrated unit is shipped as it is at this time that the work is completed. The Company’s terms are F.O.B. Plant, and as such, delivery has occurred, and revenue recognized, when picked up and acknowledged by a common carrier.

Due to the unique nature of the Intermediate Level TACAN Test Set (“ITATS”) contract, wherein a significant portion of this contract was not delivered for over a year, revenues under this contract were recognized on a percentage-of-completion basis, which recognizes sales and profit as they are earned, rather than at the time of shipment.  Revenues and profits were estimated using the cost-to-cost method of accounting where revenues are recognized and profits recorded based upon the ratio of costs incurred to estimate of total costs at completion. The ratio of costs incurred to date to the estimate of total costs at completion was applied to the contract value to determine the revenues and profits. When adjustments in estimated contract revenues or estimated costs at completion are required, any changes from prior estimates are recognized by recording adjustments in the current period for the inception-to-date effect of the changes on current and prior periods. The Company also received progress billings on this program, which is a funding mechanism by the government to assist contractors on long-term contracts prior to delivery. These progress payments are applied to Unbilled Government Receivables resulting from revenues recognized under percentage-of-completion accounting. As of March 31, 2013, the section of this contract was completed, the customer was billed, and the unbilled government receivables were cleared.

Shipping and handling costs charged to customers are classified as sales, and the shipping and handling costs incurred are included in cost of sales.

Payments received prior to the delivery of units or services performed are recorded as deferred revenues.

Inventory reserves – inventory reserves or write-downs are estimated for excess, slow-moving and obsolete inventory as well as inventory whose carrying value is in excess of net realizable value. These estimates are based on current assessments about future demands, market conditions and related management initiatives.  If market conditions and actual demands are less favorable than those projected by management, additional inventory write-downs may be required. While such write-downs have historically been within our expectation and the provision established, the Company cannot guarantee that it will continue to receive positive results.
 
Warranty reserves – warranty reserves are based upon historical rates and specific items that are identifiable and can be estimated at time of sale.  While warranty costs have historically been within our expectations and the provisions established, future warranty costs could be in excess of our warranty reserves.  A significant increase in these costs could adversely affect operating results for the current period and any future periods these additional costs materialize.  Warranty reserves are adjusted from time to time when actual warranty claim experience differs from estimates. For the year ended March 31, 2014 warranty costs were $288,685 as compared to $203,783 for the year ended March 31, 2013.
 
 
Item 7.          Management’s Discussion and Analysis of Financial Condition and Results of Operations (continued)

Critical Accounting Policies (continued)
 
Accounts receivable – the Company performs ongoing credit evaluations of its customers and adjusts credit limits based on customer payment and current credit worthiness, as determined by review of their current credit information.  The Company continuously monitors credits and payments from its customers and maintains provision for estimated credit losses based on its historical experience and any specific customer issues that have been identified. For the year ended March 31, 2014 approximately 64% of the Company’s sales were to the U.S. Government. While such credit losses have historically been within our expectation and the provision established, the Company cannot guarantee that it will continue to receive positive results.

Income taxes - deferred tax assets arise from a variety of sources, the most significant being: a) tax losses that can be carried forward to be utilized against profits in future years; b) expenses recognized in the books but disallowed in the tax return until the associated cash flow occurs; and c) valuation changes of assets which need to be tax effected for book purposes but are deductible only when the valuation change is realized. Deferred tax assets and liabilities are determined based on differences between financial reporting and tax bases of assets and liabilities and are measured using enacted tax rates and laws that are expected to be in effect when such differences are expected to reverse.  The measurement of deferred tax assets is reduced, if necessary, by a valuation allowance for any tax benefit which is not more likely than not to be realized. In assessing the need for a valuation allowance, future taxable income is estimated, considering the realization of tax loss carryforwards. Valuation allowances related to deferred tax assets can also be affected by changes to tax laws, changes to statutory tax rates and future taxable income levels. In the event it was determined that the Company would not be able to realize all or a portion of its deferred tax assets in the future, the Company would reduce such amounts through a charge to income in the period in which that determination is made. Conversely, if it were determined that it would be able to realize the deferred tax assets in the future in excess of the net carrying amounts, Tel would decrease the recorded valuation  allowance through an increase to income in the period in which that determination is made.  In its evaluation of a valuation allowance, the Company takes into account existing contracts and backlog, and the probability that options under these contract awards will be exercised as well as sales of existing products. The Company prepares profit projections based on the revenue and expenses forecast to determine that such revenues will produce sufficient taxable income to realize the deferred tax assets.
 
Off Balance Sheet Arrangements
 
The Company is not party to any off-balance sheet arrangements that may affect its financial position or its results of operations.
 
New Accounting Pronouncements

In May 2014, FASB issued ASU 2014-09, "Revenue from Contracts with Customers." This ASU is a comprehensive new revenue recognition model that requires a company to recognize revenue to depict the transfer of goods or services to a customer at an amount that reflects the consideration it expects to receive in exchange for those goods or services. This ASU is effective for annual reporting periods beginning after December 15, 2016 and early adoption is not permitted. Accordingly, the Company will adopt this ASU on April 1, 2017. Companies may use either a full retrospective or modified retrospective approach to adopt this ASU and management is currently evaluating which transition approach to use. The Company is currently evaluating the impact of ASU 2014-09.

No other recently issued accounting pronouncements had or are expected to have a material impact on the Company’s consolidated financial statements.

Item 7A.       Quantitative and Qualitative Disclosures About Market Risk
 
      We do not hold any derivative instruments and do not engage in any hedging activities.
 

Item 8.          Financial Statements and Supplementary Data
 
 
 
Report of Independent Registered Public Accounting Firm
 
The Board of Directors and Stockholders of
Tel-Instrument Electronics Corp
East Rutherford, New Jersey 
 
We have audited the accompanying consolidated balance sheets of Tel-Instrument Electronics Corp and subsidiary (the “Company”) as of March 31, 2014 and 2013 and the related consolidated statements of operations, stockholders’ equity and cash flows for the years then ended.  In connection with our audits of the financial statements, we have also audited the financial statement schedule listed in the accompanying index.  These financial statements and schedule are the responsibility of the Company’s management.  Our responsibility is to express an opinion on these financial statements and schedule based on our audits.
 
We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States).  Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. The Company is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting.  Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Company’s internal control over financial reporting. Accordingly, we express no such opinion. An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements and schedule.  We believe that our audits provide a reasonable basis for our opinion.
 
In our opinion, the consolidated financial statements referred to above present fairly, in all material respects, the financial position of Tel-Instrument Electronics Corp and subsidiary as of March 31, 2014 and 2013, and the results of its operations and its cash flows for the years then ended., in conformity with accounting principles generally accepted in the United States of America.
 
Also, in our opinion, the financial statement schedule, when considered in relation to the basic consolidated financial statements taken as a whole, present fairly, in all material respects, the information set forth therein.

 
/s/ BDO USA, LLP              
 
    Woodbridge, New Jersey
 

 
June 30, 2014
 
 
TEL-INSTRUMENT ELECTRONICS CORP
Consolidated Balance Sheets

ASSETS
 
March 31, 2014
   
March 31, 2013
 
Current assets:
           
Cash
 
$
232,118
   
$
310,297
 
Accounts receivable, net of allowance for doubtful accounts
     of $27,282 and $18,940, respectively
   
2,095,640
     
557,879
 
Inventories, net
   
4,025,391
     
6,241,181
 
Prepaid expenses and other current assets
   
263,592
     
115,852
 
Deferred financing costs
   
108,321
     
108,321
 
Deferred tax asset
   
1,089,538
     
1,238,421
 
             Total current assets
   
7,814,600
     
8,571,951
 
                 
Equipment and leasehold improvements, net
   
450,873
     
587,958
 
Deferred financing costs – long-term
   
48,142
     
156,463
 
Deferred tax asset – non-current
   
2,273,068
     
2,546,190
 
Other assets
   
47,670
     
56,872
 
                 
Total assets
 
$
10,634,353
   
$
11,919,434
 
                 
LIABILITIES AND STOCKHOLDERS’  EQUITY
               
                 
Current liabilities:
               
Current portion of long-term debt
 
$
718,848
   
$
1,229,643
 
Capital lease obligations – current portion
   
53,608
     
74,508
 
Accounts payable
   
2,289,858
     
4,272,431
 
Progress billings
   
775,475
     
-
 
Deferred revenues – current portion
   
37,452
     
18,460
 
Accrued expenses - vacation pay, payroll and payroll withholdings
   
444,238
     
442,522
 
Accrued expenses - related parties
   
123,036
     
100,536
 
Accrued expenses – other
   
919,287
     
1,425,002
 
             Total current liabilities
   
5,361,802
     
7,563,102
 
                 
Subordinated notes payable – related parties
   
250,000
     
250,000
 
Capital lease obligations – long-term
   
21,320
     
76,055
 
Long-term debt, net of debt discount
   
596,526
     
1,134,549
 
Warrant liability
   
354,309
     
198,330
 
Deferred revenues – long-term
   
133,650
     
1,045
 
Other long-term liabilities
   
56,100
     
-
 
                 
Total liabilities
   
6,773,707
     
9,223,081
 
                 
Commitments and contingencies
               
                 
Stockholders’ equity
               
Common stock, 4,000,000 shares authorized, par value $.10 per share,
       3,251,387 and 3,011,739 shares issued and outstanding, respectively
   
325,136
     
301,171
 
Additional paid-in capital
   
7,987,100
     
7,108,300
 
Accumulated deficit
   
(4,451,590
)
   
(4,713,118
)
                 
             Total stockholders’ equity
   
3,860,646
     
2,696,353
 
                 
Total liabilities and stockholders’ equity
 
$
10,634,353
   
$
11,919,434
 

The accompanying notes are an integral part of the consolidated financial statements.
 
 
TEL-INSTRUMENT ELECTRONICS CORP
Consolidated Statements of Operations
 
   
For the years ended March 31,
 
   
2014
   
2013
 
             
Net sales
 
$
15,828,291
   
$
7,827,258
 
                 
Cost of sales
   
9,464,404
     
6,866,036
 
                 
              Gross margin
   
6,363,887
     
961,222
 
                 
Operating expenses:
               
  Selling, general and administrative
   
3,146,647
     
2,564,637
 
  Engineering, research and development
   
1,853,338
     
2,149,591
 
                 
              Total operating expenses
   
4,999,985
     
4,714,228
 
                 
Income (loss) from operations
   
1,363,902
     
(3,753,006
)
                 
Other income (expense):
               
   Amortization of debt discount
   
(104,644
)
   
(129,763
)
   Amortization of deferred financing costs
   
(108,321
)
   
(219,662
)
   Change in fair value of common stock warrants
   
(114,869
)
   
294,785
 
   Loss on extinguishment of debt
   
(26,600
)
   
-
 
   Interest income
   
226
     
434
 
   Interest expense
   
(275,321
)
   
(478,939
)
   Interest  expense -  related parties
   
(30,000
)
   
(30,000
)
                 
Total other expense
   
(659,529
)
   
(563,145
)
                 
Income (loss) before income taxes
   
704,373
     
(4,316,151
)
                 
   Provision (benefit) for income taxes
   
442,845
     
(1,543,580
)
                 
Net income (loss)
 
$
261,528
   
$
(2,772,571
)
                 
                 
Basic income (loss) per common share
 
$
0.08
   
$
(0.98
)
Diluted income (loss) per common share
 
$
0.10
   
$
(0.98
)
                 
Weighted average number of shares outstanding
               
Basic
   
3,204,028
     
2,834,257
 
Diluted
   
3,228,894
     
2,834,257
 

The accompanying notes are an integral part of the consolidated financial statements.
 
 
TEL-INSTRUMENT ELECTRONICS CORP
Consolidated Statements of Changes in Stockholders’ Equity
 
   
Common Stock
   
Additional
             
   
# of Shares 
 Issued
   
Amount
   
Paid-In 
Capital
   
Accumulated
Deficit
   
Total
 
                               
Balances  at April 1, 2012
   
2,684,215
   
$
268,421
   
 $
5,921,441
   
$
(1,940,547
)
 
 $
4,249,315
 
                                         
Stock-based compensation
   
-
     
-
     
81,517
     
-
     
81,517
 
Net loss
   
-
     
-
     
-
     
(2,772,571
)
   
(2,772,571
)
Issuance of new shares in connection with stock subscription agreements
   
288,424 
     
28,840 
     
971,162 
     
     
1,000,002 
 
Issuance of common stock in connection with the exercise of stock options
   
39,100
     
3,910
     
134,180
   
-
     
138,090
 
                                         
Balances  at March 31, 2013
   
3,011,739
   
$
301,171
   
$
7,108,300
   
$
(4,713,118
)
 
$
2,696,353
 
                                         
Stock-based compensation
   
-
     
-
     
84,742
     
-
     
84,742
 
Net income
   
-
     
-
     
-
     
261,528
     
261,528
 
Issuance of new shares in connection with conversion of debt into common stock
   
200,000
     
20,000
     
644,000
     
-
     
664,000
 
Issuance of new shares in connection with conversion of note payable into common stock
   
31,348 
     
3,135 
     
117,868
     
     
121,003
 
Issuance of common stock in connection with the exercise of stock options
   
8,300
     
830
     
32,190
   
-
     
33,020
 
                                         
Balances at March 31, 2014
   
3,251,387
   
$
325,136
   
$
7,987,100
   
$
(4,451,590
)
 
$
3,860,646
 

The accompanying notes are an integral part of the consolidated financial statements.
 
 
TEL-INSTRUMENT ELECTRONICS CORP
Consolidated Statements of Cash Flows
                                                                                             
   
For the years ended March 31,
 
   
2014
   
2013
 
Cash flows from operating activities:
           
    Net income (loss)
 
$
261,528
   
$
(2,772,571
)
    Adjustments to reconcile net (loss) income to net cash
      (Used in) provided by operating activities:
               
Deferred income taxes
   
423,345
     
(1,547,491
)
Allowance for doubtful accounts
   
10,000
     
(16,530
)
Depreciation and amortization
   
202,936
     
228,069
 
Amortization of debt discount
   
104,644
     
129,763
 
Amortization of deferred financing costs
   
108,321
     
219,662
 
Change in fair value of common stock warrant
   
114,869
     
(294,785
)
Provision for inventory obsolescence
   
5,000
     
-
 
Loss on extinguishment of debt
   
26,600
     
-
 
Non-cash interest expense associated with conversion of note payable
   
21,003
     
-
 
Non-cash stock-based compensation
   
84,742
     
81,517
 
Changes in assets and liabilities:
               
             (Increase) decrease  in accounts receivable
   
(1,547,761
)
   
1,153,287
 
    Decrease in unbilled government receivables
   
-
     
1,780,381
 
Decrease (increase) in inventories
   
2,210,790
     
(1,217,206
)
             (Increase) decrease in prepaid expenses and other assets
   
(138,538
)
   
104,403
 
             (Decrease) increase in accounts payable
   
(1,982,573
)
   
1,421,999
 
Increase (decrease) in deferred revenues
   
151,597
     
(19,899
)
Increase in accrued payroll, vacation pay & withholdings
   
1,716
     
2,406
 
Decrease in accrued expenses – related party and other
   
(457,155
)
   
(549,373
)
Increase in progress billings
   
775,475
     
-
 
Increase in other long-term liabilties
   
56,100
     
-
 
                  Net cash provided by (used in) operating activities
   
432,639
     
(1,296,368
)
                 
Cash flows from investing activities:
               
   Acquisition of equipment
   
(65,851
)
   
(109,157
)
Net cash used in investing activities
   
(65,851
)
   
(109,157
)
                 
Cash flows from financing activities:
               
   Proceeds from exercise of stock options
   
33,020
     
138,090
 
   Proceeds from note payable – related party
   
100,000
     
1,000,002
 
   Proceeds from issuance of debt
   
23,712
     
600,000
 
   Expenses associated with long-term debt
   
-
     
(111,341
)
   Repayment of long-term debt
   
(526,064
)
   
(260,430
)
   Repayment of capitalized lease obligations
   
(75,635
)
   
(63,694
)
   Net cash provided by (used in) financing activities
   
(444,967
)
   
1,302,627
 
                 
Net decrease in cash
   
(78,179
)
   
(102,898
)
Cash, beginning of year
   
310,297
     
413,195
 
Cash, end of year
 
$
232,118
   
$
310,297
 
                 
Supplemental cash flow information:
               
   Taxes paid
 
$
1,340
   
$
-
 
   Interest paid
 
$
310,489
   
$
368,188
 
Supplemental non-cash information:
               
Warrants issued in conjunction with long-term debt
 
$
-
   
$
66,193
 
Warrants issued to lender for waiver of debt covenants
 
$
41,110
   
$
71,632
 
Conversion of debt to equity
 
$
700,000
   
$
-
 
Conversion of accrued interest to equity
 
$
37,400
   
$
-
 
 
The accompanying notes are an integral part of the consolidated financial statements.
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements

1.                   Business, Organization, and Liquidity

Business and Organization

Tel-Instrument Electronics Corp (“Tel” or the “Company”) has been in business since 1947.  The Company is a leading designer and manufacturer of avionics test and measurement instruments for the global, commercial air transport, general aviation, and government/military defense markets.  Tel provides instruments to test, measure, calibrate, and repair a wide range of airborne navigation and communication equipment.  The Company sells its equipment in both domestic and international markets. Tel continues to develop new products in anticipation of customers’ needs and to maintain its strong market position.  Its development of multifunction testers has made it easier for customers to perform ramp tests with less operator training, fewer test sets, and lower product support costs.  The Company has become a major manufacturer and supplier of IFF (Identification Friend or Foe) flight line test equipment and over the last few years was awarded three major military contracts.

2.                   Summary of Significant Accounting Policies

Principles of Consolidation:

The consolidated financial statements have been prepared in accordance with accounting principles generally accepted in the United States, and include the Company and its wholly-owned subsidiary. All significant inter-company accounts and transactions have been eliminated.

Revenue Recognition:

Revenues are recognized at the time of shipment to, or acceptance by the customer, provided title and risk of loss is transferred to the customer.  Provisions, when appropriate, are made where the right to return exists.
 
Revenues for repairs and calibrations of the Company’s products represented 5.2% and 14.9% of sales for the years ended March 31, 2014 and 2013, respectively. These revenues are for units that are periodically returned for annual calibrations and/or for repairs after the warranty period has expired. Revenues on repairs and calibrations are recognized at the time the repaired or calibrated unit is shipped, as it is at this time that the work is completed. The Company’s terms are F.O.B. Plant, and as such, delivery has occurred, and revenue recognized, when picked up and acknowledged by a common carrier.
 
 
TEL-INSTRUMENT ELECTRONICS CORP

Notes To Consolidated Financial Statements

2.                   Summary of Significant Accounting Policies (Continued)

Revenue Recognition (continued):

Due to the unique nature of the Intermediate Level TACAN Test Set (“ITATS”) contract, wherein a significant portion of this contract was not delivered for over a year, revenues under this contract were recognized on a percentage-of-completion basis, which recognizes sales and profit as they are earned, rather than at the time of shipment.  Revenues and profits were estimated using the cost-to-cost method of accounting where revenues are recognized and profits recorded based upon the ratio of costs incurred to estimate of total costs at completion. The ratio of costs incurred to date to the estimate of total costs at completion was applied to the contract value to determine the revenues and profits. When adjustments in estimated contract revenues or estimated costs at completion are required, any changes from prior estimates are recognized by recording adjustments in the current period for the inception-to-date effect of the changes on current and prior periods. The Company also received progress billings on this program, which is a funding mechanism by the government to assist contractors on long-term contracts prior to delivery. These progress payments are applied to Unbilled Government Receivables resulting from revenues recognized under percentage-of-completion accounting. As of March 31, 2013, the section of this contract was completed, the customer was billed, and the unbilled government receivables were cleared.

Shipping and handling costs charged to customers are classified as sales, and the shipping and handling costs incurred are included in cost of sales.

Payments received prior to the delivery of units or services performed are recorded as deferred revenues.

With respect to warranty revenues, upon the completion of two years from the date of sale, considered to be the warranty period, the Company offers customers an optional warranty. Amounts received for warranties are recorded as deferred revenue and recognized over the respective terms of the agreements.
 
Fair Value of Financial Instruments:

The Company estimates that the fair value of all financial instruments at March 31, 2014 and March 31, 2013, as defined in Financial Accounting Standards Board (“FASB”) ASC 825 “Financial Instruments”, does not differ materially, except for the items discussed below, from the aggregate carrying values of its financial instruments recorded in the accompanying consolidated balance sheets. The estimated fair value amounts have been determined by the Company using available market information and appropriate valuation methodologies. Considerable judgment is required in interpreting market data to develop the estimates of fair value.

The carrying amounts reported in the consolidated balance sheets as of March 31, 2014 and March 31, 2013 for cash, accounts receivable and accounts payable approximate the fair value because of the immediate or short-term maturity of these financial instruments.  Each reporting period we evaluate market conditions including available interest rates, credit spreads relative to our credit rating and liquidity in estimating the fair value of our debt. After considering such market conditions, we estimate that the fair value of debt approximates its carrying value.

 
TEL-INSTRUMENT ELECTRONICS CORP

Notes To Consolidated Financial Statements

2.                   Summary of Significant Accounting Policies (Continued)

Concentrations of Credit Risk:
 
Cash held in banks: The Company maintains cash balances at a financial institution that is insured by the Federal Deposit Insurance Corporation (“FDIC”) up to federally insured limits. At times balances may exceed FDIC insured limits. The Company has not experienced any losses in such accounts.
 
Accounts Receivable: The Company’s avionics customer base is primarily comprised of airlines, distributors, and the U.S. Government. As of March 31, 2014, the Company believes it has no significant risk related to its concentration within its accounts receivable.
 
Inventories:
 
Inventories are stated at the lower of cost or market.  Cost is determined on a first-in, first-out basis.  Inventories are written down if the estimated net realizable value is less than the recorded value. The Company reviews the carrying cost of inventories by product to determine the adequacy of reserves for obsolescence. In accounting for inventories, the Company must make estimates regarding the estimated realizable value of inventory. The estimate is based, in part, on the Company’s forecasts of future sales and age of inventory. In accordance with industry practice, service parts inventory is included in current assets, although service parts are carried for established requirements during the serviceable lives of the products and, therefore, not all parts are expected to be sold within one year.
 
Equipment and Leasehold Improvements:
 
Office and manufacturing equipment are stated at cost, net of accumulated depreciation.  Depreciation and amortization are provided on a straight-line basis over periods ranging from 3 to 8 years.
 
Leasehold improvements are amortized over the term of the lease or the useful life of the asset, whichever is shorter.
 
Maintenance, repairs, and renewals that do not materially add to the value of the equipment nor appreciably prolong its life are charged to expense as incurred.
 
When assets are retired or otherwise disposed of, the cost and related accumulated depreciation are removed from the accounts and the resulting gain or loss is included in the Statements of Operations.
 

TEL-INSTRUMENT ELECTRONICS CORP

Notes To Consolidated Financial Statements

2.                   Summary of Significant Accounting Policies (Continued)

Engineering, Research and Development Costs:
 
Engineering, research and development costs are expensed as incurred.

Advertising Expenses:

Advertising expenses consist primarily of costs for direct advertising. The Company expenses all advertising costs as incurred, and classifies these costs under selling, general and administrative expenses.  Advertising costs amounted to $-0- and $200 for the years ended March 31, 2014 and 2013, respectively.

Deferred Revenues:

Amounts billed in advance of the period in which the service is rendered or product delivered are recorded as deferred revenue.  At March 31, 2014 and 2013, deferred revenues totaled $171,102 and $19,505, respectively. See above for additional information regarding our revenue recognition policies.

Progress Billings:

Progress billings are a form of government funding for fixed-price contracts that are provided in recognition of the need for working capital, for long lead items, and work in-process expenditures. These payments from the government are recorded as progress billings in the liability section of the balance sheet. These amounts are reduced as the end item product is shipped. At March 31, 2014 and 2013, progress billings totaled $775,475 and $-0-, respectively.

Net Income (Loss) per Common Share:

Basic net income (loss) per share attributable to common stockholders is computed by dividing net income (loss) by the weighted-average number of common shares outstanding during the period.  Diluted income per share is computed by dividing diluted net income by the weighted-average number of common shares outstanding during the period, including common stock equivalents, such as stock options and warrants using the treasury stock method.  Diluted loss per share is computed by dividing net loss by the weighted-average number of common shares outstanding during the period, and excludes the anti-dilutive effects of common stock equivalents.

Accounting for Income Taxes:
 
The Company accounts for income taxes using the asset and liability method described in FASB ASC 740, “Income Taxes”. Deferred tax assets arise from a variety of sources, the most significant being: a) tax losses that can be carried forward to be utilized against profits in future years; b) expenses recognized for financial reporting purposes but disallowed in the tax return until the associated cash flow occurs; and c) valuation changes of assets which need to be tax effected for book purposes but are deductible only when the valuation change is realized.
 
Deferred tax assets and liabilities are determined based on differences between financial reporting and tax bases of assets and liabilities and are measured using enacted tax rates and laws that are expected to be in effect when such differences are expected to reverse.  The measurement of deferred tax assets is reduced, if necessary, by a valuation allowance for any tax benefit which is not more likely than not to be realized. In assessing the need for a valuation
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements

2.                   Summary of Significant Accounting Policies (Continued)

Accounting for Income Taxes (continued):
 
allowance, future taxable income is estimated, considering the realization of tax loss carryforwards. Valuation allowances related to deferred tax assets can also be affected by changes to tax laws, changes to statutory tax rates and future taxable income levels. In the event it was determined that the Company would not be able to realize all or a portion of our deferred tax assets in the future, we would reduce such amounts through a charge to income in the period in which that determination is made. Conversely, if we were to determine that we would be able to realize our deferred tax assets in the future in excess of the net carrying amounts, we would decrease the recorded valuation allowance through an increase to income in the period in which that determination is made.  In its evaluation of a valuation allowance the Company takes into account existing contracts and backlog, and the probability that options under these contract awards will be exercised as well as sales of existing products. The Company prepares profit projections based on the revenue and expenses forecast to determine that such revenues will produce sufficient taxable income to realize the deferred tax assets.
 
The Company accounts for uncertainties in income taxes under ASC 740-10-50 which prescribes a recognition threshold and measurement attribute for the financial statement recognition and measurement of a tax position taken or expected to be taken in a tax return. ASC 740-10 requires that the Company determine whether the benefits of its tax positions are more-likely-than-not of being sustained upon audit based on the technical merits of the tax position. The Company recognizes the impact of an uncertain income tax position taken on its income tax return at the largest amount that is more-likely-than-not to be sustained upon audit by the relevant taxing authority. The implementation of ASC 740-10 had no impact on the Company’s results of operations or financial position.

Despite the Company’s belief that its tax return positions are consistent with applicable tax laws, one or more positions may be challenged by taxing authorities. Settlement of any challenge can result in no change, a complete disallowance, or some partial adjustment reached through negotiations or litigation.
 
Interest and penalties related to income tax matters, if applicable, will be recognized as income tax expense. During the years ended March 31, 2014 and 2013 the Company did not incur any expense related to interest or penalties for income tax matters, and no such amounts were accrued as of March 31, 2014 and 2013.

Stock-based Compensation:
 
The Company accounts for stock-based compensation utilizing the modified prospective method under FASB ASC 718 which requires the measurement of stock-based compensation based on the fair value of the award on the date of grant. The Company recognizes compensation cost on awards on a straight-line basis over the vesting period, typically four years. The Company estimates the fair value of each option granted using the Black-Scholes option-pricing model.
 
Additional information and disclosure are provided in Note 16.
 
Long-Lived Assets:
 
The Company assesses the recoverability of the carrying value of its long-lived assets whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. Recoverability of assets to be held and used is measured by a comparison of the carrying amount of an asset to future, undiscounted cash flows expected to be generated by an asset. If such assets are considered to be impaired, the impairment to be recognized is measured by the amount by which the carrying amount of the assets exceeds the fair value of the assets. Assets to be disposed of are reported at the lower of the carrying amount or fair value less costs to sell. No impairment losses have been recognized for the years ended March 31, 2014 and 2013, respectively.

 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)
 
2.                   Summary of Significant Accounting Policies (continued)

Use of Estimates:
 
The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires that management make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates.  The most significant estimates include income taxes, percentage-of-completion sales recognition, warranty claims, inventory and accounts receivable valuations.
 
Reclassifications:
 
Certain prior year amounts have been reclassified to conform to the current year presentation.
 
Accounts Receivable:
 
The Company performs ongoing credit evaluations of its customers and adjusts credit limits based on customer payment and current credit worthiness, as determined by review of their current credit information.  The Company continuously monitors credit limits for and payments from its customers and maintains provision for estimated credit losses based on its historical experience and any specific customer issues that have been identified.  While such credit losses have historically been within the Company’s expectation and the provision established, the Company cannot guarantee that this will continue.

Warranty Reserves:
 
Warranty reserves are based upon historical rates and specific items that are identifiable and can be estimated at time of sale.  While warranty costs have historically been within the Company’s expectations and the provisions established, future warranty costs could be in excess of the Company’s warranty reserves.  A significant increase in these costs could adversely affect the Company’s operating results for the period and the periods these additional costs materialize.  Warranty reserves are adjusted from time to time when actual warranty claim experience differs from estimates. For the year ended March 31, 2014 warranty costs were $288,685 as compared to $203,783 for the year ended March 31, 2013. These warranty reserves are included in Accrued expenses – other in the accompanying consolidated balance sheets.

Risks and Uncertainties:
 
The Company’s operations are subject to a number of risks, including but not limited to changes in the general economy, demand for the Company’s products, the success of its customers, research and development results, reliance on the government and commercial markets, litigation, and the renewal of its line of credit.  The Company has major contracts with the U.S. Government, which like all government contracts are subject to termination.
 
New Accounting Pronouncements:

In May 2014, FASB issued ASU 2014-09, "Revenue from Contracts with Customers." This ASU is a comprehensive new revenue recognition model that requires a company to recognize revenue to depict the transfer of good or services to a customer at an amount that reflects the consideration it expects to receive in exchange for those goods or services. This ASU is effective for annual reporting periods beginning after December 15, 2016 and early adoption is not permitted. Accordingly, the Company will adopt this ASU on April 1, 2017. Companies may use either a full retrospective or modified retrospective approach to adopt this ASU and management is currently evaluating which transition approach to use. The Company is currently evaluating the impact of ASU 2014-09.

No other recently issued accounting pronouncements had or are expected to have a material impact on the Company’s consolidated financial statements.
 
 
TEL-INSTRUMENT ELECTRONICS CORP

Notes To Consolidated Financial Statements (Continued)

3.                   Accounts Receivable
 
The following table sets forth the components of accounts receivable:
 
   
March 31,
 
   
2014
   
2013
 
Government
 
$
1,982,215
   
$
423,165
 
Commercial
   
140,707
     
153,654
 
Less: Allowance for doubtful accounts
   
(27,282
)
   
(18,940
)
   
$
2,095,640
   
$
557,879
 
 
4.                   Inventories
 
Inventories consist of:
 
   
March 31,
 
   
2014
   
2013
 
Purchased parts
 
$
3,085,070
   
$
4,418,989
 
Work-in-process
   
1,134,714
     
1,636,325
 
Finished  goods
   
10,607
     
385,867
 
Less: Allowance for obsolete inventory
   
(205,000
)
   
(200,000
)
   
$
4,025,391
   
$
6,241,181
 
 
Work-in-process inventory includes $1,092,928 and $1,236,593 for government contracts at March 31, 2014 and 2013, respectively.
 
5.                   Equipment and Leasehold Improvements
 
Equipment and leasehold improvements consist of the following:
 
   
March 31,
 
   
2014
   
2013
 
Leasehold Improvements
 
$
94,413
   
$
94,413
 
Machinery and equipment
   
1,516,332
     
1,474,192
 
Automobiles
   
28,452
     
4,741
 
Sales equipment
   
586,265
     
591,109
 
Assets under capitalized leases
   
610,995
     
610,995
 
Less: Accumulated depreciation & amortization
   
(2,385,584
)
   
(2,187,492
)
   
$
450,873
   
$
587,958
 
 
Depreciation and amortization expense related to the assets above for the years ended March 31, 2014 and 2013 was $202,936 and $228,069 respectively.

6.                   Intellectual Property

In January 2014, the Company received a $2.14 million contract modification on the ITATS program. The ITATS product (“AN/ARM-206”) is a fully automated TACAN test set for use in U.S. Navy Intermediate Level repair locations. This contract modification entails the sale of certain Intellectual Property (“IP”) to the U.S. Navy plus the sale of ancillary test support equipment and an increase in the recurring price to reflect several product enhancements. The Company sold certain IP in the amount of $1,526,795, of which $1,200,000 of the IP sale proceeds was paid to the Company’s subcontractor on this program to secure the IP.  As a result, the net amount of $326,795 is recorded in net sales in the accompanying Statement of Operations. As part of this agreement with the Company’s subcontractor, upon payment of the $1,200,000, the outstanding amount due to the subcontractor in the amount of $790,535 was discharged and is recorded as a reduction of cost of goods sold. The Company also received $117,095 for engineering enhancements for this program, which was recorded as sales in fiscal year 2014. The sale of the IP for the ITATS program should have no impact on future sales of these units to the U.S. Navy or other customers.
 

TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)
 
7.                   Accrued Expenses
 
Accrued vacation pay, deferred wages, payroll and payroll withholdings consist of the following:
 
   
March 31,
 
   
2014
   
2013
 
             
Accrued vacation pay
 
$
267,991
   
$
273,612
 
Accrued compensation and payroll withholdings
   
176,247
     
168,910
 
                 
   
$
444,238
   
$
442,522
 
 
Accrued vacation pay, payroll and payroll withholdings includes $48,529 and $40,500 at March 31, 2014 and 2013, respectively, which is due to officers.
 
Accrued expenses - other consist of the following:
 
   
March 31,
 
   
2014
   
2013
 
             
Accrued interest
 
$
17,672
   
$
110,751
 
Accrued outside contractor costs
   
104,610
     
882,351
 
Accrued commissions
   
188,840
     
8,448
 
Accrued legal costs
   
215,582
     
40,688
 
Warranty reserve
   
194,062
     
287,470
 
Accrued – other
   
198,521
     
95,294
 
                 
   
$
919,287
   
$
1,425,002
 
 
The following table provides a summary of the changes in warranty reserves for the years ended March 31, 2014 and 2013:

   
March 31, 2014
   
March 31, 2013
 
Warranty reserve, at beginning of period
 
$
287,470
   
$
271,629
 
Warranty expense
   
288,685
     
203,783
 
Warranty deductions
   
(382,093
)
   
(187,942
Warranty reserve, at end of period
 
$
194,062
   
$
287,470
 

Accrued expenses – related parties consists of the following:
 
   
March 31,
 
   
2014
   
2013
 
             
Interest due to the estate  
   of the Company’s former Chairman
 
$
61,518
   
46,518
 
Interest and other expenses due to
    the Company’s President/CEO
   
61,518
     
54,018
 
                 
   
$
123,036
   
$
100,536
 

 
TEL-INSTRUMENT ELECTRONICS CORP

Notes To Consolidated Financial Statements (Continued)

8.                   Income Taxes
 
Income tax (benefit) provision:
         
   
Fiscal Year Ended
 
   
March 31,
   
March 31,
 
   
2014
   
2013
 
Current:
           
               Federal
 
$
16,000
   
$
-
 
               State and local
   
3,500
     
3,911
 
                 
               Total current tax provision
   
19,500
     
3,911
 
                 
Deferred:
               
               Federal
   
401,283
     
(1,561,076
               State and local
   
22,062
     
13,585
 
              
               
               Total deferred tax provision  (benefit)
   
423,345
     
(1,547,491
                 
Total provision (benefit)
 
$
442,845
   
$
(1,543,580
 
The approximate values of the components of the Company’s deferred taxes at March 31, 2014 and 2013 are as follows:
 
   
March 31,
   
March 31,
 
   
2014
   
2013
 
Deferred tax assets:
           
   Net operating loss carryforwards
 
$
2,662,000
   
$
3,086,000
 
   Tax credits
   
283,000
     
279,000
 
   Allowance for doubtful accounts
   
9,000
     
7,000
 
   Reserve for inventory obsolescence
   
70,000
     
69,000
 
   Inventory capitalization
   
98,000
     
183,000
 
   Deferred payroll
   
30,000
     
-
 
   Vacation accrual
   
91,000
     
95,000
 
   Warranty reserve
   
66,000
     
100,000
 
   Deferred revenues
   
58,000
     
2,000
 
   Stock options
   
36,000
     
32,000
 
   Non-compete agreement
   
12,000
     
14,000
 
   Depreciation
   
(52,000
)
   
(82,000
)
   Deferred tax asset
   
3,363,000
     
3,785,000
 
   Less valuation allowance
   
-
     
1,000
 
                 
   Deferred tax asset, net
 
$
3,363,000
   
$
3,784,000
 
                 
   Deferred tax asset – current
 
$
1,090,000
   
$
1,238,000
 
   Deferred tax asset – long-term
   
2,273,000
     
2,546,000
 
   Total
 
$
3,363,000
   
$
3,784,000
 

 
TEL-INSTRUMENT ELECTRONICS CORP

Notes To Consolidated Financial Statements (Continued)

8.                   Income Taxes (Continued)

The recognized deferred tax asset is based upon the expected utilization of its benefit from future taxable income. The Company has federal net operating loss (“NOL”) carryforwards of approximately $7,819,000 as of March 31, 2014, of which approximately $225,000 is subject to limitations under Section 382 of the Internal Revenue Code. These carryforward losses are available to offset future taxable income, and begin to expire in the year 2027. NJ State NOL carryforwards approximate $7,021,000 as of March 31, 2014. NJ NOL carryforwards expire in 7 years, and certain of these amounts begin to expire in 2014.

The foregoing amounts are management’s estimates and the actual results could differ from those estimates. Future profitability in this competitive industry depends on continually obtaining and fulfilling new profitable sales agreements and modifying products.  The inability to obtain new profitable contracts or the failure of the Company’s engineering development efforts could reduce estimates of future profitability, which could affect the Company’s ability to realize the deferred tax assets.
 
A reconciliation of the income tax (benefit) provision at the statutory Federal tax rate of 34% to the income tax (benefit) provision recognized in the financial statements is as follows:
 
   
March 31,
   
March 31,
 
   
2014
   
2013
 
             
Income tax (benefit) provision  – statutory rate
 
$
239,487
   
$
(1,467,491
)
Income tax expenses – state and local, net of federal benefit
   
19,500
     
3,500
 
Permanent items
   
141,474
     
(38,350
)
True-up of prior years deferred taxes
   
19,536
     
(67,246
)
Change in state rate
   
-
     
85,945
 
Change in valuation allowance
   
(171
)
   
(49,718
)
Other
   
23,019
     
(10,220
)
                 
Income tax provision (benefit)
 
$
442,845
   
$
(1,543,580
)

9.                   Subordinated Notes – Related Parties

On February 22, 2010 the Company borrowed $250,000 in exchange for issuing Subordinated Notes to each of two Executive Officers and Directors in the amount of $125,000. Each officer and director also received 5,000 stock options at $8.00 per share, the market price at the date of grant. In September 2010, these officers/directors entered into an Intercreditor and Subordination agreement which subordinated their loans to the BCA Loan Agreement (see Note 10 to Notes to Consolidated Financial Statements).  The notes were to become due April 1, 2011 with an interest rate of 1% per month, payable on a monthly basis within 14 days of the end of each month. The Intercreditor  and Subordination Agreement amongst the parties precludes the payment of principal or interest under these subordinated notes unless and until the Senior Obligations have been paid in full or without the express written consent of Senior Lender.  The Subordinated Note Holders agree that the Company’s failure to pay the monthly interest amounts pursuant to the terms of the February 22, 2010 Subordinated Notes will not constitute an event of default on the Notes if the Company is precluded from making these payments pursuant to the limitations included in the loan agreement with BCA. During fiscal year 2012, the Company’s Chairman, at the time, passed away. His surviving spouse has retained this Subordinated Note and continues to acknowledge the terms. Total interest expense for both amounted to $30,000 for the years ended March 31, 2014 and 2013.

 
TEL-INSTRUMENT ELECTRONICS CORP

Notes To Consolidated Financial Statements (Continued)

10.                 Long-Term Debt

BCA Mezzanine Fund LLP

In September 2010 the Company entered into an agreement with BCA Mezzanine Fund LLP (“BCA”) to loan the Company $2.5 million in the form of a Promissory Note (“the “Note”). The Company incurred expenses of $541,604 in connection with this loan, including legal fees, investment banking fees and other transaction fees, including third party warrants exercisable for 10,416 shares at $6.70 per share for five years in conjunction with the BCA loan as a finder’s fee.  These expenses are included as deferred financing costs in the accompanying balance sheets, and are being amortized over the term of the loan using the straight-line method which approximates the effective interest rate method. For the years ended March 31, 2014 and 2013, the Company recorded amortization of deferred financing costs in the amount of $108,321. As of March 31, 2014, the Company had unamortized deferred financing costs in the amount of $156,463 of which $108,321 is classified as a current asset and $48,142 as long-term.   As of March 31, 2013, the Company had unamortized deferred financing costs in the amount of $264,784 of which $108,321 is classified as a current asset and $146,463 as long-term.  
 
The Company also issued warrants to BCA for 136,920 shares at $6.70 per share for nine years in conjunction with the loan. In connection with the initial warrants issued with this debt, the Company recorded a debt discount of $267,848. The debt discount is being amortized over the life of the loan. For each of the years ended March 31, 2014 and 2013, the Company recorded amortization of debt discount in the amount of $53,570.  As of March 31, 2014 and 2013, the Company had unamortized discount of $77,378 and $130,948, respectively, and are classified as a reduction of long-term debt in the accompanying consolidated balance sheets.

The features of the note are as follows:

 
1. 
The Note has a term of five (5) years with an annual interest rate of 14% on the outstanding principal amount. Payments for the first year were interest only and amounted to $28,762 monthly.  In September 2011, the Company began making monthly payments of approximately $69,000 for interest and principal for the remaining term of the loan. BCA had agreed to allow the Company to defer principal payments for the three months ended September 30, 2012. BCA has also agreed to allow the Company to defer principal payments due on October 31, 2012 November 30, 2012, and June 30, 2013. These amounts are deferred until September 2015. BCA has also agreed to allow the Company to defer principal payments due on December 31, 2012 and January 31, 2013 to February 2013, at which time the Company paid these deferred principal payments.
 
 
 
2. 
At inception, the Company issued BCA  a nine-year warrant for 136,920 shares, based upon 4.5% of the fully –diluted outstanding shares of the Company’s common stock at $6.70 per share, the average closing price over the three days preceding the loan closing on the NYSE-MKT Exchange. In the event of specific major corporate events or the maturity of the five-year loan, BCA can require the Company to purchase the warrant and warrant shares at the higher of the then Exchange market price less the share exercise price, in the case of the warrant, or five times operating income per share. In connection with the warrant issued in conjunction with this debt, the Company recorded a debt discount (see above) and warrant liability, which is marked to fair value at the end of each period (see Note 20 to Notes to the Consolidated Financial Statements). The debt discount is being amortized over the life of the loan.
 
 
 
3. 
Loan provisions also contain customary representations and warranties.
 
 
 
4. 
BCA has a lien on all of the Company’s assets. In February 2011, BCA agreed to release part of its lien on Company assets to the U.S. Government to allow for progress billings up to $1,000,000.
 
 
 
5. 
The Company was required to pay prepayment fees if the Company decided to prepay a portion of the principal amount during the first two years of the loan. The Company may now prepay a portion of the principal amount without any prepayment penalty.  Each payment must be not less than $25,000 or multiples of $25,000 in excess thereof.
 
 
TEL-INSTRUMENT ELECTRONICS CORP

Notes To Consolidated Financial Statements (Continued)

10.                 Long-Term Debt (continued)

                        BCA Mezzanine Fund LLP (continued)

 
6. 
Upon the occurrence of a Change of Control or within five (5) Business Days of an O’Hara Life Insurance Realization Event, the Company shall, in each case at the election of BCA, prepay by wire transfer the entire outstanding principal amount of the Note in accordance with the redemption prices (the “Mandatory redemption Prices”) set forth below (expressed as a percentage of the outstanding principal amount being prepaid and shall pay 103% in the first loan year, 102% in the second loan year, and 100% thereafter), together with (x) Interest, if any, accrued and unpaid on the outstanding principal amount of the Note so prepaid through the date of such prepayment, (y) all reasonable out-of-pocket costs and expenses (including reasonable fees, charges and disbursements of counsel), if any, associated with such prepayment, and (z) all other costs, expenses and indemnities then payable under this Agreement (such amounts, collectively the “Mandatory Redemption Payment”).  If a Change of Control or O’Hara Life Insurance Realization Event shall occur during any Loan Year set forth below, the Mandatory Redemption Price shall be determined based upon the percentage indicated above for such Loan Year multiplied by the principal amount which is being prepaid.  At the   election of BCA, all or any portion of the Mandatory Redemption Payment may be paid in the form of Marketable Securities in lieu of cash and to the extent available and to the extent not restricted by any SBIC Regulations.  In the event BCA makes the election contemplated by the immediately preceding sentence, the Issuer shall issue to Purchaser that number of shares having an aggregate Current Market Price as of such issuance date equal to that portion of the Mandatory Redemption Payment subject to such election.
 
 
7.  
The BCA notes contain a number of affirmative and negative covenants which could restrict our operations.  For the quarter ended March 31, 2014, the Company was not in compliance with two covenants related to maintaining agreed upon financial ratios for fixed charges and debt service. In June 2014, the Company was granted a waiver for non-compliance of the financial covenants as of March 31, 2014.
 
 
8.  
The Company and BCA have amended certain provisions to ease some restrictions, including non-compliance with financial covenants, deferral of principal payments, and approval to obtain progress payments from the government.
 
In consideration for the waiver for non-compliance of the financial covenants at March 31, 2012, BCA received warrants to purchase 20,000 shares of the Company’s common stock. The common stock underlying the warrant is exercisable at a price of $3.35 per share and the warrants expire on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.  The fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant was charged to debt discount in the accompanying balance sheet in the amount of $26,477 for the year ended March 31, 2013 and will be amortized over the remaining term of the loan.

In consideration for the waiver for non-compliance of the financial covenants as September 30, 2012 and for the deferral of principal payments due on October 31 and November 30, 2012 to the end of the term of the loan (maturity), BCA received warrants to purchase 20,000 shares of the Company’s common stock. The common stock underlying the warrants is exercisable at a price of $3.56 per share and the warrant expires on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.  The fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant was charged to debt discount in the accompanying balance sheet in the amount of $21,441 for the year ended March 31, 2013 and will be amortized over the remaining term of the loan.
 
In consideration for the waiver for non-compliance of the financial covenants as December 31, 2012 and for the deferral of principal payments due on December 31, 2012 and January 31, 2013, BCA received warrants to purchase 20,000 shares of the Company’s common stock. The common stock underlying the warrant is exercisable at a price of $3.58 per share and the warrants expire on September 10, 2019. Fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant was charged to debt discount in the accompanying balance sheet in the amount of $23,714 for the year ended March 31, 2013 and will be amortized over the remaining term of the loan. (see Note 20).  In addition, the Company agreed to pay an additional closing fee of 1% of the original principal in the amount of $25,000, which is also being amortized over the remaining term of the loan.
 
 
TEL-INSTRUMENT ELECTRONICS CORP

Notes To Consolidated Financial Statements (Continued)

10.                 Long-Term Debt (continued)
 
BCA Mezzanine Fund LLP (continued)

In consideration for the waiver for non-compliance of the financial covenants at March 31, 2013, on July 12, 2013, BCA received warrants to purchase 20,000 shares of the Company’s common stock. The common stock underlying the warrants is exercisable at a price of $3.33 per share and the warrants expire on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.  The fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant will be recorded as a debt discount of $19,523, and will be amortized over the remaining life of the loan.

In consideration for the waiver for non-compliance of the financial covenants at June 30, 2013, on August 12, 2013, BCA received warrants to purchase 20,000 shares of the Company’s common stock. The common stock underlying the warrants is exercisable at a price of $3.69 per share and the warrants expire on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.  The fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant will be recorded as a debt discount of $21,587, and will be amortized over the remaining life of the loan.

In consideration for the waiver for non-compliance of the financial covenants at September 30, 2013, on November 12, 2013, the Company incurred an incremental fee of $10,000, which was recorded as a debt discount and will be amortized over the remaining life of the loan.

For the quarter ended December 31, 2013, the Company was not in compliance with four covenants related to maintaining agreed upon financial ratios for fixed charges, leverage and debt service as well as a requirement for earnings before interest, taxes, depreciation and amortization (EBITDA). On February 13, 2014 the Company received a waiver from BCA on each of the above mentioned covenants.  In consideration for this waiver for non-compliance of the financial covenants, the Company incurred an incremental fee of $10,000, which was recorded as a debt discount and will be amortized over the remaining life of the loan.

Total amortization expense associated with the initial warrants, additional warrants and fees were $104,644 and $57,570 for the years ended March 31, 2014 and 2013, respectively.   As of March 31, 2014 and 2013, the Company had unamortized discount associated with the initial warrants, additional warrants and fees of $174,046 and $217,580, respectively, and are classified as a reduction of long-term debt in the accompanying consolidated balance sheets.

All warrants issued to BCA are recorded as a liability and are marked to fair value each reporting period, and the resulting change is reflected in the consolidated statements of operations (see Note 20). 

Private Investor

On July 26, 2012 the Company entered into a securities purchase agreement (the “Securities Purchase Agreement”) with a private investor (the “Private Investor”).  Pursuant to the terms of the Purchase Agreement, the Company issued (i) a senior secured promissory note in favor of the Private Investor in the aggregate principal amount of $600,000, approximately $489,000 net of expenses, accruing interest at a rate of 14% per annum and (ii) a common stock purchase warrant to purchase 50,000 shares of the Company’s common stock, par value $0.10 per share. The Note, together with all unpaid interest and principal was due on March 31, 2013.  The common stock underlying the warrant is exercisable at a price of $3.35 per share and the warrant expires on September 10, 2019. In conjunction with the Purchase Agreement the Company entered into an (i) Investor Rights Agreement, (ii) Securities Agreement, (iii) Intercreditor Agreement and (iv) Subordination Agreement. 
 
In connection with the warrants issued in conjunction with this debt, the Company recorded a debt discount and warrant liability, which is being marked to fair value at the end of each period (see Note 20 to Notes to the Consolidated Financial Statements).  The Company adjusts the value of the warrant liability (see Note 20) to fair value and recognizes the change in valuation in our statement of operations each reporting period. Determining the the fair value of the warrant liability requires estimates to be used utilizing the Black-Scholes valuation model and the value at issuance was $66,193. The corresponding debt discount was amortized over the life of the loan and was fully amortized as of March 31, 2013.
 
 
TEL-INSTRUMENT ELECTRONICS CORP

Notes To Consolidated Financial Statements (Continued)

10.                 Long-Term Debt (continued)

Private Investor (continued)

The promissory note, dated July 26, 2012 with the Private Investor, contains a number of affirmative and negative covenants which restrict our operations.  For the quarter ended March 31, 2013, the Company was not in compliance with four covenants related to maintaining agreed upon financial ratios for fixed charges, leverage and debt service as well as a requirement for earnings before interest, taxes, depreciation and amortization (EBITDA).  However, the Company received a waiver on each of the above mentioned covenants.

The Company did not pay the $600,000 due as of March 31, 2013. As a consequence the Company incurred a $25,000 penalty and the default interest of an additional 10%. The Company paid the default interest for the month of April. Effective May 31, 2013, the Private Investor converted the outstanding principal of $600,000, penalty of $25,000 and accrued interest for the month of May 2013 in the amount of $12,400 for a total of $637,400 into 200,000 shares of the Company’s common stock at a price of $3.187 per share. The fair value of these shares at the date of conversion was $3.32 per share. As such, the Company recorded a loss on the extinguishment of debt in the amount of $26,600 and this amount is included in the accompanying statement of operations. As further consideration to the Private Investor, the Company agreed that each time the Company issues any new shares of its common stock in the next two years (excluding the exercise of existing stock options and warrants currently outstanding), at a price lower than a purchase price of $3.187 per share, the Company will issue additional shares to the Private Investor, for no additional consideration, based on the differential between the $3.187 price and the price paid for the newly issued shares of common stock.  No new shares have been issued to the Private Investor.

Automobile Loan

In March 2014, the Company entered into a loan with Ford Credit for its van in the amount of $23,712. The Note has a term of five (5) years with an annual interest rate of 8.79% with monthly payments of $492.  The outstanding balance at March 31, 2014 was $23,538.

The annual maturities of long-term debt for the five fiscal years subsequent to March 31, 2014 are as follows:

2015
 
$
718,848
 
2016
   
755,375
 
2017
   
4,751
 
2018
   
5,186
 
2019
   
5,260
 
         
Total Principal
   
1,489,420
 
Less: Debt Discount
   
(174,046
)
Total Debt
 
$
1,315,374
 

11.                 Note Payable – Related Payable

In June 2013, a related party received a note payable from the Company in exchange for $100,000 which the Company used for working capital needs. On July 24, 2013, the related party converted its note payable in the amount of $100,000 into 31,348 shares of the Company’s common stock at a price of $3.187 per share. The price was approved by the board of directors (the “Board”) of the Company and was the same price as the 200,000 shares issued to the Private Investor upon the conversion of debt on May 31, 2013. The fair value of these shares at the date of conversion was $3.86 per share. As such, in July 2013, the Company recorded additional interest expense of $21,003.

 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)

12.                 Commitments
 
The Company leases its only facility in East Rutherford, NJ under an operating lease agreement which expires July 31, 2016. The Company also has an option to renew this lease for an additional 5 years after expiration. Under terms of the lease, the Company is also responsible for its proportionate share of the additional rent to include, all real estate taxes, insurance, snow removal, landscaping and other building charges. The Company is also responsible for the utility costs for the premises.
 
In addition, the Company has agreements to lease equipment for use in the operations of the business under operating leases.

The following is a schedule of approximate future minimum rental payments for operating leases subsequent to the year ended March 31, 2014.
 
   
Years Ended March 31,
 
2015
 
$
267,660
 
2016
   
254,840
 
2017
   
84,947
 
2018
   
--
 
2019
   
--
 
   
$
607,447
 
                
Total rent expense, including common charges related to the building as well as equipment rentals, was approximately $312,000 and $314,000 for the years ended March 31, 2014 and 2013, respectively.
 
The Company sponsors a 401k Plan in which employee contributions on a pre-tax basis are supplemented by matching contributions by the Company. The Company charged to operations $18,585 and $21,768 as its matching contribution to the Company’s 401k Plan for the years ended March 31, 2014 and 2013, respectively.
 
13.                 Capitalized Lease Obligations

The Company has entered into lease commitments for furniture and equipment that meet the requirements for capitalization. The equipment has been capitalized and shown in equipment and leasehold improvements in the accompanying balance sheets.  The related obligations are also recorded in the accompanying consolidated balance sheets and are based upon the present value of the future minimum lease payments with interest rates ranging from 12% to 15%.  The net book value of equipment acquired under capitalized lease obligations amounted to $164,274 and $192,386 at March 31, 2014 and 2013, respectively. There were no new capital lease obligations during fiscal years 2014 and 2013.  As of March 31, 2014 and 2013, accumulated amortization under capital leases was $446,721 and $418,608, respectively.

At March 31, 2014, future payments under capital leases are as follows over each of the next five fiscal years:
 
 2015
 
$
59,592
 
 2016
   
18,685
 
 2017
   
4,670
 
 2018
   
--
 
 2019
   
--
 
Total minimum lease payments
   
82,947
 
Less amounts representing interest
   
(8,019
)
Present value of net minimum lease payments
   
74,928
 
Less current portion
   
(53,608
)
Long-term capital lease obligation
 
$
21,320
 
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)
 
14.                 Significant Customer Concentrations
 
For the years ended March 31, 2014 and 2013, sales to the U.S. Government represented approximately 64% and 65%, respectively of net sales.  No other individual customer represented over 10% of net sales for these years.  No customer or distributor accounted for more than 10% of commercial or government net sales.

Net sales to foreign customers were $2,517,159 and $933,426 for the years ended March 31, 2014 and 2013, respectively.  All other sales were to customers located in the U.S. The following table presents net sales by U.S. and foreign countries:

   
2014
   
2013
 
United States
 
$
13,311,132
   
$
6,893,832
 
Foreign countries
   
2,517,159
     
933,426
 
Total Avionics Sales
 
$
15,828,291
   
$
7,827,258
 

Net sales related to any single foreign country did not comprise more than 10% of consolidated net avionics sales. The Company had no assets outside the United States.

As of March 31, 2014, two customers accounted for a total of 60% of the Company’s outstanding accounts receivable. As of March 31, 2013, one individual customer balance represented 13% of the Company’s outstanding accounts receivable. Receivables from the U.S. Government represented approximately 26% and 53%, respectively, of total receivables at March 31, 2014 and 2013, respectively.

15.                 Subscription Agreements
 
On September 26, 2012, the Company secured an equity purchase commitment for up to $500,000 in total from the Chief Executive Officer, a director and an affiliate to the Company to be called upon at the Company’s discretion. The stock subscription agreements provide for the sale of up to $500,000 of newly issued restricted shares at a price of $3.60 per share, the closing average price of the Company’s common stock following the signing of the individual stock subscription agreements. All of the $500,000 has been called upon by the Company as of December 31, 2012, and the Company issued 138,890 shares of restricted stock in exchange for this amount to the three investors.   This financing was used for general business purposes.

The price was determined to be fair by a Special Valuation Committee of the Board, composed of Messrs. Robert H. Walker and Robert A. Rice, who did not participate in this share purchase.

In November 2012, the Company received $500,000 from an investment group in exchange for 149,534 shares of newly issued Company common stock at a price of $3.35 per share. These funds were also used for general operating purposes.

16.                 Stock Option Plans
 
In March 2006, the Board of Directors adopted the 2006 Stock Option Plan (“the Plan”) which reserved for issuance options to purchase up to 250,000 shares of its Common Stock.  The stockholders approved the Plan at the December 2006 annual meeting.  The Plan, which has a term of ten years from the date of adoption, is administered by the Board of Directors or by a committee appointed by the Board of Directors. The selection of participants, allotment of shares, and other conditions related to the grant of options, to the extent not set forth in the Plan, are determined by the Board of Directors.  Options granted under the Plan are exercisable up to a period of 5 years from the date of grant at an exercise price which is not less than the fair market value of the common stock at the date of grant, except as to a stockholder owning 10% or more of the outstanding common stock of the Company, as to whom the exercise price must not be less than 110% of the fair market value of the common stock at the date of grant. Options, for the most part are exercisable, on a cumulative basis, 20% at or after each of the first, second, and third anniversary of the grant and 40% after the fourth year anniversary. These terms can be modified based upon approval of the Board of Directors.
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)
 
16.                 Stock Option Plan (continued)
 
The fair value of each option awarded is estimated on the date of grant using the Black-Scholes option valuation model that uses the assumptions noted in the following table. Expected volatilities are based on historical volatility of the Company’s stock. The expected life of the options granted represents the period of time from date of grant to expiration (5 years). The risk-free interest rate is based on the U.S. Treasury yield in effect at the time of grant. The per share weighted-average fair value of stock options granted for the years ended March 31, 2014 and 2013 was $1.76 and $1.40, respectively, on the date of grant using the Black Scholes option-pricing model with the following assumptions:

   
Dividend Yield
   
Risk-free Interest rate
   
Volatility
    Life
2014
   
0.0
%
    1.37
%
    46.31
%
 
5 years
2013
   
0.0
%
    0.79
%
    45.30
%
 
5 years

A summary of the status of the Company’s stock option plans for the fiscal years ended March 31, 2014 and 2013 and changes during the years are presented below: (in number of options):
 
   
Number of Options
   
Average Exercise Price
 
Average Remaining
Contractual Term
 
Aggregate Intrinsic
Value
 
Outstanding options at April 1, 2012
   
201,100
   
$
5.14
         
Options granted
   
10,000
   
$
3.50
         
Options exercised
   
(39,100
)
 
$
3.53
         
Options canceled/forfeited
   
(57,400
)
 
$
5.17
         
                         
Outstanding options at March 31, 2013
   
114,600
   
$
5.53
 
2.0 years
 
$
-0-
 
Options granted
   
10,000
   
$
4.22
           
Options exercised
   
(8,300
)
 
$
3.98
           
Options canceled/forfeited
   
(28,300
)
 
$
3.67
           
                           
Outstanding options at March 31, 2014
   
88,000
   
$
6.12
 
2.0 years
 
$
11,200
 
Vested Options:
                         
      March 31, 2014:
   
61,800
   
$
6.12
 
1.2 years
 
$
9,200
 
      March 31, 2013:
   
71,100
   
$
5.14
 
1.4 years
 
$
-0-
 
 
Remaining options available for grant were 237,278 and 218,978 as of March 31, 2014 and 2013, respectively.
 
The total intrinsic value of options exercised during the years ended March 31, 2014 and 2013 were $3,760 and $38,940, respectively. Cash received from the exercise of stock options for the years ended March 31, 2014 and 2013 was $33,020 and $138,090, respectively.
 
For the years ended March 31, 2014 and 2013, the unamortized compensation expense for stock options was $39,255 and $108,807, respectively. Unamortized compensation expense is expected to be recognized over a weighted-average period of approximately 1 year.
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)
 
16.                 Stock Option Plan (continued)
 
A summary of the Company’s non-vested shares as of March 31, 2014, and changes during the year ended March 31, 2014 is presented below:

Non-vested Shares
 
Shares
   
Weighted-Average
Grant-Date
Fair value
 
             
Non-vested at April 1, 2013
   
43,500
   
$
6.18
 
Granted
   
10,000
   
$
4.22
 
Vested
   
(27,300
)
 
$
5.52
 
Forfeited
   
-
   
$
-
 
Non-vested at March 31, 2014
   
26,200
   
$
6.13
 

The compensation cost that has been charged was $84,742 and $81,517 for the fiscal years ended March 31, 2014 and 2013, respectively. The total income tax benefit recognized in the statement of operations for share-based compensation arrangements was $3,468 and $7,190 for the fiscal years ended March 31, 2014 and 2013, respectively, and relates to the compensation cost associated with non-qualified stock options

17.                 Net Diluted Income (Loss) per Share

Net income (loss) per share has been computed according to FASB ASC 260, “Earnings per Share,” which requires a dual presentation of basic and diluted earnings (loss) per share (“EPS”). Basic EPS represents net (loss) income divided by the weighted average number of common shares outstanding during a reporting period. Diluted EPS reflects the potential dilution that could occur if securities, including warrants and options, were converted into common stock. The dilutive effect of outstanding warrants and options is reflected in earnings per share by use of the treasury stock method. In applying the treasury stock method for stock-based compensation arrangements, the assumed proceeds are computed as the sum of the amount the employee must pay upon exercise and the amounts of average unrecognized compensation costs attributed to future services.

   
March 31, 2014
   
March 31, 2013
 
Basic net income (loss) per share computation:
           
  Net income(loss)
 
$
261,528
   
$
(2,772,571
)
  Weighted-average common shares outstanding
   
3,204,028
     
2,834,257
 
  Basic net  income (loss) per share
 
$
0.08
   
$
(0.98
)
Diluted net income (loss) per share computation
               
  Net income (loss)
 
$
261,528
   
$
(2,772,571
)
  Add: Change in fair value of warrants
   
71,757
        -  
  Diluted income (loss)
   
333,285
        (2,772,571
  Weighted-average common shares outstanding
   
3,204,028
     
2,834,257
 
  Incremental shares attributable to the assumed exercise
     of outstanding stock options and warrants
   
24,866
     
-
 
  Total adjusted weighted-average shares
   
3,228,894
     
2,834,257
 
  Diluted net income (loss) per share
 
$
0.10
   
$
(0.98
)
 
For the year ended March 31, 2014, 78,000 stock options and 147,336 warrants were excluded from the computation of diluted income per share as their effect would be anti-dilutive.

For the year ended March 31, 2013, all outstanding warrants and options were excluded from the computation of diluted loss per share because their effect would be anti-dilutive.
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)

18.                 Segment Information

In accordance with FASB ASC 280, “Disclosures about Segments of an Enterprise and related information”, the Company determined it has two reportable segments - avionics government and avionics commercial. There are no inter-segment revenues.

The Company is organized primarily on the basis of its avionics products.  The avionics government segment consists primarily of the design, manufacture, and sale of test equipment to the U.S. and foreign governments and militaries either directly or through distributors.  The avionics commercial segment consists of design, manufacture, and sale of test equipment to domestic and foreign airlines, directly or through commercial distributors, and to general aviation repair and maintenance shops. The Company develops and designs test equipment for the avionics industry and as such, the Company’s products and designs cross segments.

Management evaluates the performance of its segments and allocates resources to them based on gross margin. The Company’s general and administrative costs and sales and marketing expenses, and engineering costs are not segment specific. As a result, all operating expenses are not managed on a segment basis.  Net interest includes expenses on debt and income earned on cash balances, both maintained at the corporate level. Segment assets include accounts receivable and work-in-process inventory. Asset information, other than accounts receivable and work-in-process inventory, is not reported, since the Company does not produce such information internally.  All long-lived assets are located in the U.S.

The table below presents information about reportable segments for the years ended March 31:
 
2014
 
Avionics
Government
   
Avionics
Commercial
   
Avionics
Total
   
Corporate/
Reconciling Items
   
 
Total
 
Net sales
 
$
13,726,976
   
$
1,774,520
   
$
15,501,496
   
$
326,795
(1)  
$
15,828,291
 
Cost of Sales
   
8,003,137
     
1,461,267
     
9,464,404
     
-
     
9,464,404
 
                                         
Gross Margin
   
5,723,839
     
313,253
     
6,037,092
     
326,795
     
6,363,887
 
                                         
Engineering, research, and
Development
                   
1,853,338
      -      
1,853,338
 
Selling, general, and administrative
                   
1,372,342
     
1,774,305
     
3,146,647
 
Amortization of debt discount
                   
-
     
104,644
     
104,644
 
Amortization of deferred financing costs
                   
-
     
108,321
     
108,321
 
Change in fair value of common
stock warrant
                   
-
     
114,869
 
   
114,869
 
Loss on extinguishment of debt                   -      
26,600
      26,600  
Interest expense, net
                 
-
     
305,095
     
305,095
 
                     
3,225,680
     
2,433,834
     
5,659,514
 
Income (loss) before income taxes
                 
$
2,811,412
 
 
$
(2,107,039
)
 
$
704,373
 
                                         
Segment Assets
 
$
5,801,273
   
$
319,758
   
$
6,121,031
   
$
4,513,322
   
$
10,634,353
 
 
(1) Represents sale of intellectual property
 
 
 TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)
 
18.                 Segment Information (continued)
 
2013
 
Avionics
Government
   
Avionics
Commercial
   
Avionics
Total
   
Corporate/
Reconciling Items
   
 
Total
 
Net sales
 
$
5,779,947
   
$
2,047,311
   
$
7,827,258
   
$
-
   
$
7,827,258
 
Cost of Sales
   
4,934,322
     
1,931,714
     
6,866,036
     
-
     
6,866,036
 
                                         
Gross Margin
   
845,625
     
115,597
     
961,222
     
 -
     
961,222
 
                                         
Engineering, research, and
Development
                   
2,149,591
             
2,149,591
 
Selling, general, and administrative
                   
1,162,608
     
1,402,029
     
2,564,637
 
Amortization of debt discount
                   
-
     
129,763
     
129,763
 
Amortization of deferred financing costs
                   
-
     
219,662
     
219,662
 
Change in fair value of
    common stock warrant
                   
-
     
(294,785
)
   
(294,785
)
Interest expense, net
                 
-
     
508,505
     
508,505
 
                     
3,312,199
     
1,965,174
     
5,277,373
 
Loss before income taxes
                 
$
(2,350,977
)
 
$
(1,965,174
)
 
$
(4,316,151
)
                                         
Segment Assets
 
$
5,191,777
   
$
1,651,204
   
$
6,848,981
   
$
5,070,453
   
$
11,919,434
 
 
19.                 Quarterly Results of Operations (Unaudited)

Quarterly consolidated data for the years ended March 31, 2014 and 2013 is as follows:

 FY 2014
 
June 30
   
September 30
   
December 31
   
March 31
   
Net sales
  $ 3,199,975     $ 4,034,581     $ 4,089,029     $ 4,504,706    
Gross margin
    1,186,158       1,275,749       1,395,687       2,506,293   (1)
Income (loss) before taxes
    (103,641 )     (61,614 )     (87,081 )     956,709    
Net income (loss)
    (85,772 )     (72,474 )     (145,933 )     565,707    
Basic income (loss) per share
    (0.03 )     (0.02 )     (0.04 )     0.17    
Diluted income (loss) per share
    (0.03 )     (0.02 )     (0.04 )     0.14    

   
Quarter Ended
   
FY 2013
 
June 30
   
September 30
   
December 31
   
March 31
   
                           
Net sales
  $ 1,177,288     $ 2,394,950     $ 2,350,020     $ 1,905,000    
Gross margin
    283,694       602,423       453,368       (378,263 ) (2)
Income before taxes
    (832,344 )     (878,276 )     (848,965 )     (1,756,566  
Net income (loss) (1)
    (668,800 )     (429,705 )     (545,177 )     (1,128,889  
Basic income (loss) per share (1)
    (0.25 )     (0.16 )     (0.19 )     (0.38  
Diluted income (loss) per share (1)
    (0.25 )     (0.16 )     (0.19 )     (0.38  
 
(1) As part of the agreement with the Company’s subcontractor to secure the IP (see Note 6), upon payment of the $1,200,000, the outstanding amount due to the subcontractor in the amount of $790,535 was discharged and is recorded as a reduction of cost of goods sold.

(2) During the fourth quarter of fiscal 2013, the Company recorded a write down of inventory of approximately of $180,000 related to book to physical adjustments, approximately $200,000 of additional third party costs related to vendor services, manufacturing variances, and incurred charges related to temporarily curtailing production in order to enhance quality procedures in its production process. 
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)

20.                 Fair Value Measurements

FASB ASC 820, “Fair Value Measurements” defines fair value, establishes a framework for measuring fair value under generally accepted accounting principles and prescribes disclosures about fair value measurements.

As defined in ASC 820, fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (exit price). The Company utilizes market data or assumptions that market participants would use in pricing the asset or liability, including assumptions about risk and the risks inherent in the inputs to the valuation technique. These inputs can be readily observable, market corroborated, or generally unobservable. The Company classifies fair value balances based on the observability of those inputs. ASC 820 establishes a fair value hierarchy that prioritizes the inputs used to measure fair value. The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (level 1 measurement) and the lowest priority to unobservable inputs (level 3 measurement).
 
The three levels of the fair value hierarchy defined by ASC 820 are as follows:

Level 1 – Quoted prices are available in active markets for identical assets or liabilities as of the reporting date. Active markets are those in which transactions for the asset or liability occur in sufficient frequency and volume to provide pricing information on an ongoing basis. Level 1 primarily consists of financial instruments such as exchange-traded derivatives, marketable securities and listed equities.

Level 2 – Pricing inputs are other than quoted prices in active markets included in level 1, which are either directly or indirectly observable as of the reported date. Level 2 includes those financial instruments that are valued using models or other valuation methodologies. These models are primarily industry-standard models that consider various assumptions, including quoted forward prices for commodities, time value, volatility factors, and current market and contractual prices for the underlying instruments, as well as other relevant economic measures. Substantially all of these assumptions are observable in the marketplace throughout the full term of the instrument, can be derived from observable data or are supported by observable levels at which transactions are executed in the marketplace. Instruments in this category generally include non-exchange-traded derivatives such as commodity swaps, interest rate swaps, options and collars.

Level 3 – Pricing inputs include significant inputs that are generally less observable from objective sources. These inputs may be used with internally developed methodologies that result in management’s best estimate of fair value.

The valuation techniques that may be used to measure fair value are as follows:

Market approach — Uses prices and other relevant information generated by market transactions involving identical or comparable assets or liabilities

Income approach — Uses valuation techniques to convert future amounts to a single present amount based on current market expectations about those future amounts, including present value techniques, option-pricing models and excess earnings method

Cost approach — Based on the amount that currently would be required to replace the service capacity of an asset (replacement cost)

The carrying value of the Company’s borrowings is a reasonable estimate of its fair value as borrowings under the Company’s credit facility have variable rates that reflect currently available terms and conditions for similar debt.

The Company’s assessment of the significance of a particular input to the fair value measurement requires judgment, and may affect the valuation of fair value assets and liabilities and their placement within the fair value hierarchy levels.
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)

20.                 Fair Value Measurements (continued)

The following table sets forth by level within the fair value hierarchy the Company’s financial assets and liabilities that were accounted for at fair value as of March 31, 2014 and March 31, 2013. As required by FASB ASC 820, financial assets and liabilities are classified in their entirety based on the lowest level of input that is significant to the fair value measurement.
                             
March 31, 2014
 
Level I
   
Level II
   
Level III
   
Total
 
                         
Warrant Liability
 
$
-
   
$
-
   
$
354,309
   
$
354,309
 
Total Liabilities
 
$
-
   
$
-
   
$
354,309
   
$
354,309
 

March 31, 2013 
 
Level I
   
Level II
   
Level III
   
Total
 
                         
Warrant Liability
 
$
-
   
$
-
   
$
198,330
   
$
198,330
 
Total Liabilities
 
$
-
   
$
-
   
$
198,330
   
$
198,330
 
 
The guidance in ASC 815, “Derivatives and Hedging”, requires that we mark the value of our warrant to market and recognize the change in valuation in our statement of operations each reporting period. Determining the warrant liability to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant. The fair value of the warrant is calculated using the Black-Scholes valuation model.
 
The following table provides a summary of the changes in fair value of our Level 3 financial liabilities for the years ended March 31, 2014 and 2013 as well as the unrealized gains or losses included in income.

   
March 31, 2014
   
March 31, 2013
 
Fair value, at beginning of period
 
$
198,330
   
$
355,290
 
                 
New issuances
   
41,110
     
137,825
 
Change in fair value
   
114,869
     
(294,785
                 
Fair value, at end of period
 
$
354,309
   
$
198,330
 
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)

20.                 Fair Value Measurements (continued)

The common stock warrant was not issued with the intent of effectively hedging any future cash flow, fair value of any asset, liability or any net investment in a foreign corporation. The warrants do not qualify for hedge accounting, and, as such, all changes in the fair value of these warrants are recognized as other income/expense in the statement of operations until such time as the warrants are exercised or expire. Since these common stock warrants do not trade in an active securities market, the Company recognizes a warrant liability and estimates the fair value of these warrants using the Black-Scholes options model using the following assumptions:

Values at Inception
                                                                                                                              
Date of
Warrant
   
Expiration 
Date
 
Number of
Warrants
 
Exercise 
Price
   
Fair Market Value
Per Share
   
Expected
Volatility
   
Remaining
 Life
in Years
   
Risk Free 
Interest Rate
   
Warrant 
Liability
 
 
09-10-2010
     
09-10-2019
 
136,920
 
$
6.70
   
$
6.70
     
28.51
%
   
9
     
2.81
%
 
$
267,848
 
 
09-10-2010
     
09-10-2015
 
10,416
 
$
6.70
   
$
6.70
     
28.51
%
   
5
     
1.59
%
 
$
13,808
 
 
07-26-2012
     
09-10-2019
 
50,000
 
$
3.35
   
$
3.90
     
42.04
%
   
7
     
0.94
%
 
$
66,193
 
 
07-26-2012
     
09-10-2019
 
20,000
 
$
3.35
   
$
3.90
     
42.04
%
   
7
     
0.94
%
 
$
26,477
 
 
11-20-2012
     
09-10-2019
 
20,000
 
$
3.56
   
$
3.50
     
42.45
%
   
6.83
     
1.09
%
 
$
21,441
 
 
02-14-2013
     
09-10-2019
 
20,000
 
$
3.58
   
$
3.80
     
41.72
%
   
6.58
     
1.43
%
 
$
23,714
 
 
07-12-2013
     
09-10-2019
 
20,000
 
$
3.33
   
$
3.32
     
40.26
%
   
6.17
     
2.00
%
 
$
19,523
 
 
08-12-2013
     
09-10-2019
 
20,000
 
$
3.69
   
$
3.69
     
40.20
%
   
6.08
     
2.01
%
 
$
21,587
 
 
Values at March 31, 2013
                     
Date of 
Warrant
   
Expiration
Date
 
Number of
Warrants
 
Exercise 
Price
   
Fair Market Value
Per Share
   
Expected
Volatility
   
Remaining
Life
in Years
   
Risk Free
Interest Rate
   
Warrant
Liability
 
 
09-10-2010
     
09-10-2019
 
136,920
 
$
6.70
   
$
3.50
     
41.45
%
   
6.45
     
1.24
%
 
$
81,080
 
 
09-10-2010
     
09-10-2015
 
10,416
 
$
6.70
   
$
3.50
     
41.45
%
   
2.45
     
0.25
%
 
$
1,870
 
 
07-26-2012
     
09-10-2019
 
50,000
 
$
3.35
   
$
3.50
     
41.45
%
   
6.45
     
1.24
%
 
$
53,269
 
 
07-26-2012
     
09-10-2019
 
20,000
 
$
3.35
   
$
3.50
     
41.45
%
   
6.45
     
1.24
%
 
$
21,307
 
 
11-20-2012
     
09-10-2019
 
20,000
 
$
3.56
   
$
3.50
     
41.45
%
   
6.45
     
1.24
%
 
$
20,664
 
 
02-14-2013
     
09-10-2019
 
20,000
 
$
3.58
   
$
3.50
     
41.45
%
   
6.45
     
1.24
%
   
20,140
 

Values at March 31, 2014

Date of
Warrant
   
Expiration 
Date
 
Number of
Warrants
 
Exercise 
Price
   
Fair Market Value
Per Share
   
Expected
Volatility
   
Remaining
 Life
in Years
   
Risk Free 
Interest Rate
   
Warrant 
Liability
 
 
09-10-2010
     
09-10-2019
 
136,920
 
$
6.70
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
123,564
 
 
09-10-2010
     
09-10-2015
 
10,416
 
$
6.70
   
$
4.42
     
43.35
%
   
1.45
     
0.44
%
 
$
2,498
 
 
07-26-2012
     
09-10-2019
 
50,000
 
$
3.35
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
77,626
 
 
07-26-2012
     
09-10-2019
 
20,000
 
$
3.35
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
31,050
 
 
11-20-2012
     
09-10-2019
 
20,000
 
$
3.56
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
29,892
 
 
02-14-2013
     
09-10-2019
 
20,000
 
$
3.58
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
29,310
 
 
07-12-2013
     
09-10-2019
 
20,000
 
$
3.33
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
31,163
 
 
08/12/2013
     
09-10-2019
 
20,000
 
$
3.69
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
29,206
 

The volatility calculation was based on the 51 months of the Company’s stock price prior to the measurement date, utilizing January 1, 2010 as the initial period, as the Company believes that this is the best indicator of future performance. The source of the risk free interest rate is the US Treasury rate related to 7 year notes. The exercise price is per the agreement, the fair market value is the closing price of our stock on the date of measurement, and the expected life is based on management’s current estimate of when the warrants will be exercised. All inputs to the Black-Scholes options model are evaluated each reporting period.
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
Notes To Consolidated Financial Statements (Continued)

21.                 Litigation

On March 24, 2009, Aeroflex Wichita, Inc. (“Aeroflex”) filed a petition against the Company and two of its employees in the District Court, Sedgwick County, Kansas, Case No. 09 CV 1141 (the “Aeroflex Action”), alleging that the Company and its two employees misappropriated Aeroflex’s proprietary technology in connection with the Company winning a substantial contract from the U.S. Army (the “Award”), to develop new Mode-5 radar test sets and kits to upgrade the existing TS-4530 radar test sets to Mode 5. Aeroflex’s petition alleges that in connection with the Award, the Company and its named employees misappropriated Aeroflex’s trade secrets; tortiously interfered with its business relationship; conspired to harm Aeroflex and tortiously interfered with its contract and seeks injunctive relief and damages. The central basis of all the claims in the Aeroflex Action is that the Company misappropriated and used Aeroflex proprietary technology and confidential information in winning the Award. In February 2009, subsequent to the Award to the Company, Aeroflex filed a protest of the Award with the Government Accounting Office (“GAO”). In its protest, Aeroflex alleged, inter alia, that the Company used Aeroflex’s proprietary technology in order to win the Award, the same material allegations as were later alleged in the Aeroflex Action. On or about March 17, 2009, the U.S. Army Contracts Attorney and the U.S. Army Contracting Officer each filed a statement with the GAO, expressly rejecting Aeroflex’s allegations that the Company used or infringed Aeroflex proprietary technology in winning the Award, and concluding that the Company had used only its own proprietary technology. On April 6, 2009, Aeroflex withdrew its protest.
 
In December 2009, the Kansas District Court dismissed on jurisdiction grounds the Aeroflex Action. Aeroflex appealed this decision. In May 2012, the Kansas Supreme Court reversed the decision and remanded the Aeroflex Action to the District Court for further proceedings. Discovery is ongoing. The case is set for trial on May 19, 2015. Tel is optimistic as to the outcome of this litigation. However, the outcome of any litigation is unpredictable and an adverse decision in this matter could have a material adverse effect on our financial condition, results of operations or liquidity.

On October 9, 2013, the SEC notified the Company that it may be in violation of Section 16(a) for failure to accurately and timely file beneficial ownership reports (the “Filings”) for certain officers and directors.  The Company accepted responsibility for filing all such reports on behalf of each officer and director.

The Company apparently made certain coding errors with respect to certain of the Filings, in addition to, not filing within two business days of a reportable transaction as reported by an officer or director. Based on the above, the SEC notified the Company that it may be in violation of Section 16(a). Currently, all transactions by the Holders have been disclosed with the SEC and the Company believes that the transactions which required timely Section 16(a) reports did not involve a material amount of equity securities.  Additionally, no sales were made by any officer of director and the violation is related to disclosure only.

The Company has made an Offer to Settle to the Commission and is finalizing such Offer. The Company has also revised its procedures for Section 16(a) reports to ensure complete compliance.

Other than the matters outlined above, we are currently not involved in any litigation that we believe could have a material adverse effect on our financial condition or results of operations. There is no action, suit, proceeding, inquiry or investigation before any court, public board, government agency, self-regulatory organization or body pending or, to the knowledge of executive officers of our Company, threatened against or affecting our Company, or our common stock in which an adverse decision could have a material effect.

 
TEL-INSRUMENT ELECTRONICS CORP

Schedule II - Valuation and Qualifying Accounts
 
 
 
Description
 
Balance at Beginning of the Year
   
Charged to Costs and Expenses
   
 
Deductions(1)
   
Balance at End of the Year
 
                         
Year ended March 31, 2014:
                       
Allowance for doubtful accounts
 
$
18,940
   
$
10,000
 
 
$
(1,658
 
$
27,282
 
                                 
Allowance for obsolete inventory
 
$
200,000
   
$
5,000
 
 
$
-
   
$
205,000
 
                                 
Year ended March 31, 2013:
                               
Allowance for doubtful accounts
 
$
35,470
   
$
-
    $
 (16,530
 
$
18,940
 
                                 
Allowance for obsolete inventory
 
$
200,000
   
$
-
    $
-
  
 
$
200,000
 
 
(1) Deductions represent amounts written-off.
 
 
Item 9.          Changes in and Disagreements with Accountants on Accounting and Financial Disclosure

There are no reportable events under this item for the year ended March 31, 2014.

Item 9A.       Controls and Procedures
 
a) Evaluation of disclosure controls and procedures.
 
As of March 31, 2014, management performed, with the participation of our Chief Executive Officer and Principal Accounting Officer, an evaluation of the effectiveness of our disclosure controls and procedures as defined in Rule 13a-15(e) under the Securities Exchange Act of 1934.  Our disclosure controls and procedures are designed to ensure that information required to be disclosed in the reports we file or submit under the Exchange Act is recorded, processed, summarized and reported within the time periods specified in the rules and forms of the Securities and Exchange Commission, and that such information is accumulated and communicated to our management, including our Chief Executive Officer and Principal Accounting Officer, as appropriate to allow timely decisions regarding required disclosures.   Based on the evaluation required by Rule 13a-15(b) under the Securities Exchange Act of 1934, our Chief Executive Officer and Principal Accounting Officer concluded that as of March 31, 2014, such disclosure controls and procedures were effective.
 
b) Management’s Annual Report on Internal Control over Financial Reporting 
 
Tel’s management is responsible for establishing and maintaining an adequate system of internal control over financial reporting, as defined in Rule 13a-15(f) under the Exchange Act.  The Company’s internal control over financial reporting is designed to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements in accordance with Generally Accepted Accounting Principles (“GAAP”). 
 
Because of its inherent limitations, a system of internal control over financial reporting can provide only reasonable assurance of such reliability and may not prevent or detect misstatements.  Also, projection of any evaluation of effectiveness to future periods is subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.
 
Management has conducted, with the participation of our Chief Executive Officer and our Principal Accounting Officer, an assessment of the effectiveness of our internal control over financial reporting as of March 31, 2014.  Management’s assessment of internal control over financial reporting used the criteria set forth in SEC Release 33-8810 based on the 1992 framework established by the Committee of Sponsoring Organizations of the Treadway Commission (“COSO”) in Internal Control over Financial Reporting – Guidance for Smaller Public Companies. Based on this evaluation, Management concluded that our system of internal control over financial reporting was effective as of March 31, 2014, based on these criteria.   
 
c) Changes in Internal Control over Financial Reporting  
 
There were no changes in our internal control over financial reporting that occurred during our last fiscal quarter that have materially affected, or are reasonably likely to materially affect our internal controls over financial reporting.
 
Item 9B.       Other Information
 
 None.
 
 
PART III
 
Item 10.        Directors and Executive Officers of the Registrant
 
Name (age)
 
Position
 
Year First
Elected a Director
   Stephen A. Fletcher (1)
(53)
 
Chief Executive Office of Rand McNally since 2013; Director; General Manager of Kodak’s Digital Printers and Presses Strategic Group; General Manager of New Printing Technologies; Vice President of Consumer Digital Group since 2007
 
2011
         
   George J. Leon (2) (3)
(70)
 
Director; Investment Manager and beneficiary of the George Leon Family Trust   (Investments) since 1986.
 
1986
         
    Jeffrey C. O’Hara, CPA (1)
(56)
 
Director; President since August 2007; Chief Executive Officer since December 2010; Chief Operating Officer since June 2006; Vice President since 2005
 
1998
         
Robert A. Rice (2) (3)
   (58)
 
Director; President and Owner of Spurwink Cordage, Inc. since 1998 (textile manufacturing)
 
 2004
         
Robert H. Walker (2) (3) (4)
(78)
 
Director and Chairman of the Board since April 2011; Retired Executive Vice President, Robotic Vision Systems, Inc. (design and manufacture of robotic vision systems) 1983-1998.
 
 1984
         
Michael W. Schirmer
(56)
 
Effective May 12, 2014, the Board of Directors of the Company approved the appointment of Mr. Schirmer as the Company’s Chief Operating Officer. Mr. Schirmer has served on a contract basis with the Company since November 2013 directing the Company’s manufacturing operations. Director of Manufacturing Operations for Eastman Kodak in Rochester, NY from 2004 to December 2012, and as a Manufacturing Consultant from January 2013 until November 2013.
 
-
 
 
(1)  
Mr. Fletcher is the son of Mr. Harold K. Fletcher, the former Chairman of Tel-Instrument who passed away in April 2011, and the brother-in-law of Jeffrey C. O’Hara, the Company’s Chief Executive Officer
 
(2)  
Member of the Audit Committee
 
(3)  
Member of the Compensation Committee
 
(4)  
Mr. Walker was elected Chairman of the Board in April 2011.
 
Background of Directors and Officers

Stephen A. Fletcher was elected to serve as a member of the Board of Directors in 2011. Mr. Fletcher has extensive experience in manufacturing, finance and marketing for digital imaging companies. He has a degree in industrial and operations engineering and an M.B.A. from the University of Michigan.

Mr. Fletcher is the Chief Executive Officer of Rand McNally, the country's most trusted source for maps, navigation and travel content. At Rand, Mr. Fletcher is driving growth of the Company's consumer and enterprise businesses through rapid expansion of core product lines and continued innovation of commercial transportation solutions ranging from advanced mileage and routing software to fleet management and electronic tracking.
 
Prior to Rand McNally, Mr. Fletcher served as a WW general manager at Kodak for more than six years and led a far-reaching organization with operations around the globe including R&D in the US, Germany and Singapore and manufacturing in the US, China and Mexico.  At Kodak, he and his team drove triple-digit millions of dollars of earnings improvement and greatly assisted in the Company's recovery. Before Kodak, he was President and COO of Konica Minolta Printing Solutions in Ramsey, New Jersey where he quadrupled the business over six years.  Mr. Fletcher was also President and CEO of the Tally Printer Corporation in Seattle, Washington and held marketing management positions at Apple Computer and Hewlett Packard.

 
Item 10.        Directors and Executive Officers of the Registrant (continued)
 
Background of Directors and Officers (continued)

George J. Leon has served as a member of the Board of Directors since 1986. Mr. Leon has substantial experience as an investment manager and in financial matters. He serves as Investment Manager and beneficiary of the George Leon Family Trust.

Jeffrey C. O’Hara, CPA has served as a member of the Board of Directors since 1998, and was made a Vice President in 2005, COO in 2006, and has been President since 2007.  Mr. O’Hara was made CEO of the Company in December 2010. Prior to joining the Company, Mr. O’Hara held various management positions at General Motors, and other mid-sized private companies. Mr. O’Hara has extensive financial, marketing and operations experience, and he has held executive positions as both a Chief Financial Officer and President. Mr. O’Hara has also served on several Boards of other companies.

Robert H. Walker has served as member of our Board of Directors since 1984 and was elected Chairman of the Board in April 2011. Mr. Walker, prior to his retirement in 1998 had served as Executive Vice president of Robotic Vision Systems, Inc., which designs, manufactures, markets and sells automated two-dimensional and three-dimensional machine vision-based products and systems for inspection, measurement and identification. Mr. Walker also served as CFO of that Company, whose shares were listed on the NASDAQ National Market. Mr. Walker qualifies as the Company’s “Audit Committee Financial Expert” as defined in the regulations promulgated under the Securities Exchange Act.

Robert A. Rice has served as a member of our Board of Directors since 2004. Mr. Rice is currently President and Owner of Spurwink Cordage, Inc. a textile manufacturing company located in New England since 1998. He has experience in business and financial matters and securities markets and was a stock broker registered with the SEC.

Michael W. Schirmer has extensive experience in supply chain management, electronics manufacturing, and strategic planning and product commercialization.  Mr. Schirmer has over 20 years of experience in electronics industry senior management. Mr. Schirmer has served on a contract basis with the Company since November 2013 directing the Company’s manufacturing operations. Prior to joining the Company, Mr. Schirmer served as Director of Manufacturing Operations for Eastman Kodak in Rochester, NY from 2004 to December 2012, and as a Manufacturing Consultant from January 2013 until November 2013.

Observer:

Mr. Franz Pool, a partner in BCA, has been a Board observer since September 2010 when the Company concluded its Loan Agreement with BCA. Mr. Pool has served as Managing Partner for BCA for a number of years.

Audit Committee

The Board of Directors established a separately designated standing Audit Committee in accordance with Section 3(a)(58)(A) of the Securities Exchange Act of 1934.  The Audit Committee is comprised of Messrs. Walker (chairman), Leon, and Rice. Messrs. Walker, Leon, and Rice are independent, as that term is defined under the Securities Exchange Act of 1934, and Mr. Walker is a financial expert as defined in that act. (See “Background of Directors” above.)

Section 16(a) Beneficial Ownership Reporting Compliance

On October 9, 2013, the SEC notified the Company that it may be in violation of Section 16(a) for failure to accurately and timely file beneficial ownership reports (the “Filings”) for certain officers and directors.  The Company accepted responsibility for filing all such reports on behalf of each officer and director.

The Company apparently made certain coding errors with respect to certain of the Filings, in addition to, not filing within two business days of a reportable transaction as reported by an officer or director. Based on the above, the SEC notified the Company that it may be in violation of Section 16(a). Currently, all transactions by the Holders have been disclosed with the SEC and the Company believes that the transactions which required timely Section 16(a) reports did not involve a material amount of equity securities.  Additionally, no sales were made by any officer of director and the violation is related to disclosure only.

The Company has made an Offer to Settle to the Commission and is finalizing such Offer. The Company has also revised its procedures for Section 16(a) reports to ensure complete compliance.
 
 
Item 10.        Directors and Executive Officers of the Registrant (continued)
 
Code of Ethics
 
The Board of Directors has adopted a written Code of Ethics that applies to all of the Company’s officers and employees, including the Chief Executive Officer and the Principal Accounting Officer. A copy of the Code of Ethics has been previously filed. A copy of the Code of Ethics is available to anyone requesting a copy without cost by writing to the Company, attention Joseph P. Macaluso.
 
Shareholder Recommendations

There have been no material changes to the Company’s procedures by which shareholders may recommend nominees to the Board of Directors since the Company’s last report on Form 10-K.
 
Item 11.        Executive Compensation

The following table presents information regarding compensation of our principal executive officer, and the two most highly compensated executive officers other than the principal executive officer for services rendered during fiscal years 2014 and 2013.
 
Summary Compensation Table
 
 
Name and Principal Position
 
Fiscal Year
 
Salary ($) (1)
   
Incentive ($) (2)
   
Option Awards ($) (3)
   
All Other Compensation ($) (4)
   
Total ($)
 
                                             
Jeffrey C. O’Hara, CEO President
 
2014
   
160,000
     
21,500
     
-
     
21,506
     
203,006
 
   
2013
   
160,000
     
-
     
-
     
21,222
     
181,222
 
                                             
Joseph P. Macaluso PAO
 
2014
   
126,042
     
5,500
     
-
     
9,539
     
141,081
 
   
2013
   
110,000
     
-
     
-
     
6,471
     
116,471
 

(1)  
The amounts shown in this column represent the dollar value of base cash salary earned by each named executive officer (“NEO”).

(2)  
Incentive compensation for 2014 is pending Board approval. No incentive compensation was made to the NEO’s in 2013, and therefore no amounts are shown.

(3)  
Amounts in this column represent the fair value required by ASC Topic 718 to be included in our financial statements for all options granted during that year (see Note 16 to Notes to the Consolidated Financial Statements).

(4)  
The amounts shown in this column represent amounts for medical and life insurance as well as the Company’s match in the 401(k) Plan.

(5)
Mr. Michael Schirmer became COO of the Company effective May 12, 2014 with a base salary of $160,000. Mr Schirmer also received incentive stock options for 10,000 shares at an exercise price of $5.14 per share. In the event the Company is sold, Mr. Schirmer will receive nine (9) months of salary continuation, provided he does not receive a comparable position at the new company.

 
Item 11.       Executive Compensation (continued)

Grants of Plan-based Awards Table for Fiscal Year
 
There were no stock options granted during or for the 2014 fiscal year to our named executive officers.
 
Outstanding Equity Awards at Fiscal Year End
 
The following table sets forth the outstanding stock option grants held by named executive officers at the end of the 2014 fiscal year. The option exercise price set forth in the table is based on the closing market price on the date of grant.

 
Name
 
Number of Securities Underlying Unexercised Options (#)
Exercisable
   
Number of Securities Underlying Unexercised Options (#)
Unexercisable (1)
   
 
 
Option Exercise Price ($)
 
 
 
Option Expiration Date
                     
Joseph P. Macaluso
   
1,600
     
2,400
   
$
6.59
 
12/14/16
                           
Jeffrey C. O’Hara
   
5,000
     
-
   
$
8.00
 
02/22/15
     
9,000
     
6,000
   
$
7.62
 
12/15/15
 
(1)  
Options are exercisable, on a cumulative basis, 20% at or after each of the first, second, and third anniversary of the grant and 40% after the fourth year anniversary.

Employment Contracts and Termination of Employment and Change-in-Control
 
Except for Mr. Schirmer’s agreement (disclosed above), there are no employment contracts, compensatory plans or arrangements, including payments to be received from the Company with respect to any executive officer of Tel which would in any way result in payments to any such person because of his or her resignation, retirement or other termination of employment with the Company, any change in control of the Company or a change in the person's responsibilities following a change in control of the Company.

Options Exercised and Stock Vested During Fiscal Year 2014
 
No shares were acquired upon exercising options awards by our named executive officers (“NEOs”) during fiscal year 2014.
 
Options granted to NEOs are consistent with the terms of options granted to other employees pursuant to the Employee Stock Option Plans (see Note 15 of the Notes to the Consolidated Financial Statements). Options granted to NEOs may be tax sheltered to the grantee, and their value constitutes a charge to the Company (see Notes 2 and 16 to the Financial Statements).
 
                        Incentive Plan

The Company has a key man incentive compensation program.  Each year the Compensation Committee determines a percentage of operating profits to be distributed among senior employees, including NEOs. The percentage determined is based on the general performance of the Company, and the amount of operating profits available for shareholders and for reinvestment in the business. This element of compensation provides an incentive for short-term performance.

The percentage of operating profits so determined is then distributed to senior employees, including NEOs and to a category  entitled  "incentive",  based on (a) the amount of the employee's base salary, (b) his contribution to the Company,  (c) the results of that contribution,  (d) an estimated amount of his  "special effort" on behalf of the Company, (e) his technical expertise, leadership, and management skills, and (f) the level of the overall  compensation paid employees performing similar work in competitive companies. For the year ended March 31, 2014, the CEO will receive $20,000 and the PAO will receive $5,000, pending Board approval.  No incentive awards were made to the NEOs for the year ended March 31, 2013.


Item 11.        Executive Compensation (continued)

Other Benefits

The Company sponsors the Tel-Instrument Electronics Corp 401(k) Plan (the “Plan”), a tax qualified Code Section 401(k) retirement savings plan, for the benefit of its employees, including its NEOs. The Plan encourages savings for retirement by enabling participants to make contributions on a pre-tax basis and to defer taxation on earnings on funds contributed to the Plan. The Company makes matching contributions to the Plan. All NEOs can make contributions to the Plan.  The NEOs also participate in group health and life benefits generally on the same terms and conditions that apply to other employees.
 
Director Compensation

Directors who are not employees or officers of the Company receive $1,250 in cash and options, at the then market price, to purchase 1,000 shares of common stock for attendance at each in-person meeting and $625 in cash and options to purchase 500 shares for attendance at each formal telephonic meeting of the Board or of a standing committee.  Non-employee directors may elect annually to accept the foregoing compensation or waive the stock option element and receive the $2,500 in cash for attendance at the in-person meeting and $1,250 in cash for each formal telephone meeting. During fiscal year 2014 non-employee directors received the following compensation pursuant to this plan.

Name
 
Cash Compensation
   
Option Awards ($)(1)(2)
   
Total $
 
George J. Leon
 
$
11,250
   
$
-0-
   
$
11,250
 
Robert A. Rice
 
$
11,250
   
$
-0-
   
$
11,250
 
Robert H. Walker (3)
 
$
11,250
   
$
-0-
   
$
11,250
 
Stephen A. Fletcher
 
$
7,500
   
$
-0-
   
$
7,500
 

  (1)
 
Amounts in this column, if any, represent the fair value required by ASC 718 to be included in our financial statements for all options granted during fiscal year 2014.
  (2)
 
The numbers of currently exercisable options are set forth in the footnotes to Item 12 below.
  (3)
 
Mr. Walker receives a monthly stipend of $2,400 for his additional responsibility as Chairman of the Board.

Compensation Policy

The Company does not believe that its compensation policies are reasonably likely to increase corporate risk or have a material adverse effect on the Company.
 
 
Item 12.        Security Ownership of Certain Beneficial Owners and Management
 
The following table sets forth certain information known to the Company with respect to the beneficial ownership as of June 27, 2014, by (i) all persons who are beneficial owners of five percent (5%) or more of the Company’s Common Stock, (ii) each director and nominee, (iii) the executive officers, and (iv) all current directors and executive officers as a group.
 
Name and Address
 
Number of Shares
Beneficially Owned
   
Percentage
of Class (1)
 
             
Named Directors and Officers
           
             
Stephen A. Fletcher, Director
 
-0-
(2)
   
0
%
20 Windham Hill
             
Mendon, NY 14506
             
               
George J. Leon, Director
 
465,171
(3)
   
14.3
%
168 Redpath Avenue
             
Toronto, Ontario, Canada M4P 2K6
             
               
Jeffrey C. O’Hara, Director
 
251,156
(4)
   
7.7
%
853 Turnbridge Circle
             
Naperville, IL 60540
             
               
Robert A. Rice, Director
 
119,404
(5)
   
3.7
%
5 Roundabout Lane
             
Cape Elizabeth, ME 04107
             
               
Robert H. Walker, Director
 
82,553
(6)
   
2.5
%
27 Vantage Court
             
Port Jefferson, NY 11777
             
               
Joseph P. Macaluso, PAO
 
25,113
(7)
   
0.8
%
167 Tennis Court
             
Wall Township, NJ 07719
             
               
All Officers and Directors as a Group (6 persons)
 
916,479
(8)
   
28.6
%
               
Mrs. Sadie Fletcher
 
656,907
(9)
   
20.2
%
657 Downing Lane
             
Williamsville, NY 14221
             
               
Compenio Capital
 
181,000
(10)
   
5.6
%
800 Westchester Avenue
             
Rye Brook, NY 10573
             
               
Vincent J. Dowling, Jr.
 
335,400
(11)
   
10.2
%
54 Ledyard Road
             
West Hartford, CT 06117
             
 

Item 12.        Security Ownership of Certain Beneficial Owners and Management  (continued)
 
(1)
The class includes 3,251,387 shares outstanding in the calculation of the percentage of shares owned by a party. The common stock deemed to be owned by the named party, includes stock which is not outstanding but subject to currently exercisable options held by the individual named in accordance with Rule 13d-3(d)c) of the Exchange Act. The foregoing information is based on reports made by the named individuals.
 
(2)
Mr. Stephen A. Fletcher is the son of Mr. Harold K. Fletcher, former Chief Executive Officer and director of the Company. Mr. Stephen A. Fletcher is the son of Mrs. Sadie Fletcher who beneficially owns 656,907 shares by virtue of the Estate of Harold K. Fletcher. Mr. Fletcher disclaims beneficial ownership of the shares owned by the Estate of Harold K. Fletcher.
 
(3)
Includes 423,621 shares owned by the George Leon Family Trust, of which Mr. Leon is a beneficiary, and 9,200 shares subject to currently exercisable stock options. Mr. Leon acts as manager of the trust assets pursuant to an informal family, oral arrangement, and disclaims beneficial ownership of the shares owned by the trust.
 
(4)
Includes 14,000 shares subject to currently exercisable stock options owned by Mr. O’Hara.
 
(5)
Includes 9,500 shares subject to currently exercisable stock options owned by Mr. Rice.
 
(6)
Includes 9,500 shares subject to currently exercisable stock options owned by Mr. Walker.
 
(7)
Includes 1,600 shares subject to currently exercisable stock options owned by Mr. Macaluso.
 
(8)
Includes 43,800 shares subject to currently exercisable options held by all executive officers and directors of the Company (including those individually named above).
 
(9)
Represents 656,907 shares owned by the Estate of Harold K. Fletcher, former Chief Executive Officer and director of the Company. Mrs. Fletcher is the mother of Stephen A. Fletcher, a director of the Company.
 
(10)
Based on Schedule 13G filed with the SEC on February 14, 2014 and furnished to the Company.
 
(11)
Based on Schedule 13G filed with the SEC on February 13, 2014 and furnished to the Company.
 
                        Equity Compensation Plan Information
 
In March 2006, the Board of Directors adopted the 2006 Stock Option Plan (“the Plan”) which reserved for issuance options to purchase up to 250,000 shares of its Common Stock.  The stockholders approved the Plan at the December 2006 annual meeting.  The Plan, which has a term of ten years from the date of adoption, is administered by the Board of Directors or by a committee appointed by the Board of Directors. The selection of participants, allotment of shares, and other conditions related to the grant of options, to the extent not set forth in the Plan, are determined by the Board of Directors.  Options granted under the Plan are exercisable up to a period of 5 years from the date of grant at an exercise price which is not less than the fair market value of the common stock at the date of grant, except as to a stockholder owning 10% or more of the outstanding common stock of the Company, as to whom the exercise price must not be less than 110% of the fair market value of the common stock at the date of grant. Options are exercisable, on a cumulative basis, 20% at or after each of the first, second, and third anniversary of the grant and 40% after the fourth year anniversary.

At March 31, 2014, the Company had no individual employment agreements. On May 12, 2014, Mr. Michael Schirmer became COO of the Company with a base salary of $160,000. Mr Schirmer also received incentive stock options for 10,000 shares at an exercise price of $5.14 per share. In the event the Company is sold, Mr. Schirmer will receive nine (9) months of salary continuation, provided he does not receive a comparable position at the new company.
 
 
Item 12.       Security Ownership of Certain Beneficial Owners and Management  (continued)
 
Equity Compensation Plan Information (continued)

The following table provides information as of March 31, 2014 regarding compensation plans under which equity securities of the Company are authorized for issuance.

 
Plan category
 
Number of securities to be issued upon exercise of outstanding options
   
Weighted average exercise price of outstanding options
   
Number of options remaining available for future issuance under Equity Compensation Plans
 
Equity Compensation Plans approved by shareholders
   
88,000
   
$
6.12
     
  237,278
 
Equity Compensation Plans not approved by shareholders
   
--
     
--
     
--
 
Total
   
88,000
   
$
6.12
     
237,278
 

* See Discussion above and Note 16 of Notes to the Consolidated Financial Statements.

Item 13.       Certain Relationships and Related Transactions
 
On February 22, 2010 the Company borrowed $250,000 in exchange for issuing Subordinated Notes to each of two Executive Officers and Directors in the amount of $125,000. Each officer and director also received 5,000 stock options at $8.00 per share, the market price at the date of grant. In September 2010, these officers/directors entered into an Intercreditor and Subordination agreement which subordinated their loans to the BCA Loan Agreement (see Note 9 to Notes to Consolidated Financial Statements).  The notes were to become due April 1, 2011 with an interest rate of 1% per month, payable on a monthly basis within 14 days of the end of each month. The Intercreditor  and Subordination Agreement amongst the parties precludes the payment of principal or interest under these subordinated notes unless and until the Senior Obligations have been paid in full or without the express written consent of Senior Lender.  The Subordinated Note Holders agree that the Company’s failure to pay the monthly interest amounts pursuant to the terms of the February 22, 2010 Subordinated Notes will not constitute an event of default on the Notes if the Company is precluded from making these payments pursuant to the limitations included in the loan agreement with BCA. During fiscal year 2012, the Company’s Chairman, at the time, passed away. His surviving spouse has retained this Subordinated Note and continues to acknowledge the terms. Interest expense amounted to $30,000 for the years ended March 31, 2014 and 2013, respectively.

In June 2013, a related party received a note payable from the Company in exchange for $100,000 which the Company used for working capital needs. On July 24, 2013, the related party converted its note payable in the amount of $100,000 into 31,348 shares of the Company’s common stock at a price of $3.187 per share. The price was approved by the board of directors (the “Board”) of the Company and was the same price as the 200,000 shares issued to the Private Investor upon the conversion of debt on May 31, 2013. The fair value of these shares at the date of conversion was $3.86 per share. As such, in July 2013, the Company recorded additional interest expense of $21,003.
 
 
Item 14.        Principal Accountant Fees and Services
 
For the fiscal years ended March 31, 2014 and 2013, professional services were performed by BDO USA, LLP, the Company’s independent registered public accountant.  Fees for those years were as follows:
 
   
2014
   
2013
 
             
Audit Fees
 
$
118,000
   
$
117,500
 
Audit-Related Fees
   
-
     
-
 
Total Audit and Audit-Related Fees
   
118,000
     
117,500
 
Tax Fees
   
-
     
-
 
All Other Fees
   
-
     
-
 
                 
Total
 
$
118,000
   
$
117,500
 
 
Audit Fees.  This category includes the audit of the Company’s consolidated financial statements and reviews of the financial statements included in the Company’s Quarterly Reports on Form 10-Q.  It also includes advice on accounting matters that arose during, or as a result of, the audit or the review of interim financial statements, and services which are normally provided in connection with regulatory filings, or in an auditing engagement.
 
Audit Related Fees, tax and other fees.  No fees under these categories were paid to BDO USA, LLP in 2014 and 2013.
 
Policy on Audit Committee Pre-Approval of Audit and Permissible Non-Audit Services of Independent Auditor
 
The Audit Committee has established a policy which requires it to pre-approve all audit and permissible non-audit services, including audit-related and tax services, if any, to be provided by the independent auditor.  Pre-approval is generally provided for up to one year and is detailed as to the particular service or category of service to be performed, and is subject to a detailed budget. The auditor and management are required to report periodically to the Audit Committee regarding the extent of services performed and the amount of fees paid to date, in accordance with the pre-approval.
 
 
Item 15.        Exhibits and Financial Statement Schedules

a.) The following documents are filed as a part of this report:
 
 
 
Item 15.        Exhibits and Financial Statement Schedules (continued)
 
c.) Exhibits identified in parentheses below on file with the Securities and Exchange Commission, are incorporated herein by reference as exhibits hereto.
 
*
(3.1)
Tel-Instrument Electronics Corp's Certificate of Incorporation, as amended.
*
(3.2)
Tel-Instrument Electronics Corp's By-Laws, as amended.
*
(3.3)
Tel-Instrument Electronics Corp's Restated Certificate of Incorporation dated November 8, 1996.
*
(4.1)
 Specimen of Tel-Instrument Electronics Corp's Common Stock Certificate.
*
(10.2)
10% convertible subordinated note between Registrant and Harold K. Fletcher.
*
(10.3)
Purchase agreement between Registrant and Innerspace Technology
*
(10.4)
Agreement between Registrant and Semaphore Capital Advisors, LLC
*
(10.5)
2006 Stock Option Plan
*
(10.6)
Subordinated Note Between Registrant and Harold K. Fletcher
*
(10.7)
Subordinated Note Between Registrant and Jeffrey C. O’Hara
*
(10.8)
Shareholder Purchase Agreement between the Registrant and Harold K. Fletcher
*
(10.9)
Shareholder Purchase Agreement between the Registrant and Jeffrey C. O’Hara
*
(10.10)
Shareholder Purchase Agreement between the Registrant and George Leon
*
(10.11)
Loan Agreement with BCA Mezzanine Fund, LLP and Amendments 1-3
(10.12)
Intercreditor and Subordination Agreement among Harold. K. Fletcher, Jeffrey C. O’Hara and BCA Mezzanine Fund, LLP.
*
(10.13)
Subscription Agreement between Registrant and Subscriber, dated November 8, 2012
 
(23.1)
 
(31.1)
 
(31.2)
 
(32.1)
 
(32.2)
 
101.INS
XBRL Instance Document
 
101.SCH
Taxonomy Extension Schema Document
 
101.CAL
Taxonomy Extension Calculation Linkbase Document
 
101.DEF
Taxonomy Extension Definition Linkbase Document
 
101.LAB
Taxonomy Extension Label Linkbase Document
 
101.PRE
Taxonomy Extension Presentation Linkbase Document
 
 
*
Incorporated by reference to previously filed documents.
 
            The Company will furnish to a stockholder, upon request, any exhibit at cost.
 
 
Signatures
 
Pursuant to the requirements of Section 13 or 15(d) of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.
 
 
TEL-INSTRUMENT ELECTRONICS CORP
 
 
(Registrant)
 
       
Dated:     June 30, 2014
By:
/s/ Jeffrey C. O’Hara
 
   
Jeffrey C. O’Hara
 
   
CEO and Director
 
   
(Principal Executive Officer)
 

Pursuant to the requirements of the Securities Exchange Act of 1934, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the date indicated and by signature hereto.
 
 
Signature
 
Title
 
Date
           
 
/s/ Jeffrey C. O’Hara
 
CEO, President, and Director
 
June 30, 2014
 
  Jeffrey C. O’Hara
       
           
 
/s/ Joseph P. Macaluso
 
Principal Accounting Officer
 
June 30, 2014
 
  Joseph P. Macaluso
       
           
 
/s/ Stephen A. Fletcher
 
Director
 
June 30, 2014
 
  Stephen A. Fletcher
       
           
 
/s/ George J. Leon
 
Director
 
June 30, 2014
 
  George J. Leon
       
           
 
/s/ Robert A. Rice
 
Director
 
June 30, 2014
 
  Robert A. Rice
       
           
 
/s/ Robert H. Walker
 
Chairman of the Board, Director
 
June 30, 2014
 
  Robert H. Walker
       

 
63

 
 
EX-23.1 2 ex23-1.htm EX-23.1 ex23-1.htm
Exhibit 23.1


Consent of Independent Registered Public Accounting Firm
 
 
Tel-Instrument Electronics Corp
East Rutherford, New Jersey
 
We hereby consent to the incorporation by reference in the Registration Statement on Form S-8 (No. 33-18978) of Tel-Instrument Electronics Corp of our report dated June 30, 2014 relating to the consolidated financial statements and schedule, which appear in this Annual Report on Form 10-K.
 
 

BDO USA, LLP
Woodbridge, New Jersey
 
June 30, 2014

EX-31.1 3 ex31-1.htm EX-31.1 ex31-1.htm
Exhibit 31.1
 
CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

I, Jeffrey C. O’Hara, certify that:

1.  
I have reviewed this annual report on Form 10-K of Tel-Instrument Electronics Corp;
 
2.  
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
 
3.  
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;
 
4.  
The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13(a) and 15(f) and 15(d)-15(f) for the registrant and we have:
 
a)
Designed such disclosure controls and procedures, or caused such controls and procedures to be designed under our supervision,  to ensure that material information relating to the registrant, including its consolidated subsidiary, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
 
b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
c)
Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation, and
 
d)
Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the Registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and
 
5.  
The registrant's other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of registrant's board of directors:
 
a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and
 
b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.
 

 
Date: June 30, 2014                                                                          
/s/ Jeffrey C. O’Hara
Jeffrey C. O’Hara
Chief Executive Officer

EX-31.2 4 ex31-2.htm EX-31.2 ex31-2.htm
Exhibit 31.2
 
CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

I, Joseph P. Macaluso, certify that:

1.  
I have reviewed this annual report on Form 10-K of Tel-Instrument Electronics Corp;
 
2.  
Based on my knowledge, this  report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
 
3.  
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;
 
4.  
The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13(a) and 15(f) and 15(d)-15(f) for the registrant and we have:
 
a)
Designed such disclosure controls and procedures, or caused such controls and procedures to be designed under our supervision,  to ensure that material information relating to the registrant, including its consolidated subsidiary, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
 
b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
c)
Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation, and
  
d)
Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the Registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and
 
5.  
The registrant's other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of registrant's board of directors:

a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and
 
b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.
 
 
Date: June 30, 2014                                                                                  
 /s/ Joseph P. Macaluso
Joseph P. Macaluso
Principal Accounting Officer
 



EX-32.1 5 ex32-1.htm EX-32.1 ex32-1.htm


Exhibit 32.1
 
CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350, AS ADOPTED
PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002
 
In connection with the Annual Report of Tel-Instrument Electronics Corp (the “Company”), on Form 10-K for the period ended March 31, 2014 as filed with the Securities Exchange Commission on the date hereof (the “Report”), I, Jeffrey C. O’Hara, Chief Executive Officer, certify, pursuant to and solely for the purpose of 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of my knowledge:

 
1.       The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, and

 
2.       The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.


June 30, 2014
By:  /s/ Jeffrey C. O’Hara
             Jeffrey C. O’Hara
             Chief Executive Officer
EX-32.2 6 ex32-2.htm EX-32.2 ex32-2.htm
Exhibit 32.2

CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350, AS ADOPTED
PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002
 
In connection with the Annual Report of Tel-Instrument Electronics Corp (the “Company”), on Form 10-K for the period ended March 31, 2014 as filed with the Securities Exchange Commission on the date hereof (the “Report”), I, Joseph P. Macaluso, Principal Accounting Officer, certify, pursuant to and solely for the purpose of 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of my knowledge:

 
1.       The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, and

 
2.       The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.


June 30, 2014
By:  /s/ Joseph P. Macaluso
             Joseph P. Macaluso
             Principal Accounting Officer

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Represents sale of intellectual property As part of the agreement with the Company's subcontractor to secure the IP (see Note 6), upon payment of the $1,200,000, the outstanding amount due to the subcontractor in the amount of $790,535 was discharged and is recorded as a reduction of cost of goods sold. During the fourth quarter of fiscal 2013, the Company recorded a write down of inventory of approximately of $180,000 related to book to physical adjustments, approximately $200,000 of additional third party costs related to vendor services, manufacturing variances, and incurred charges related to temporarily curtailing production in order to enhance quality procedures in its production process. 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Plant, and as such, delivery has occurred, and revenue recognized, when picked up and acknowledged by a common carrier.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Due to the unique nature of the Intermediate Level TACAN Test Set (&#8220;ITATS&#8221;) contract, wherein a significant portion of this contract was not delivered for over a year, revenues under this contract were recognized on a percentage-of-completion basis, which recognizes sales and profit as they are earned, rather than at the time of shipment.&#160;&#160;Revenues and profits were estimated using the cost-to-cost method of accounting where revenues are recognized and profits recorded based upon the ratio of costs incurred to estimate of total costs at completion. The ratio of costs incurred to date to the estimate of total costs at completion was applied to the contract value to determine the revenues and profits. When adjustments in estimated contract revenues or estimated costs at completion are required, any changes from prior estimates are recognized by recording adjustments in the current period for the inception-to-date effect of the changes on current and prior periods. The Company also received progress billings on this program, which is a funding mechanism by the government to assist contractors on long-term contracts prior to delivery. These progress payments are applied to Unbilled Government Receivables resulting from revenues recognized under percentage-of-completion accounting. As of March 31, 2013, the section of this contract was completed, the customer was billed, and the unbilled government receivables were cleared.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Shipping and handling costs charged to customers are classified as sales, and the shipping and handling costs incurred are included in cost of sales.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Payments received prior to the delivery of units or services performed are recorded as deferred revenues.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">With respect to warranty revenues, upon the completion of two years from the date of sale, considered to be the warranty period, the Company offers customers an optional warranty. Amounts received for warranties are recorded as deferred revenue and recognized over the respective terms of the agreements.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Fair Value of Financial Instruments:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company estimates that the fair value of all financial instruments at March 31, 2014 and March 31, 2013, as defined in Financial Accounting Standards Board (&#8220;FASB&#8221;) ASC 825 &#8220;Financial Instruments&#8221;, does not differ materially, except for the items discussed below, from the aggregate carrying values of its financial instruments recorded in the accompanying consolidated balance sheets. The estimated fair value amounts have been determined by the Company using available market information and appropriate valuation methodologies. Considerable judgment is required in interpreting market data to develop the estimates of fair value.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0.9pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The carrying amounts reported in the consolidated balance sheets as of March 31, 2014 and March 31, 2013 for cash, accounts receivable and accounts payable approximate the fair value because of the immediate or short-term maturity of these financial instruments.&#160; Each reporting period we evaluate market conditions including available interest rates, credit spreads relative to our credit rating and liquidity in estimating the fair value of our debt. After considering such market conditions, we estimate that the fair value of debt approximates its carrying value.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Concentrations of Credit Risk:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><font style="DISPLAY: inline; FONT-WEIGHT: bold">Cash held in banks:</font> The Company maintains cash balances at a financial institution that is insured by the Federal Deposit Insurance Corporation (&#8220;FDIC&#8221;) up to federally insured limits. At times balances may exceed FDIC insured limits. The Company has not experienced any losses in such accounts.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><font style="DISPLAY: inline; FONT-WEIGHT: bold">Accounts Receivable:</font> The Company&#8217;s avionics customer base is primarily comprised of airlines, distributors, and the U.S. Government. As of March 31, 2014, the Company believes it has no significant risk related to its concentration within its accounts receivable.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Inventories:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Inventories are stated at the lower of cost or market.&#160;&#160;Cost is determined on a first-in, first-out basis.&#160;&#160;Inventories are written down if the estimated net realizable value is less than the recorded value. The Company reviews the carrying cost of inventories by product to determine the adequacy of reserves for obsolescence. In accounting for inventories, the Company must make estimates regarding the estimated realizable value of inventory. The estimate is based, in part, on the Company&#8217;s forecasts of future sales and age of inventory. In accordance with industry practice, service parts inventory is included in current assets, although service parts are carried for established requirements during the serviceable lives of the products and, therefore, not all parts are expected to be sold within one year.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Equipment and Leasehold Improvements:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Office and manufacturing equipment are stated at cost, net of accumulated depreciation.&#160;&#160;Depreciation and amortization are provided on a straight-line basis over periods ranging from 3 to 8 years.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Leasehold improvements are amortized over the term of the lease or the useful life of the asset, whichever is shorter.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Maintenance, repairs, and renewals that do not materially add to the value of the equipment nor appreciably prolong its life are charged to expense as incurred.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">When assets are retired or otherwise disposed of, the cost and related accumulated depreciation are removed from the accounts and the resulting gain or loss is included in the Statements of Operations.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Engineering, Research and Development Costs:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Engineering, research and development costs are expensed as incurred.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Advertising Expenses:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Advertising expenses consist primarily of costs for direct advertising. The Company expenses all advertising costs as incurred, and classifies these costs under selling, general and administrative expenses.&#160;&#160;Advertising costs amounted to $-0- and $200 for the years ended March 31, 2014 and 2013, respectively.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Deferred Revenues:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Amounts billed in advance of the period in which the service is rendered or product delivered are recorded as deferred revenue.&#160;&#160;At March 31, 2014 and 2013, deferred revenues totaled $171,102 and $19,505, respectively. See above for additional information regarding our revenue recognition policies.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Progress Billings:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Progress billings are a form of government funding for fixed-price contracts that are provided in recognition of the need for working capital, for long lead items, and work in-process expenditures. These payments from the government are recorded as progress billings in the liability section of the balance sheet. These amounts are reduced as the end item product is shipped. At March 31, 2014 and 2013, progress billings totaled $775,475 and $-0-, respectively.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Net Income (Loss) per Common Share:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 2.15pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Basic net income (loss) per share attributable to common stockholders is computed by dividing net income (loss) by the weighted-average number of common shares outstanding during the period.&#160;&#160;Diluted income per share is computed by dividing diluted net income by the weighted-average number of common shares outstanding during the period, including common stock equivalents, such as stock options and warrants using the treasury stock method.&#160;&#160;Diluted loss per share is computed by dividing net loss by the weighted-average number of common shares outstanding during the period, and excludes the anti-dilutive effects of common stock equivalents.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 2.15pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Accounting for Income Taxes:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 2.15pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company accounts for income taxes using the asset and liability method described in FASB ASC 740, &#8220;Income Taxes&#8221;. Deferred tax assets arise from a variety of sources, the most significant being: a) tax losses that can be carried forward to be utilized against profits in future years; b) expenses recognized for financial reporting purposes but disallowed in the tax return until the associated cash flow occurs; and c) valuation changes of assets which need to be tax effected for book purposes but are deductible only when the valuation change is realized.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 2.15pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Deferred tax assets and liabilities are determined based on differences between financial reporting and tax bases of assets and liabilities and are measured using enacted tax rates and laws that are expected to be in effect when such differences are expected to reverse.&#160;&#160;The measurement of deferred tax assets is reduced, if necessary, by a valuation allowance for any tax benefit which is not more likely than not to be realized. In assessing the need for a valuation</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 2.15pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">allowance, future taxable income is estimated, considering the realization of tax loss carryforwards. Valuation allowances related to deferred tax assets can also be affected by changes to tax laws, changes to statutory tax rates and future taxable income levels. In the event it was determined that the Company would not be able to realize all or a portion of our deferred tax assets in the future, we would reduce such amounts through a charge to income in the period in which that determination is made. Conversely, if we were to determine that we would be able to realize our deferred tax assets in the future in excess of the net carrying amounts, we would decrease the recorded valuation allowance through an increase to income in the period in which that determination is made.&#160;&#160;In its evaluation of a valuation allowance the Company takes into account existing contracts and backlog, and the probability that options under these contract awards will be exercised as well as sales of existing products. The Company prepares profit projections based on the revenue and expenses forecast to determine that such revenues will produce sufficient taxable income to realize the deferred tax assets.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company accounts for uncertainties in income taxes under ASC 740-10-50 which prescribes a recognition threshold and measurement attribute for the financial statement recognition and measurement of a tax position taken or expected to be taken in a tax return. ASC 740-10 requires that the Company determine whether the benefits of its tax positions are more-likely-than-not of being sustained upon audit based on the technical merits of the tax position. The Company recognizes the impact of an uncertain income tax position taken on its income tax return at the largest amount that is more-likely-than-not to be sustained upon audit by the relevant taxing authority. The implementation of ASC 740-10 had no impact on the Company&#8217;s results of operations or financial position.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Despite the Company&#8217;s belief that its tax return positions are consistent with applicable tax laws, one or more positions may be challenged by taxing authorities. Settlement of any challenge can result in no change, a complete disallowance, or some partial adjustment reached through negotiations or litigation.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Interest and penalties related to income tax matters, if applicable, will be recognized as income tax expense. During the years ended March&#160;31, 2014 and 2013 the Company did not incur any expense related to interest or penalties for income tax matters, and no such amounts were accrued as of March&#160;31, 2014 and 2013.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Stock-based Compensation:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company accounts for stock-based compensation utilizing the modified prospective method under FASB ASC 718 which requires the measurement of stock-based compensation based on the fair value of the award on the date of grant. The Company recognizes compensation cost on awards on a straight-line basis over the vesting period, typically four years. The Company estimates the fair value of each option granted using the Black-Scholes option-pricing model.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Additional information and disclosure are provided in Note 16.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Long-Lived Assets:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company assesses the recoverability of the carrying value of its long-lived assets whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. Recoverability of assets to be held and used is measured by a comparison of the carrying amount of an asset to future, undiscounted cash flows expected to be generated by an asset. If such assets are considered to be impaired, the impairment to be recognized is measured by the amount by which the carrying amount of the assets exceeds the fair value of the assets. Assets to be disposed of are reported at the lower of the carrying amount or fair value less costs to sell. No impairment losses have been recognized for the years ended March 31, 2014 and 2013, respectively.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 54pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><font style="DISPLAY: inline; FONT-WEIGHT: bold">Use of Estimates:</font></font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires that management make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates.&#160;&#160;The most significant estimates include income taxes, percentage-of-completion sales recognition, warranty claims, inventory and accounts receivable valuations.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Reclassifications:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Certain prior year amounts have been reclassified to conform to the current year presentation.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Accounts Receivable:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company performs ongoing credit evaluations of its customers and adjusts credit limits based on customer payment and current credit worthiness, as determined by review of their current credit information.&#160;&#160;The Company continuously monitors credit limits for and payments from its customers and maintains provision for estimated credit losses based on its historical experience and any specific customer issues that have been identified.&#160;&#160;While such credit losses have historically been within the Company&#8217;s expectation and the provision established, the Company cannot guarantee that this will continue.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Warranty Reserves:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Warranty reserves are based upon historical rates and specific items that are identifiable and can be estimated at time of sale.&#160;&#160;While warranty costs have historically been within the Company&#8217;s expectations and the provisions established, future warranty costs could be in excess of the Company&#8217;s warranty reserves.&#160;&#160;A significant increase in these costs could adversely affect the Company&#8217;s operating results for the period and the periods these additional costs materialize.&#160;&#160;Warranty reserves are adjusted from time to time when actual warranty claim experience differs from estimates. For the year ended March 31, 2014 warranty costs were $288,685 as compared to $203,783 for the year ended March 31, 2013. These warranty reserves are included in Accrued expenses &#8211; other in the accompanying consolidated balance sheets.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Risks and Uncertainties:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company&#8217;s operations are subject to a number of risks, including but not limited to changes in the general economy, demand for the Company&#8217;s products, the success of its customers, research and development results, reliance on the government and commercial markets, litigation, and the renewal of its line of credit.&#160;&#160;The Company has major contracts with the U.S. Government, which like all government contracts are subject to termination.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">New Accounting Pronouncements:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">In May 2014, FASB issued ASU 2014-09, "Revenue from Contracts with Customers." This ASU is a comprehensive new revenue recognition model that requires a company to recognize revenue to depict the transfer of good or services to a customer at an amount that reflects the consideration it expects to receive in exchange for those goods or services. This ASU is effective for annual reporting periods beginning after December 15, 2016 and early adoption is not permitted. Accordingly, the Company will adopt this ASU on April 1, 2017. Companies may use either a full retrospective or modified retrospective approach to adopt this ASU and management is currently evaluating which transition approach to use. The Company is currently evaluating the impact of ASU 2014-09.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">No other recently issued accounting pronouncements had or are expected to have a material impact on the Company&#8217;s consolidated financial statements.</font> </div><br/> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Principles of Consolidation:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The consolidated financial statements have been prepared in accordance with accounting principles generally accepted in the United States, and include the Company and its wholly-owned subsidiary. All significant inter-company accounts and transactions have been eliminated.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Revenue Recognition:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Revenues are recognized at the time of shipment to, or acceptance by the customer, provided title and risk of loss is transferred to the customer.&#160;&#160;Provisions, when appropriate, are made where the right to return exists.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Revenues for repairs and calibrations of the Company&#8217;s products represented 5.2% and 14.9%&#160;of sales for the years ended March 31, 2014 and 2013, respectively. These revenues are for units that are periodically returned for annual calibrations and/or for repairs after the warranty period has expired. Revenues on repairs and calibrations are recognized at the time the repaired or calibrated unit is shipped, as it is at this time that the work is completed. The Company&#8217;s terms are F.O.B. Plant, and as such, delivery has occurred, and revenue recognized, when picked up and acknowledged by a common carrier.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Due to the unique nature of the Intermediate Level TACAN Test Set (&#8220;ITATS&#8221;) contract, wherein a significant portion of this contract was not delivered for over a year, revenues under this contract were recognized on a percentage-of-completion basis, which recognizes sales and profit as they are earned, rather than at the time of shipment.&#160;&#160;Revenues and profits were estimated using the cost-to-cost method of accounting where revenues are recognized and profits recorded based upon the ratio of costs incurred to estimate of total costs at completion. The ratio of costs incurred to date to the estimate of total costs at completion was applied to the contract value to determine the revenues and profits. When adjustments in estimated contract revenues or estimated costs at completion are required, any changes from prior estimates are recognized by recording adjustments in the current period for the inception-to-date effect of the changes on current and prior periods. The Company also received progress billings on this program, which is a funding mechanism by the government to assist contractors on long-term contracts prior to delivery. These progress payments are applied to Unbilled Government Receivables resulting from revenues recognized under percentage-of-completion accounting. As of March 31, 2013, the section of this contract was completed, the customer was billed, and the unbilled government receivables were cleared.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Shipping and handling costs charged to customers are classified as sales, and the shipping and handling costs incurred are included in cost of sales.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Payments received prior to the delivery of units or services performed are recorded as deferred revenues.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">With respect to warranty revenues, upon the completion of two years from the date of sale, considered to be the warranty period, the Company offers customers an optional warranty. Amounts received for warranties are recorded as deferred revenue and recognized over the respective terms of the agreements.</font></div> 0.052 0.149 <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Fair Value of Financial Instruments:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company estimates that the fair value of all financial instruments at March 31, 2014 and March 31, 2013, as defined in Financial Accounting Standards Board (&#8220;FASB&#8221;) ASC 825 &#8220;Financial Instruments&#8221;, does not differ materially, except for the items discussed below, from the aggregate carrying values of its financial instruments recorded in the accompanying consolidated balance sheets. The estimated fair value amounts have been determined by the Company using available market information and appropriate valuation methodologies. Considerable judgment is required in interpreting market data to develop the estimates of fair value.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0.9pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The carrying amounts reported in the consolidated balance sheets as of March 31, 2014 and March 31, 2013 for cash, accounts receivable and accounts payable approximate the fair value because of the immediate or short-term maturity of these financial instruments.&#160; Each reporting period we evaluate market conditions including available interest rates, credit spreads relative to our credit rating and liquidity in estimating the fair value of our debt. After considering such market conditions, we estimate that the fair value of debt approximates its carrying value.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><font style="DISPLAY: inline; FONT-WEIGHT: bold">Cash held in banks:</font> The Company maintains cash balances at a financial institution that is insured by the Federal Deposit Insurance Corporation (&#8220;FDIC&#8221;) up to federally insured limits. At times balances may exceed FDIC insured limits. The Company has not experienced any losses in such accounts.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><font style="DISPLAY: inline; FONT-WEIGHT: bold">Accounts Receivable:</font> The Company&#8217;s avionics customer base is primarily comprised of airlines, distributors, and the U.S. Government. As of March 31, 2014, the Company believes it has no significant risk related to its concentration within its accounts receivable.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Inventories:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Inventories are stated at the lower of cost or market.&#160;&#160;Cost is determined on a first-in, first-out basis.&#160;&#160;Inventories are written down if the estimated net realizable value is less than the recorded value. The Company reviews the carrying cost of inventories by product to determine the adequacy of reserves for obsolescence. In accounting for inventories, the Company must make estimates regarding the estimated realizable value of inventory. The estimate is based, in part, on the Company&#8217;s forecasts of future sales and age of inventory. In accordance with industry practice, service parts inventory is included in current assets, although service parts are carried for established requirements during the serviceable lives of the products and, therefore, not all parts are expected to be sold within one year.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Equipment and Leasehold Improvements:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Office and manufacturing equipment are stated at cost, net of accumulated depreciation.&#160;&#160;Depreciation and amortization are provided on a straight-line basis over periods ranging from 3 to 8 years.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Leasehold improvements are amortized over the term of the lease or the useful life of the asset, whichever is shorter.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Maintenance, repairs, and renewals that do not materially add to the value of the equipment nor appreciably prolong its life are charged to expense as incurred.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">When assets are retired or otherwise disposed of, the cost and related accumulated depreciation are removed from the accounts and the resulting gain or loss is included in the Statements of Operations.</font></div> P3Y P8Y <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Engineering, Research and Development Costs:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Engineering, research and development costs are expensed as incurred.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Advertising Expenses:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Advertising expenses consist primarily of costs for direct advertising. 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See above for additional information regarding our revenue recognition policies.</font></div> 171102 19505 <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Progress Billings:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Progress billings are a form of government funding for fixed-price contracts that are provided in recognition of the need for working capital, for long lead items, and work in-process expenditures. These payments from the government are recorded as progress billings in the liability section of the balance sheet. These amounts are reduced as the end item product is shipped. 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Deferred tax assets arise from a variety of sources, the most significant being: a) tax losses that can be carried forward to be utilized against profits in future years; b) expenses recognized for financial reporting purposes but disallowed in the tax return until the associated cash flow occurs; and c) valuation changes of assets which need to be tax effected for book purposes but are deductible only when the valuation change is realized.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 2.15pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Deferred tax assets and liabilities are determined based on differences between financial reporting and tax bases of assets and liabilities and are measured using enacted tax rates and laws that are expected to be in effect when such differences are expected to reverse.&#160;&#160;The measurement of deferred tax assets is reduced, if necessary, by a valuation allowance for any tax benefit which is not more likely than not to be realized. In assessing the need for a valuation</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 2.15pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">allowance, future taxable income is estimated, considering the realization of tax loss carryforwards. Valuation allowances related to deferred tax assets can also be affected by changes to tax laws, changes to statutory tax rates and future taxable income levels. In the event it was determined that the Company would not be able to realize all or a portion of our deferred tax assets in the future, we would reduce such amounts through a charge to income in the period in which that determination is made. Conversely, if we were to determine that we would be able to realize our deferred tax assets in the future in excess of the net carrying amounts, we would decrease the recorded valuation allowance through an increase to income in the period in which that determination is made.&#160;&#160;In its evaluation of a valuation allowance the Company takes into account existing contracts and backlog, and the probability that options under these contract awards will be exercised as well as sales of existing products. The Company prepares profit projections based on the revenue and expenses forecast to determine that such revenues will produce sufficient taxable income to realize the deferred tax assets.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company accounts for uncertainties in income taxes under ASC 740-10-50 which prescribes a recognition threshold and measurement attribute for the financial statement recognition and measurement of a tax position taken or expected to be taken in a tax return. ASC 740-10 requires that the Company determine whether the benefits of its tax positions are more-likely-than-not of being sustained upon audit based on the technical merits of the tax position. The Company recognizes the impact of an uncertain income tax position taken on its income tax return at the largest amount that is more-likely-than-not to be sustained upon audit by the relevant taxing authority. The implementation of ASC 740-10 had no impact on the Company&#8217;s results of operations or financial position.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Despite the Company&#8217;s belief that its tax return positions are consistent with applicable tax laws, one or more positions may be challenged by taxing authorities. Settlement of any challenge can result in no change, a complete disallowance, or some partial adjustment reached through negotiations or litigation.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Interest and penalties related to income tax matters, if applicable, will be recognized as income tax expense. During the years ended March&#160;31, 2014 and 2013 the Company did not incur any expense related to interest or penalties for income tax matters, and no such amounts were accrued as of March&#160;31, 2014 and 2013.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Stock-based Compensation:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company accounts for stock-based compensation utilizing the modified prospective method under FASB ASC 718 which requires the measurement of stock-based compensation based on the fair value of the award on the date of grant. The Company recognizes compensation cost on awards on a straight-line basis over the vesting period, typically four years. The Company estimates the fair value of each option granted using the Black-Scholes option-pricing model.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Additional information and disclosure are provided in Note 16.</font></div> P4Y <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Long-Lived Assets:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company assesses the recoverability of the carrying value of its long-lived assets whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. Recoverability of assets to be held and used is measured by a comparison of the carrying amount of an asset to future, undiscounted cash flows expected to be generated by an asset. If such assets are considered to be impaired, the impairment to be recognized is measured by the amount by which the carrying amount of the assets exceeds the fair value of the assets. Assets to be disposed of are reported at the lower of the carrying amount or fair value less costs to sell. No impairment losses have been recognized for the years ended March 31, 2014 and 2013, respectively.</font></div> 0 0 <div style="TEXT-ALIGN: justify; TEXT-INDENT: 54pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><font style="DISPLAY: inline; FONT-WEIGHT: bold">Use of Estimates:</font></font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires that management make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates.&#160;&#160;The most significant estimates include income taxes, percentage-of-completion sales recognition, warranty claims, inventory and accounts receivable valuations.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Reclassifications:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Certain prior year amounts have been reclassified to conform to the current year presentation.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Accounts Receivable:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company performs ongoing credit evaluations of its customers and adjusts credit limits based on customer payment and current credit worthiness, as determined by review of their current credit information.&#160;&#160;The Company continuously monitors credit limits for and payments from its customers and maintains provision for estimated credit losses based on its historical experience and any specific customer issues that have been identified.&#160;&#160;While such credit losses have historically been within the Company&#8217;s expectation and the provision established, the Company cannot guarantee that this will continue.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Warranty Reserves:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Warranty reserves are based upon historical rates and specific items that are identifiable and can be estimated at time of sale.&#160;&#160;While warranty costs have historically been within the Company&#8217;s expectations and the provisions established, future warranty costs could be in excess of the Company&#8217;s warranty reserves.&#160;&#160;A significant increase in these costs could adversely affect the Company&#8217;s operating results for the period and the periods these additional costs materialize.&#160;&#160;Warranty reserves are adjusted from time to time when actual warranty claim experience differs from estimates. For the year ended March 31, 2014 warranty costs were $288,685 as compared to $203,783 for the year ended March 31, 2013. These warranty reserves are included in Accrued expenses &#8211; other in the accompanying consolidated balance sheets.</font></div> 288685 203783 <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Risks and Uncertainties:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company&#8217;s operations are subject to a number of risks, including but not limited to changes in the general economy, demand for the Company&#8217;s products, the success of its customers, research and development results, reliance on the government and commercial markets, litigation, and the renewal of its line of credit.&#160;&#160;The Company has major contracts with the U.S. Government, which like all government contracts are subject to termination.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">New Accounting Pronouncements:</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">In May 2014, FASB issued ASU 2014-09, "Revenue from Contracts with Customers." This ASU is a comprehensive new revenue recognition model that requires a company to recognize revenue to depict the transfer of good or services to a customer at an amount that reflects the consideration it expects to receive in exchange for those goods or services. This ASU is effective for annual reporting periods beginning after December 15, 2016 and early adoption is not permitted. Accordingly, the Company will adopt this ASU on April 1, 2017. Companies may use either a full retrospective or modified retrospective approach to adopt this ASU and management is currently evaluating which transition approach to use. The Company is currently evaluating the impact of ASU 2014-09.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">No other recently issued accounting pronouncements had or are expected to have a material impact on the Company&#8217;s consolidated financial statements.</font></div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">3.&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;Accounts Receivable</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The following table sets forth the components of accounts receivable:</font> </div><br/><table cellpadding="0" cellspacing="0" width="75%" style="FONT-FAMILY: times new roman; 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Each officer and director also received 5,000 stock options at $8.00 per share, the market price at the date of grant. In September 2010, these officers/directors entered into an Intercreditor and Subordination agreement which subordinated their loans to the BCA Loan Agreement (see Note&#160;10 to Notes to Consolidated Financial Statements).&#160;&#160;The notes were to become due April 1, 2011 with an interest rate of 1% per month, payable on a monthly basis within 14 days of the end of each month. The Intercreditor&#160;&#160;and Subordination Agreement amongst the parties precludes the payment of principal or interest under these subordinated notes unless and until the Senior Obligations have been paid in full or without the express written consent of Senior Lender.&#160;&#160;The Subordinated Note Holders agree that the Company&#8217;s failure to pay the monthly interest amounts pursuant to the terms of the February 22, 2010 Subordinated Notes will not constitute an event of default on the Notes if the Company is precluded from making these payments pursuant to the limitations included in the loan agreement with BCA. During fiscal year 2012, the Company&#8217;s Chairman, at the time, passed away. His surviving spouse has retained this Subordinated Note and continues to acknowledge the terms. Total interest expense for both amounted to $30,000 for the years ended March 31, 2014 and 2013.</font> </div><br/> 250000 2 125000 5000 8.00 2011-04-01 2011-04-01 rate of 1% per month, payable on a monthly basis within 14 days of the end of each month rate of 1% per month, payable on a monthly basis within 14 days of the end of each month monthly basis within 14 days of the end of each month monthly basis within 14 days of the end of each month 30000 30000 <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">10.&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;Long-Term Debt</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 54pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="FONT-STYLE: italic; DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">BCA Mezzanine Fund LLP</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">In September 2010 the Company entered into an agreement with BCA Mezzanine Fund LLP (&#8220;BCA&#8221;) to loan the Company $2.5 million in the form of a Promissory Note (&#8220;the &#8220;Note&#8221;). The Company incurred expenses of $541,604 in connection with this loan, including legal fees, investment banking fees and other transaction fees, including third party warrants exercisable for 10,416 shares at $6.70 per share for five years in conjunction with the BCA loan as a finder&#8217;s fee.&#160;&#160;These expenses are included as deferred financing costs in the accompanying balance sheets, and are being amortized over the term of the loan using the straight-line method which approximates the effective interest rate method. For the years ended March 31, 2014 and 2013, the Company recorded amortization of deferred financing costs in the amount of $108,321. As of March 31, 2014, the Company had unamortized deferred financing costs in the amount of $156,463 of which $108,321 is classified as a current asset and $48,142 as long-term.&#160;&#160; As of March 31, 2013, the Company had unamortized deferred financing costs in the amount of $264,784 of which $108,321 is classified as a current asset and $146,463 as long-term.&#160;&#160;</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company also issued warrants to BCA for 136,920 shares at $6.70 per share for nine years in conjunction with the loan. In connection with the initial warrants issued with this debt, the Company recorded a debt discount of $267,848. The debt discount is being amortized over the life of the loan. For each of the years ended March 31, 2014 and 2013, the Company recorded amortization of debt discount in the amount of $53,570.&#160;&#160;As of March 31, 2014 and 2013, the Company had unamortized discount of $77,378 and $130,948, respectively, and are classified as a reduction of long-term debt in the accompanying consolidated balance sheets.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The features of the note are as follows:</font> </div><br/><table align="center" border="0" cellpadding="0" cellspacing="0" id="hangingindent" width="100%" style="FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-SIZE: 10pt; FONT-FAMILY: times new roman"> <tr valign="top"> <td style="WIDTH: 54pt"> <div> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">&#160;</font> </div> </td> <td style="WIDTH: 18pt"> <div style="TEXT-INDENT: 0pt; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">1.&#160;</font> </div> </td> <td> <div align="justify"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Note has a term of five (5) years with an annual interest rate of 14% on the outstanding principal amount. 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BCA has also agreed to allow the Company to defer principal payments due on December 31, 2012 and January 31, 2013 to February 2013, at which time the Company paid these deferred principal payments.</font> </div> </td> </tr> </table><br/><table align="center" border="0" cellpadding="0" cellspacing="0" id="hangingindent-1" width="100%" style="FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-SIZE: 10pt; FONT-FAMILY: times new roman"> <tr valign="top"> <td style="WIDTH: 54pt"> <div> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">&#160;</font> </div> </td> <td style="WIDTH: 18pt"> <div style="TEXT-INDENT: 0pt; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">2.&#160;</font> </div> </td> <td> <div align="justify"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">At inception, the Company issued BCA&#160;&#160;a nine-year warrant for 136,920 shares, based upon 4.5% of the fully &#8211;diluted outstanding shares of the Company&#8217;s common stock at $6.70 per share, the average closing price over the three days preceding the loan closing on the NYSE-MKT Exchange. In the event of specific major corporate events or the maturity of the five-year loan, BCA can require the Company to purchase the warrant and warrant shares at the higher of the then Exchange market price less the share exercise price, in the case of the warrant, or five times operating income per share. In connection with the warrant issued in conjunction with this debt, the Company recorded a debt discount (see above) and warrant liability, which is marked to fair value at the end of each period (see Note 20 to Notes to the Consolidated Financial Statements). The debt discount is being amortized over the life of the loan.</font> </div> </td> </tr> </table><br/><table align="center" border="0" cellpadding="0" cellspacing="0" id="hangingindent-3" width="100%" style="FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-SIZE: 10pt; FONT-FAMILY: times new roman"> <tr valign="top"> <td style="WIDTH: 54pt"> <div> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">&#160;</font> </div> </td> <td style="WIDTH: 18pt"> <div style="TEXT-INDENT: 0pt; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">3.&#160;</font> </div> </td> <td> <div align="left"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Loan provisions also contain customary representations and warranties.</font> </div> </td> </tr> </table><br/><table align="center" border="0" cellpadding="0" cellspacing="0" id="hangingindent-5" width="100%" style="FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-SIZE: 10pt; FONT-FAMILY: times new roman"> <tr valign="top"> <td style="WIDTH: 54pt"> <div> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">&#160;</font> </div> </td> <td style="WIDTH: 18pt"> <div style="TEXT-INDENT: 0pt; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">4.&#160;</font> </div> </td> <td> <div align="justify"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">BCA has a lien on all of the Company&#8217;s assets. In February 2011, BCA agreed to release part of its lien on Company assets to the U.S. Government to allow for progress billings up to $1,000,000.</font> </div> </td> </tr> </table><br/><table align="center" border="0" cellpadding="0" cellspacing="0" id="hangingindent-7" width="100%" style="FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-SIZE: 10pt; FONT-FAMILY: times new roman"> <tr valign="top"> <td style="WIDTH: 54pt"> <div> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">&#160;</font> </div> </td> <td style="WIDTH: 18pt"> <div style="TEXT-INDENT: 0pt; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">5.&#160;</font> </div> </td> <td> <div align="justify"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company was required to pay prepayment fees if the Company decided to prepay a portion of the principal amount during the first two years of the loan. The Company may now prepay a portion of the principal amount without any prepayment penalty.&#160;&#160;Each payment must be not less than $25,000 or multiples of $25,000 in excess thereof.</font> </div> </td> </tr> </table><br/><table align="center" border="0" cellpadding="0" cellspacing="0" id="hangingindent-9" width="100%" style="FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-SIZE: 10pt; FONT-FAMILY: times new roman"> <tr valign="top"> <td style="WIDTH: 54pt"> <div> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">&#160;</font> </div> </td> <td style="WIDTH: 18pt"> <div style="TEXT-INDENT: 0pt; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">6.&#160;</font> </div> </td> <td> <div align="justify"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Upon the occurrence of a Change of Control or within five (5) Business Days of an O&#8217;Hara Life Insurance Realization Event, the Company shall, in each case at the election of BCA, prepay by wire transfer the entire outstanding principal amount of the Note in accordance with the redemption prices (the &#8220;Mandatory redemption Prices&#8221;) set forth below (expressed as a percentage of the outstanding principal amount being prepaid and shall pay 103% in the first loan year, 102% in the second loan year, and 100% thereafter), together with (x) Interest, if any, accrued and unpaid on the outstanding principal amount of the Note so prepaid through the date of such prepayment, (y) all reasonable out-of-pocket costs and expenses (including reasonable fees, charges and disbursements of counsel), if any, associated with such prepayment, and (z) all other costs, expenses and indemnities then payable under this Agreement (such amounts, collectively the &#8220;Mandatory Redemption Payment&#8221;).&#160;&#160;If a Change of Control or O&#8217;Hara Life Insurance Realization Event shall occur during any Loan Year set forth below, the Mandatory Redemption Price shall be determined based upon the percentage indicated above for such Loan Year multiplied by the principal amount which is being prepaid.&#160;&#160;At the&#160;&#160;&#160;election of BCA, all or any portion of the Mandatory Redemption Payment may be paid in the form of Marketable Securities in lieu of cash and to the extent available and to the extent not restricted by any SBIC Regulations.&#160;&#160;In the event BCA makes the election contemplated by the immediately preceding sentence, the Issuer shall issue to Purchaser that number of shares having an aggregate Current Market Price as of such issuance date equal to that portion of the Mandatory Redemption Payment subject to such election.</font> </div> </td> </tr> </table><br/><table align="center" border="0" cellpadding="0" cellspacing="0" id="hangingindent-10" width="100%" style="FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-SIZE: 10pt; FONT-FAMILY: times new roman"> <tr valign="top"> <td style="WIDTH: 54pt"> <div> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">&#160;</font> </div> </td> <td style="WIDTH: 18pt"> <div style="TEXT-INDENT: 0pt; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">7.&#160;&#160;</font> </div> </td> <td> <div align="justify"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The&#160;BCA notes contain a number of affirmative and negative covenants which could restrict our operations. &#160;For the quarter ended March 31, 2014, the Company was not in compliance with two covenants related to maintaining agreed upon financial ratios for fixed charges and debt service. In June 2014, the Company was granted a waiver for non-compliance of the financial covenants as of March 31, 2014.</font> </div> </td> </tr> </table><br/><table align="center" border="0" cellpadding="0" cellspacing="0" id="hangingindent-11" width="100%" style="FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-SIZE: 10pt; FONT-FAMILY: times new roman"> <tr valign="top"> <td style="WIDTH: 54pt"> <div> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">&#160;</font> </div> </td> <td style="WIDTH: 18pt"> <div style="TEXT-INDENT: 0pt; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">8.&#160;&#160;</font> </div> </td> <td> <div align="justify"> <div style="TEXT-ALIGN: left; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company and BCA have amended certain provisions to ease some restrictions, including non-compliance with financial covenants, deferral of principal payments, and approval to obtain progress payments from the government.</font></font> <div style="TEXT-ALIGN: justify"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">&#160;</font> </div> <div style="TEXT-ALIGN: justify"> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">In consideration for the waiver for non-compliance of the financial covenants at March 31, 2012, BCA received warrants to purchase 20,000 shares of the Company&#8217;s common stock. The common stock underlying the warrant is exercisable at a price of $3.35 per share and the warrants expire on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.&#160;&#160;The fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant was charged to debt discount in the accompanying balance sheet in the amount of $26,477 for the year ended March 31, 2013 and will be amortized over the remaining term of the loan.</font></font> </div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><br /> </font> </div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">In consideration for the waiver for non-compliance of the financial covenants as September 30, 2012 and for the deferral of principal payments due on October 31 and November 30, 2012 to the end of the term of the loan (maturity), BCA received warrants to purchase 20,000 shares of the Company&#8217;s common stock. The common stock underlying the warrants is exercisable at a price of $3.56 per share and the warrant expires on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.&#160;&#160;The fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant was charged to debt discount in the accompanying balance sheet in the amount of $21,441 for the year ended March 31, 2013 and will be amortized over the remaining term of the loan.</font></font> </div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">&#160;</font> </div> <div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">In consideration for the waiver for non-compliance of the financial covenants as December 31, 2012 and for the deferral of principal payments due on December 31, 2012 and January 31, 2013, BCA received warrants to purchase 20,000 shares of the Company&#8217;s common stock. The common stock underlying the warrant is exercisable at a price of $3.58 per share and the warrants expire on September 10, 2019. Fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant was charged to debt discount in the accompanying balance sheet in the amount of $23,714 for the year ended March 31, 2013 and will be amortized over the remaining term of the loan. (see Note 20).&#160;&#160;In addition, the Company agreed to pay an additional closing fee of 1% of the original principal in the amount of $25,000, which is also being amortized over the remaining term of the loan.</font></font> </div> </div> </div> </div> </td> </tr> </table><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">In consideration for the waiver for non-compliance of the financial covenants at March 31, 2013, on July 12, 2013, BCA received warrants to purchase 20,000 shares of the Company&#8217;s common stock. The common stock underlying the warrants is exercisable at a price of $3.33 per share and the warrants expire on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.&#160;&#160;The fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant will be recorded as a debt discount of $19,523, and will be amortized over the remaining life of the loan.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">In consideration for the waiver for non-compliance of the financial covenants at June 30, 2013, on August 12, 2013, BCA received warrants to purchase 20,000 shares of the Company&#8217;s common stock. The common stock underlying the warrants is exercisable at a price of $3.69 per share and the warrants expire on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.&#160;&#160;The fair value of the warrant is calculated using the Black-Scholes valuation model. 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On February 13, 2014 the Company received a waiver from BCA on each of the above mentioned covenants. &#160;In consideration for this waiver for non-compliance of the financial covenants, the Company incurred an incremental fee of $10,000, which was recorded as a debt discount and will be amortized over the remaining life of the loan.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 1.8pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Total amortization expense associated with the initial warrants, additional warrants and fees were $104,644 and $57,570 for the years ended March 31, 2014 and 2013, respectively. &#160;&#160;As of March 31, 2014 and 2013, the Company had unamortized discount associated with the initial warrants, additional warrants and fees of $174,046 and $217,580, respectively, and are classified as a reduction of long-term debt in the accompanying consolidated balance sheets.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">All warrants issued to BCA are recorded as a liability and are marked to fair value each reporting period, and the resulting change is reflected in the consolidated statements of operations (see Note 20).<font style="DISPLAY: inline; FONT-FAMILY: Times New Roman">&#160;</font></font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 54pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"><font style="FONT-STYLE: italic; DISPLAY: inline">Private Investor</font></font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">On July 26, 2012 the Company entered into a securities purchase agreement (the &#8220;Securities Purchase Agreement&#8221;) with a private investor (the &#8220;Private Investor&#8221;).&#160;&#160;Pursuant to the terms of the Purchase Agreement, the Company issued (i) a senior secured promissory note in favor of the Private Investor in the aggregate principal amount of $600,000, approximately $489,000 net of expenses, accruing interest at a rate of 14% per annum and (ii) a common stock purchase warrant to purchase 50,000 shares of the Company&#8217;s common stock, par value $0.10 per share. 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The stock subscription agreements provide for the sale of up to $500,000 of newly issued restricted shares at a price of $3.60 per share, the closing average price of the Company&#8217;s common stock following the signing of the individual stock subscription agreements. All of the $500,000 has been called upon by the Company as of December 31, 2012, and the Company issued 138,890 shares of restricted stock in exchange for this amount to the three investors.&#160;&#160; This financing was used for general business purposes.</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The price was determined to be fair by a Special Valuation Committee of the Board, composed of Messrs. Robert H. Walker and Robert A. 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The Company utilizes market data or assumptions that market participants would use in pricing the asset or liability, including assumptions about risk and the risks inherent in the inputs to the valuation technique. These inputs can be readily observable, market corroborated, or generally unobservable. The Company classifies fair value balances based on the observability of those inputs. ASC 820 establishes a fair value hierarchy that prioritizes the inputs used to measure fair value. 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DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="justify"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">21.&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;Litigation</font> </div><br/><div style="TEXT-ALIGN: justify; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 54pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">On March 24, 2009, Aeroflex Wichita, Inc. (&#8220;Aeroflex&#8221;) filed a petition against the Company and two of its employees in the District Court, Sedgwick County, Kansas, Case No. 09 CV 1141 (the &#8220;Aeroflex Action&#8221;), alleging that the Company and its two employees misappropriated Aeroflex&#8217;s proprietary technology in connection with the Company winning a substantial contract from the U.S. Army (the &#8220;Award&#8221;), to develop new Mode-5 radar test sets and kits to upgrade the existing TS-4530 radar test sets to Mode 5. Aeroflex&#8217;s petition alleges that in connection with the Award, the Company and its named employees misappropriated Aeroflex&#8217;s trade secrets; tortiously interfered with its business relationship; conspired to harm Aeroflex and tortiously interfered with its contract and seeks injunctive relief and damages. The central basis of all the claims in the Aeroflex Action is that the Company misappropriated and used Aeroflex proprietary technology and confidential information in winning the Award. In February 2009, subsequent to the Award to the Company, Aeroflex filed a protest of the Award with the Government Accounting Office (&#8220;GAO&#8221;). In its protest, Aeroflex alleged, inter alia, that the Company used Aeroflex&#8217;s proprietary technology in order to win the Award, the same material allegations as were later alleged in the Aeroflex Action. On or about March 17, 2009, the U.S. Army Contracts Attorney and the U.S. Army Contracting Officer each filed a statement with the GAO, expressly rejecting Aeroflex&#8217;s allegations that the Company used or infringed Aeroflex proprietary technology in winning the Award, and concluding that the Company had used only its own proprietary technology. 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16. Stock Option Plans (Tables)
12 Months Ended
Mar. 31, 2014
Disclosure of Compensation Related Costs, Share-based Payments [Abstract]  
Schedule of Share-based Payment Award, Stock Options, Valuation Assumptions [Table Text Block] The per share weighted-average fair value of stock options granted for the years ended March 31, 2014 and 2013 was $1.76 and $1.40, respectively, on the date of grant using the Black Scholes option-pricing model with the following assumptions:

   
Dividend Yield
   
Risk-free Interest rate
   
Volatility
    Life
2014
   
0.0
%
    1.37
%
    46.31
%
 
5 years
2013
   
0.0
%
    0.79
%
    45.30
%
 
5 years
Schedule of Share-based Compensation, Stock Options, Activity [Table Text Block] A summary of the status of the Company’s stock option plans for the fiscal years ended March 31, 2014 and 2013 and changes during the years are presented below: (in number of options):

   
Number of Options
   
Average Exercise Price
 
Average Remaining
Contractual Term
 
Aggregate Intrinsic
Value
 
Outstanding options at April 1, 2012
   
201,100
   
$
5.14
         
Options granted
   
10,000
   
$
3.50
         
Options exercised
   
(39,100
)
 
$
3.53
         
Options canceled/forfeited
   
(57,400
)
 
$
5.17
         
                         
Outstanding options at March 31, 2013
   
114,600
   
$
5.53
 
2.0 years
 
$
-0-
 
Options granted
   
10,000
   
$
4.22
           
Options exercised
   
(8,300
)
 
$
3.98
           
Options canceled/forfeited
   
(28,300
)
 
$
3.67
           
                           
Outstanding options at March 31, 2014
   
88,000
   
$
6.12
 
2.0 years
 
$
11,200
 
Vested Options:
                         
      March 31, 2014:
   
61,800
   
$
6.12
 
1.2 years
 
$
9,200
 
      March 31, 2013:
   
71,100
   
$
5.14
 
1.4 years
 
$
-0-
 
Schedule of Nonvested Share Activity [Table Text Block] A summary of the Company’s non-vested shares as of March 31, 2014, and changes during the year ended March 31, 2014 is presented below:

Non-vested Shares
 
Shares
   
Weighted-Average
Grant-Date
Fair value
 
             
Non-vested at April 1, 2013
   
43,500
   
$
6.18
 
Granted
   
10,000
   
$
4.22
 
Vested
   
(27,300
)
 
$
5.52
 
Forfeited
   
-
   
$
-
 
Non-vested at March 31, 2014
   
26,200
   
$
6.13
 
XML 14 R54.htm IDEA: XBRL DOCUMENT v2.4.0.8
7. Accrued Expenses (Details) - Schedule of Product Warrant Liability (USD $)
12 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Schedule of Product Warrant Liability [Abstract]    
Warranty reserve, at beginning of period $ 287,470 $ 271,629
Warranty expense 288,685 203,783
Warranty deductions (382,093) (187,942)
Warranty reserve, at end of period $ 194,062 $ 287,470
XML 15 R48.htm IDEA: XBRL DOCUMENT v2.4.0.8
5. Equipment and Leasehold Improvements (Details) (USD $)
12 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Property, Plant and Equipment [Abstract]    
Depreciation, Depletion and Amortization $ 202,936 $ 228,069
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XML 17 R70.htm IDEA: XBRL DOCUMENT v2.4.0.8
15. Subscription Agreements (Details) (USD $)
12 Months Ended
Mar. 31, 2013
15. Subscription Agreements (Details) [Line Items]  
Equity Purchase Commitment, Value $ 500,000
Sale of Stock, Price Per Share (in Dollars per share) $ 3.60
Stock Issued During Period, Value, Restricted Stock Award, Gross 500,000
Stock Issued During Period, Shares, Restricted Stock Award, Gross (in Shares) 138,890
Number of Investors 3
Stock Issued During Period, Value, New Issues 1,000,002
Stock issued November 2012 [Member]
 
15. Subscription Agreements (Details) [Line Items]  
Stock Issued During Period, Value, New Issues $ 500,000
Stock Issued During Period, Shares, New Issues (in Shares) 149,534
Share Price (in Dollars per share) $ 3.35
XML 18 R55.htm IDEA: XBRL DOCUMENT v2.4.0.8
7. Accrued Expenses (Details) - Schedule of Accrued Liabilities - Related Party (USD $)
Mar. 31, 2014
Mar. 31, 2013
Schedule of Accrued Liabilities - Related Party [Abstract]    
Interest due to the estate of the Company’s former Chairman $ 61,518 $ 46,518
Interest and other expenses due to the Company’s President/CEO 61,518 54,018
$ 123,036 $ 100,536
XML 19 R78.htm IDEA: XBRL DOCUMENT v2.4.0.8
18. Segment Information (Details) - Schedule of Segment Reporting Information, by Segment (USD $)
3 Months Ended 12 Months Ended
Mar. 31, 2014
Dec. 31, 2013
Sep. 30, 2013
Jun. 30, 2013
Mar. 31, 2013
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2014
Mar. 31, 2013
Segment Reporting Information [Line Items]                    
Net sales $ 4,504,706 $ 4,089,029 $ 4,034,581 $ 3,199,975 $ 1,905,000 $ 2,350,020 $ 2,394,950 $ 1,177,288 $ 15,828,291 $ 7,827,258
Cost of Sales                 9,464,404 6,866,036
Gross Margin 2,506,293 [1] 1,395,687 1,275,749 1,186,158 (378,263) [2] 453,368 602,423 283,694 6,363,887 961,222
Engineering, research, and Development                 1,853,338 2,149,591
Selling, general, and administrative                 3,146,647 2,564,637
Amortization of debt discount                 104,644 129,763
Amortization of deferred financing costs                 108,321 219,662
Change in fair value of common stock warrant                 114,869 (294,785)
Loss on extinguishment of debt                 26,600 0
Interest expense, net                 305,095 508,505
                5,659,514 5,277,373
Income (loss) before income taxes 956,709 (87,081) (61,614) (103,641) (1,756,566) (848,965) (878,276) (832,344) 704,373 (4,316,151)
Segment Assets 10,634,353       11,919,434       10,634,353 11,919,434
Avionics Gov't [Member]
                   
Segment Reporting Information [Line Items]                    
Net sales                 13,726,976 5,779,947
Cost of Sales                 8,003,137 4,934,322
Gross Margin                 5,723,839 845,625
Segment Assets 5,801,273       5,191,777       5,801,273 5,191,777
Avionics Comm'l. [Member]
                   
Segment Reporting Information [Line Items]                    
Net sales                 1,774,520 2,047,311
Cost of Sales                 1,461,267 1,931,714
Gross Margin                 313,253 115,597
Segment Assets 319,758       1,651,204       319,758 1,651,204
Avionics Total [Member]
                   
Segment Reporting Information [Line Items]                    
Net sales                 15,501,496 7,827,258
Cost of Sales                 9,464,404 6,866,036
Gross Margin                 6,037,092 961,222
Engineering, research, and Development                 1,853,338 2,149,591
Selling, general, and administrative                 1,372,342 1,162,608
Amortization of debt discount                 0 0
Amortization of deferred financing costs                 0 0
Change in fair value of common stock warrant                 0 0
Loss on extinguishment of debt                 0 0
Interest expense, net                 0 0
                3,225,680 3,312,199
Income (loss) before income taxes                 2,811,412 (2,350,977)
Segment Assets 6,121,031       6,848,981       6,121,031 6,848,981
Corporate Segment [Member]
                   
Segment Reporting Information [Line Items]                    
Net sales                 326,795 [3] 0
Cost of Sales                 0 0
Gross Margin                 326,795 0
Engineering, research, and Development                 0 0
Selling, general, and administrative                 1,774,305 1,402,029
Amortization of debt discount                 104,644 129,763
Amortization of deferred financing costs                 108,321 219,662
Change in fair value of common stock warrant                 114,869 (294,785)
Loss on extinguishment of debt                 26,600 0
Interest expense, net                 305,095 508,505
                2,433,834 1,965,174
Income (loss) before income taxes                 (2,107,039) (1,965,174)
Segment Assets $ 4,513,322       $ 5,070,453       $ 4,513,322 $ 5,070,453
[1] As part of the agreement with the Company's subcontractor to secure the IP (see Note 6), upon payment of the $1,200,000, the outstanding amount due to the subcontractor in the amount of $790,535 was discharged and is recorded as a reduction of cost of goods sold.
[2] During the fourth quarter of fiscal 2013, the Company recorded a write down of inventory of approximately of $180,000 related to book to physical adjustments, approximately $200,000 of additional third party costs related to vendor services, manufacturing variances, and incurred charges related to temporarily curtailing production in order to enhance quality procedures in its production process.
[3] Represents sale of intellectual property
XML 20 R46.htm IDEA: XBRL DOCUMENT v2.4.0.8
4. Inventories (Details) (USD $)
Mar. 31, 2014
Mar. 31, 2013
4. Inventories (Details) [Line Items]    
Inventory, Work in Process, Gross $ 1,134,714 $ 1,636,325
Inventory for Government Contracts [Member]
   
4. Inventories (Details) [Line Items]    
Inventory, Work in Process, Gross $ 1,092,928 $ 1,236,593
XML 21 R33.htm IDEA: XBRL DOCUMENT v2.4.0.8
7. Accrued Expenses (Tables)
12 Months Ended
Mar. 31, 2014
7. Accrued Expenses (Tables) [Line Items]  
Schedule of Product Warranty Liability [Table Text Block] The following table provides a summary of the changes in warranty reserves for the years ended March 31, 2014 and 2013:

   
March 31, 2014
   
March 31, 2013
 
Warranty reserve, at beginning of period
 
$
287,470
   
$
271,629
 
Warranty expense
   
288,685
     
203,783
 
Warranty deductions
   
(382,093
)
   
(187,942
Warranty reserve, at end of period
 
$
194,062
   
$
287,470
 
Accrued Employee Related Liabilities [Member]
 
7. Accrued Expenses (Tables) [Line Items]  
Schedule of Accrued Liabilities [Table Text Block] Accrued vacation pay, deferred wages, payroll and payroll withholdings consist of the following:

   
March 31,
 
   
2014
   
2013
 
             
Accrued vacation pay
 
$
267,991
   
$
273,612
 
Accrued compensation and payroll withholdings
   
176,247
     
168,910
 
                 
   
$
444,238
   
$
442,522
 
Accrued Expenses, Other [Member]
 
7. Accrued Expenses (Tables) [Line Items]  
Schedule of Accrued Liabilities [Table Text Block] Accrued expenses - other consist of the following:

   
March 31,
 
   
2014
   
2013
 
             
Accrued interest
 
$
17,672
   
$
110,751
 
Accrued outside contractor costs
   
104,610
     
882,351
 
Accrued commissions
   
188,840
     
8,448
 
Accrued legal costs
   
215,582
     
40,688
 
Warranty reserve
   
194,062
     
287,470
 
Accrued – other
   
198,521
     
95,294
 
                 
   
$
919,287
   
$
1,425,002
 
Accrued Expenses, Related Party [Member]
 
7. Accrued Expenses (Tables) [Line Items]  
Schedule of Accrued Liabilities [Table Text Block] Accrued expenses – related parties consists of the following:

   
March 31,
 
   
2014
   
2013
 
             
Interest due to the estate  
   of the Company’s former Chairman
 
$
61,518
   
46,518
 
Interest and other expenses due to
    the Company’s President/CEO
   
61,518
     
54,018
 
                 
   
$
123,036
   
$
100,536
 
XML 22 R79.htm IDEA: XBRL DOCUMENT v2.4.0.8
19. Quarterly Results of Operations (Unaudited) (Details) (USD $)
12 Months Ended
Mar. 31, 2014
Mar. 31, 2013
19. Quarterly Results of Operations (Unaudited) (Details) [Line Items]    
Cost of Goods Sold $ 9,464,404 $ 6,866,036
Inventory Write-down   180,000
New Jersey [Member]
   
19. Quarterly Results of Operations (Unaudited) (Details) [Line Items]    
Other Cost of Operating Revenue   200,000
Intellectual Property [Member]
   
19. Quarterly Results of Operations (Unaudited) (Details) [Line Items]    
Payments to Acquire Intangible Assets 1,200,000  
Cost of Goods Sold $ (790,535)  
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16. Stock Option Plans (Details) - Schedule of Share-based Compensation, Stock Options, Activity (USD $)
12 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Mar. 31, 2012
Number of Options [Member]
     
16. Stock Option Plans (Details) - Schedule of Share-based Compensation, Stock Options, Activity [Line Items]      
Outstanding options 88,000 114,600 201,100
Vest Options 61,800 71,100  
Options granted 10,000 10,000  
Options exercised (8,300) (39,100)  
Options canceled/forfeited (28,300) (57,400)  
Average Exercise Price [Member]
     
16. Stock Option Plans (Details) - Schedule of Share-based Compensation, Stock Options, Activity [Line Items]      
Outstanding options $ 6.12 $ 5.53 $ 5.14
Vest Options $ 6.12 $ 5.14  
Options granted $ 4.22 $ 3.50  
Options exercised $ 3.98 $ 3.53  
Options canceled/forfeited $ 3.67 $ 5.17  
Average Remaining Contractual Term [Member]
     
16. Stock Option Plans (Details) - Schedule of Share-based Compensation, Stock Options, Activity [Line Items]      
Outstanding options 2 years 2 years  
Vest Options 1 year 73 days 1 year 146 days  
Aggregate Intrinsic Value [Member]
     
16. Stock Option Plans (Details) - Schedule of Share-based Compensation, Stock Options, Activity [Line Items]      
Outstanding options $ 11,200 $ 0  
Vest Options $ 9,200 $ 0  
XML 25 R57.htm IDEA: XBRL DOCUMENT v2.4.0.8
8. Income Taxes (Details) - Schedule of Components of Income Tax Expense (Benefit) (USD $)
12 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Current:    
Federal $ 16,000 $ 0
State and local 3,500 3,911
Total current tax provision 19,500 3,911
Deferred:    
Federal 401,283 (1,561,076)
State and local 22,062 13,585
Total deferred tax provision (benefit) 423,345 (1,547,491)
Total provision (benefit) $ 442,845 $ (1,543,580)
XML 26 R76.htm IDEA: XBRL DOCUMENT v2.4.0.8
17. Net Diluted (Loss) Income Per Share (Details) - Schedule of Earnings Per Share, Basic and Diluted (USD $)
3 Months Ended 12 Months Ended
Mar. 31, 2014
Dec. 31, 2013
Sep. 30, 2013
Jun. 30, 2013
Mar. 31, 2013
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2014
Mar. 31, 2013
Basic net income (loss) per share computation:                    
Net income(loss) $ 565,707 $ (145,933) $ (72,474) $ (85,772) $ (1,128,889) $ (545,177) $ (429,705) $ (668,800) $ 261,528 $ (2,772,571)
Weighted-average common shares outstanding                 3,204,028 2,834,257
Basic net income (loss) per share $ 0.17 $ (0.04) $ (0.02) $ (0.03) $ (0.38) $ (0.19) $ (0.16) $ (0.25) $ 0.08 $ (0.98)
Diluted net income (loss) per share computation                    
Net income (loss)                 261,528 (2,772,571)
Add: Change in fair value of warrants                 71,757 0
Diluted income (loss)                 $ 333,285 $ (2,772,571)
Weighted-average common shares outstanding                 3,204,028 2,834,257
Incremental shares attributable to the assumed exercise of outstanding stock options and warrants                 24,866 0
Total adjusted weighted-average shares                 3,228,894 2,834,257
Diluted net income (loss) per share $ 0.14 $ (0.04) $ (0.02) $ (0.03) $ (0.38) $ (0.19) $ (0.16) $ (0.25) $ 0.10 $ (0.98)
XML 27 R81.htm IDEA: XBRL DOCUMENT v2.4.0.8
20. Fair Value Measurements (Details) - Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis (USD $)
Mar. 31, 2014
Mar. 31, 2013
Mar. 31, 2012
20. Fair Value Measurements (Details) - Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Line Items]      
Liabilities, Fair Value $ 354,309 $ 198,330 $ 355,290
Warrant Liability [Member] | Fair Value, Inputs, Level 1 [Member]
     
20. Fair Value Measurements (Details) - Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Line Items]      
Liabilities, Fair Value 0 0  
Warrant Liability [Member] | Fair Value, Inputs, Level 2 [Member]
     
20. Fair Value Measurements (Details) - Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Line Items]      
Liabilities, Fair Value 0 0  
Warrant Liability [Member] | Fair Value, Inputs, Level 3 [Member]
     
20. Fair Value Measurements (Details) - Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Line Items]      
Liabilities, Fair Value 354,309 198,330  
Warrant Liability [Member]
     
20. Fair Value Measurements (Details) - Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Line Items]      
Liabilities, Fair Value 354,309 198,330  
Fair Value, Inputs, Level 1 [Member]
     
20. Fair Value Measurements (Details) - Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Line Items]      
Liabilities, Fair Value 0 0  
Fair Value, Inputs, Level 2 [Member]
     
20. Fair Value Measurements (Details) - Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Line Items]      
Liabilities, Fair Value 0 0  
Fair Value, Inputs, Level 3 [Member]
     
20. Fair Value Measurements (Details) - Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Line Items]      
Liabilities, Fair Value $ 354,309 $ 198,330  
XML 28 R77.htm IDEA: XBRL DOCUMENT v2.4.0.8
18. Segment Information (Details)
12 Months Ended
Mar. 31, 2014
Segment Reporting [Abstract]  
Number of Reportable Segments 2
XML 29 R71.htm IDEA: XBRL DOCUMENT v2.4.0.8
16. Stock Option Plans (Details) (USD $)
12 Months Ended
Mar. 31, 2014
Mar. 31, 2013
16. Stock Option Plans (Details) [Line Items]    
Share-based Compensation Arrangement by Share-based Payment Award, Fair Value Assumptions, Expected Term 5 years 5 years
Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Weighted Average Grant Date Fair Value (in Dollars per share) $ 1.76 $ 1.40
Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Available for Grant (in Shares) 237,278 218,978
Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period, Intrinsic Value $ 3,760 $ 38,940
Proceeds from Stock Options Exercised 33,020 138,090
Employee Service Share-based Compensation, Nonvested Awards, Compensation Cost Not yet Recognized 39,255 108,807
Employee Service Share-based Compensation, Nonvested Awards, Compensation Cost Not yet Recognized, Period for Recognition 1 year  
Share-based Compensation 84,742 81,517
Adjustments to Additional Paid in Capital, Income Tax Benefit from Share-based Compensation $ 3,468 $ 7,190
2003 Stock Option Plan [Member]
   
16. Stock Option Plans (Details) [Line Items]    
Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Authorized (in Shares) 250,000  
Share-based Compensation Arrangement by Share-based Payment Award, Terms of Award term of ten years from the date of adoption  
Share-based Compensation Arrangement by Share-based Payment Award, Exercise Period 5 years  
Share-based Compensation Arrangement by Share-based Payment Award, Exercise Price Description exercise price which is not less than the fair market value of the common stock at the date of grant, except as to a stockholder owning 10% or more of the outstanding common stock of the Company, as to whom the exercise price must not be less than 110% of the fair market value of the common stock at the date of grant  
Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Rights 20% at or after each of the first, second, and third anniversary of the grant and 40% after the fourth year anniversary  
XML 30 R25.htm IDEA: XBRL DOCUMENT v2.4.0.8
19. Quarterly Results of Operations (Unaudited)
12 Months Ended
Mar. 31, 2014
Quarterly Financial Information Disclosure [Abstract]  
Quarterly Financial Information [Text Block]
19.                 Quarterly Results of Operations (Unaudited)

Quarterly consolidated data for the years ended March 31, 2014 and 2013 is as follows:

 FY 2014
 
June 30
   
September 30
   
December 31
   
March 31
   
Net sales
  $ 3,199,975     $ 4,034,581     $ 4,089,029     $ 4,504,706    
Gross margin
    1,186,158       1,275,749       1,395,687       2,506,293   (1)
Income (loss) before taxes
    (103,641 )     (61,614 )     (87,081 )     956,709    
Net income (loss)
    (85,772 )     (72,474 )     (145,933 )     565,707    
Basic income (loss) per share
    (0.03 )     (0.02 )     (0.04 )     0.17    
Diluted income (loss) per share
    (0.03 )     (0.02 )     (0.04 )     0.14    

   
Quarter Ended
   
FY 2013
 
June 30
   
September 30
   
December 31
   
March 31
   
                           
Net sales
  $ 1,177,288     $ 2,394,950     $ 2,350,020     $ 1,905,000    
Gross margin
    283,694       602,423       453,368       (378,263 ) (2)
Income before taxes
    (832,344 )     (878,276 )     (848,965 )     (1,756,566  
Net income (loss) (1)
    (668,800 )     (429,705 )     (545,177 )     (1,128,889  
Basic income (loss) per share (1)
    (0.25 )     (0.16 )     (0.19 )     (0.38  
Diluted income (loss) per share (1)
    (0.25 )     (0.16 )     (0.19 )     (0.38  

(1) As part of the agreement with the Company’s subcontractor to secure the IP (see Note 6), upon payment of the $1,200,000, the outstanding amount due to the subcontractor in the amount of $790,535 was discharged and is recorded as a reduction of cost of goods sold.

(2) During the fourth quarter of fiscal 2013, the Company recorded a write down of inventory of approximately of $180,000 related to book to physical adjustments, approximately $200,000 of additional third party costs related to vendor services, manufacturing variances, and incurred charges related to temporarily curtailing production in order to enhance quality procedures in its production process. 

XML 31 R50.htm IDEA: XBRL DOCUMENT v2.4.0.8
6. Intellectual Property (Details) (USD $)
3 Months Ended 12 Months Ended
Mar. 31, 2014
Dec. 31, 2013
Sep. 30, 2013
Jun. 30, 2013
Mar. 31, 2013
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2014
Mar. 31, 2013
6. Intellectual Property (Details) [Line Items]                    
Revenue, Net $ 4,504,706 $ 4,089,029 $ 4,034,581 $ 3,199,975 $ 1,905,000 $ 2,350,020 $ 2,394,950 $ 1,177,288 $ 15,828,291 $ 7,827,258
Cost of Goods Sold                 9,464,404 6,866,036
Engineering Enhancements for ITATS Program [Member] | Intellectual Property [Member]
                   
6. Intellectual Property (Details) [Line Items]                    
Revenue, Net                 117,095  
Intellectual Property [Member]
                   
6. Intellectual Property (Details) [Line Items]                    
Finite-lived Intangible Assets Acquired                 2,140,000  
Finite-Lived Intangible Assets, Purchase Accounting Adjustments                 1,526,795  
Payments to Acquire Intangible Assets                 1,200,000  
Revenue, Net                 326,795  
Cost of Goods Sold                 $ (790,535)  
XML 32 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
19. Quarterly Results of Operations (Unaudited) (Tables)
12 Months Ended
Mar. 31, 2014
Quarterly Financial Information Disclosure [Abstract]  
Schedule of Quarterly Financial Information [Table Text Block] Quarterly consolidated data for the years ended March 31, 2014 and 2013 is as follows:

 FY 2014
 
June 30
   
September 30
   
December 31
   
March 31
   
Net sales
  $ 3,199,975     $ 4,034,581     $ 4,089,029     $ 4,504,706    
Gross margin
    1,186,158       1,275,749       1,395,687       2,506,293   (1)
Income (loss) before taxes
    (103,641 )     (61,614 )     (87,081 )     956,709    
Net income (loss)
    (85,772 )     (72,474 )     (145,933 )     565,707    
Basic income (loss) per share
    (0.03 )     (0.02 )     (0.04 )     0.17    
Diluted income (loss) per share
    (0.03 )     (0.02 )     (0.04 )     0.14    
   
Quarter Ended
   
FY 2013
 
June 30
   
September 30
   
December 31
   
March 31
   
                           
Net sales
  $ 1,177,288     $ 2,394,950     $ 2,350,020     $ 1,905,000    
Gross margin
    283,694       602,423       453,368       (378,263 ) (2)
Income before taxes
    (832,344 )     (878,276 )     (848,965 )     (1,756,566  
Net income (loss) (1)
    (668,800 )     (429,705 )     (545,177 )     (1,128,889  
Basic income (loss) per share (1)
    (0.25 )     (0.16 )     (0.19 )     (0.38  
Diluted income (loss) per share (1)
    (0.25 )     (0.16 )     (0.19 )     (0.38  
(1) As part of the agreement with the Company’s subcontractor to secure the IP (see Note 6), upon payment of the $1,200,000, the outstanding amount due to the subcontractor in the amount of $790,535 was discharged and is recorded as a reduction of cost of goods sold.
(2) During the fourth quarter of fiscal 2013, the Company recorded a write down of inventory of approximately of $180,000 related to book to physical adjustments, approximately $200,000 of additional third party costs related to vendor services, manufacturing variances, and incurred charges related to temporarily curtailing production in order to enhance quality procedures in its production process. 
XML 33 R75.htm IDEA: XBRL DOCUMENT v2.4.0.8
17. Net Diluted (Loss) Income Per Share (Details)
12 Months Ended
Mar. 31, 2014
Equity Option [Member]
 
17. Net Diluted (Loss) Income Per Share (Details) [Line Items]  
Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount 78,000
Warrant [Member]
 
17. Net Diluted (Loss) Income Per Share (Details) [Line Items]  
Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount 147,336
XML 34 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
13. Capitalized Lease Obligations (Tables)
12 Months Ended
Mar. 31, 2014
Leases, Capital [Abstract]  
Schedule of Future Minimum Lease Payments for Capital Leases [Table Text Block] At March 31, 2014, future payments under capital leases are as follows over each of the next five fiscal years:

 2015
 
$
59,592
 
 2016
   
18,685
 
 2017
   
4,670
 
 2018
   
--
 
 2019
   
--
 
Total minimum lease payments
   
82,947
 
Less amounts representing interest
   
(8,019
)
Present value of net minimum lease payments
   
74,928
 
Less current portion
   
(53,608
)
Long-term capital lease obligation
 
$
21,320
 
XML 35 R52.htm IDEA: XBRL DOCUMENT v2.4.0.8
7. Accrued Expenses (Details) - Schedule of Accrued Liabilities - Employee Related Party (USD $)
Mar. 31, 2014
Mar. 31, 2013
Schedule of Accrued Liabilities - Employee Related Party [Abstract]    
Accrued vacation pay $ 267,991 $ 273,612
Accrued compensation and payroll withholdings 176,247 168,910
$ 444,238 $ 442,522
XML 36 R67.htm IDEA: XBRL DOCUMENT v2.4.0.8
13. Capitalized Lease Obligations (Details) - Schedule of Future Minimum Lease Payments for Capital Leases (USD $)
Mar. 31, 2014
Mar. 31, 2013
Schedule of Future Minimum Lease Payments for Capital Leases [Abstract]    
2015 $ 59,592  
2016 18,685  
2017 4,670  
2018 0  
2019 0  
Total minimum lease payments 82,947  
Less amounts representing interest (8,019)  
Present value of net minimum lease payments 74,928  
Less current portion (53,608) (74,508)
Long-term capital lease obligation $ 21,320 $ 76,055
XML 37 R61.htm IDEA: XBRL DOCUMENT v2.4.0.8
10. Long-Term Debt (Details) (USD $)
3 Months Ended 12 Months Ended
Dec. 31, 2013
Mar. 31, 2014
Mar. 31, 2013
Mar. 31, 2012
Mar. 31, 2011
10. Long-Term Debt (Details) [Line Items]          
Deferred Finance Costs, Current, Net   $ 108,321 $ 108,321    
Deferred Finance Costs, Noncurrent, Net   48,142 156,463    
Amortization of Debt Discount (Premium)   104,644 129,763    
Common Stock, Par or Stated Value Per Share (in Dollars per share)   $ 0.10 $ 0.10    
Warrants, Fair Value of Warrants, Granted   41,110 137,825    
Gains (Losses) on Extinguishment of Debt   (26,600) 0    
Initial Warrants [Member] | BCA Mezzanine Fund LLP Promissory Note [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Class of Warrant or Rights, Granted (in Shares)       136,920  
Class of Warrant or Right, Exercise Price of Warrants or Rights (in Dollars per Item)     $ 6.70    
Warrants, Term of Warrants       9 years  
Debt Instrument, Unamortized Discount   77,378 130,948    
Amortization of Debt Discount (Premium)   53,570 53,570    
Fully-dilutive basis used for the calculation of warrant issuance       4.50%  
Principal Amount [Member] | Private Investor Securities Purchase Agreement [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Debt Conversion, Converted Instrument, Amount   600,000      
Penalty Fee [Member] | Private Investor Securities Purchase Agreement [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Debt Conversion, Converted Instrument, Amount   25,000      
Accrued Interest [Member] | Private Investor Securities Purchase Agreement [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Debt Conversion, Converted Instrument, Amount   12,400      
Consideration for Waiver of Non-Compliance of Covenants, March 31, 2012 [Member] | BCA Mezzanine Fund LLP Promissory Note [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Class of Warrant or Rights, Granted (in Shares)       20,000  
Class of Warrant or Right, Exercise Price of Warrants or Rights (in Dollars per Item)       $ 3.35  
Warrant Expiration Date       Sep. 10, 2019  
Financial Services Costs     26,477    
Consideration for Waiver of Non-Compliance of Covenants, September 30, 2012 [Member] | BCA Mezzanine Fund LLP Promissory Note [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Class of Warrant or Rights, Granted (in Shares)     20,000    
Class of Warrant or Right, Exercise Price of Warrants or Rights (in Dollars per Item)     $ 3.56    
Warrant Expiration Date     Sep. 10, 2019    
Financial Services Costs     21,441    
Consideration for Waiver of Non-Compliance of Covenants, December 31, 2012 [Member] | BCA Mezzanine Fund LLP Promissory Note [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Class of Warrant or Rights, Granted (in Shares)     20,000    
Class of Warrant or Right, Exercise Price of Warrants or Rights (in Dollars per Item)     $ 3.58    
Warrant Expiration Date     Sep. 10, 2019    
Warrants and Rights Outstanding     23,714    
Debt Instrument, Closing Fee, Percent     1.00%    
Debt Instrument, Increase (Decrease), Net     25,000    
Consideration for Waiver of Non-Compliance of Covenants, March 31, 2013 [Member] | BCA Mezzanine Fund LLP Promissory Note [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Class of Warrant or Rights, Granted (in Shares)     20,000    
Class of Warrant or Right, Exercise Price of Warrants or Rights (in Dollars per Item)     $ 3.33    
Financial Services Costs     19,523    
Consideration for Waiver of Non-Compliance of Covenants, June 30, 2013 [Member] | BCA Mezzanine Fund LLP Promissory Note [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Class of Warrant or Rights, Granted (in Shares)     20,000    
Class of Warrant or Right, Exercise Price of Warrants or Rights (in Dollars per Item)     $ 3.69    
Financial Services Costs     21,587    
Consideration for Waiver of Non-Compliance of Covenants, September 30, 2013 [Member] | BCA Mezzanine Fund LLP Promissory Note [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Financial Services Costs     10,000    
Consideration for Waiver of Non-Compliance of Covenants, December 31, 2013 [Member], 2013 | BCA Mezzanine Fund LLP Promissory Note [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Financial Services Costs 10,000        
Penalty Fee [Member] | Private Investor Securities Purchase Agreement [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Debt Instrument, Fee Amount     25,000    
Debt Instrument, Interest Rate, Increase (Decrease)     10.00%    
BCA Mezzanine Fund LLP Promissory Note [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Debt Instrument, Face Amount         2,500,000
Debt Issuance Cost         541,604
Class of Warrant or Rights, Granted (in Shares)         10,416
Class of Warrant or Right, Exercise Price of Warrants or Rights (in Dollars per Item)         $ 6.70
Warrants, Term of Warrants         5 years
Amortization of Deferred Charges   108,321 108,321    
Deferred Finance Costs, Net   156,463 264,784    
Deferred Finance Costs, Current, Net   108,321 108,321    
Deferred Finance Costs, Noncurrent, Net   48,142 146,463    
Debt Instrument, Unamortized Discount   174,046 217,580   267,848
Amortization of Debt Discount (Premium)   104,644 57,570    
Debt Instrument, Term         5 years
Debt Instrument, Interest Rate, Stated Percentage         14.00%
Debt Instrument, Periodic Payment, Interest       69,000 28,762
Debt Instrument, Frequency of Periodic Payment         monthly
Debt Instrument, Collateral     $1,000,000    
Debt Instrument, Subjective Acceleration Clause   be not less than $25,000 or multiples of $25,000 in excess thereof.6. Upon the occurrence of a Change of Control or within five (5) Business Days of an O'Hara Life Insurance Realization Event, the Company shall, in each case at the election of BCA, prepay by wire transfer the entire outstanding principal amount of the Note in accordance with the redemption prices (the "Mandatory redemption Prices") set forth below (expressed as a percentage of the outstanding principal amount being prepaid and shall pay 103% in the first loan year, 102% in the second loan year, and 100% thereafter), together with (x) Interest, if any, accrued and unpaid on the outstanding principal amount of the Note so prepaid through the date of such prepayment, (y) all reasonable out-of-pocket costs and expenses (including reasonable fees, charges and disbursements of counsel), if any, associated with such prepayment, and (z) all other costs, expenses and indemnities then payable under this Agreement (such amounts, collectively the "Mandatory Redemption Payment").      
Debt Instrument, Covenant Compliance Company was not in compliance with four covenants related to maintaining agreed upon financial ratios for fixed charges, leverage and debt service as well as a requirement for earnings before interest, taxes, depreciation and amortization (EBITDA).        
Prepayment penalty, year 1 [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Prepayment penalty         103.00%
Prepayment penalty, year 2 [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Prepayment penalty         102.00%
Prepayment penalty, after year 2 [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Prepayment penalty         100.00%
Private Investor Securities Purchase Agreement [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Debt Instrument, Face Amount     600,000    
Class of Warrant or Rights, Granted (in Shares)     50,000    
Class of Warrant or Right, Exercise Price of Warrants or Rights (in Dollars per Item)     $ 3.35    
Debt Instrument, Interest Rate, Stated Percentage     14.00%    
Warrant Expiration Date     Sep. 10, 2019    
Debt Instrument, Covenant Compliance     Company was not in compliance with four covenants related to maintaining agreed upon financial ratios for fixed charges, leverage and debt service as well as a requirement for earnings before interest, taxes, depreciation and amortization (EBITDA).    
Proceeds from Debt, Net of Issuance Costs     489,000    
Common Stock, Par or Stated Value Per Share (in Dollars per share)     $ 0.10    
Warrants, Fair Value of Warrants, Granted     66,193    
Debt Conversion, Converted Instrument, Amount   637,400      
Debt Conversion, Converted Instrument, Shares Issued (in Shares)   200,000      
Debt Instrument, Convertible, Conversion Price (in Dollars per share)   $ 3.187      
Share Price (in Dollars per share)   $ 3.32      
Gains (Losses) on Extinguishment of Debt   26,600      
Auto Loan [Member]
         
10. Long-Term Debt (Details) [Line Items]          
Debt Instrument, Face Amount   23,712      
Debt Instrument, Term   5 years      
Debt Instrument, Interest Rate, Stated Percentage   8.79%      
Debt Instrument, Periodic Payment   492      
Other Notes Payable   $ 23,538      
XML 38 R47.htm IDEA: XBRL DOCUMENT v2.4.0.8
4. Inventories (Details) - Schedule of Inventory, Current (USD $)
Mar. 31, 2014
Mar. 31, 2013
Schedule of Inventory, Current [Abstract]    
Purchased parts $ 3,085,070 $ 4,418,989
Work-in-process 1,134,714 1,636,325
Finished goods 10,607 385,867
Less: Allowance for obsolete inventory (205,000) (200,000)
$ 4,025,391 $ 6,241,181
XML 39 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
3. Accounts Receivable
12 Months Ended
Mar. 31, 2014
Receivables [Abstract]  
Loans, Notes, Trade and Other Receivables Disclosure [Text Block]
3.                   Accounts Receivable

The following table sets forth the components of accounts receivable:

   
March 31,
 
   
2014
   
2013
 
Government
 
$
1,982,215
   
$
423,165
 
Commercial
   
140,707
     
153,654
 
Less: Allowance for doubtful accounts
   
(27,282
)
   
(18,940
)
   
$
2,095,640
   
$
557,879
 

XML 40 R62.htm IDEA: XBRL DOCUMENT v2.4.0.8
10. Long-Term Debt (Details) - Schedule of Maturities of Long-term Debt (USD $)
Mar. 31, 2014
Schedule of Maturities of Long-term Debt [Abstract]  
2015 $ 718,848
2016 755,375
2017 4,751
2018 5,186
2019 5,260
Total Principal 1,489,420
Less: Debt Discount (174,046)
Total Debt $ 1,315,374
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20. Fair Value Measurements (Tables)
12 Months Ended
Mar. 31, 2014
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block] The following table sets forth by level within the fair value hierarchy the Company’s financial assets and liabilities that were accounted for at fair value as of March 31, 2014 and March 31, 2013. As required by FASB ASC 820, financial assets and liabilities are classified in their entirety based on the lowest level of input that is significant to the fair value measurement.

March 31, 2014
 
Level I
   
Level II
   
Level III
   
Total
 
                         
Warrant Liability
 
$
-
   
$
-
   
$
354,309
   
$
354,309
 
Total Liabilities
 
$
-
   
$
-
   
$
354,309
   
$
354,309
 
March 31, 2013 
 
Level I
   
Level II
   
Level III
   
Total
 
                         
Warrant Liability
 
$
-
   
$
-
   
$
198,330
   
$
198,330
 
Total Liabilities
 
$
-
   
$
-
   
$
198,330
   
$
198,330
 
Schedule of Changes in Fair Value of Plan Assets [Table Text Block] The following table provides a summary of the changes in fair value of our Level 3 financial liabilities for the years ended March 31, 2014 and 2013 as well as the unrealized gains or losses included in income.

   
March 31, 2014
   
March 31, 2013
 
Fair value, at beginning of period
 
$
198,330
   
$
355,290
 
                 
New issuances
   
41,110
     
137,825
 
Change in fair value
   
114,869
     
(294,785
                 
Fair value, at end of period
 
$
354,309
   
$
198,330
 
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Table Text Block] The common stock warrant was not issued with the intent of effectively hedging any future cash flow, fair value of any asset, liability or any net investment in a foreign corporation. The warrants do not qualify for hedge accounting, and, as such, all changes in the fair value of these warrants are recognized as other income/expense in the statement of operations until such time as the warrants are exercised or expire. Since these common stock warrants do not trade in an active securities market, the Company recognizes a warrant liability and estimates the fair value of these warrants using the Black-Scholes options model using the following assumptions:

Date of
Warrant
   
Expiration 
Date
 
Number of
Warrants
 
Exercise 
Price
   
Fair Market Value
Per Share
   
Expected
Volatility
   
Remaining
 Life
in Years
   
Risk Free 
Interest Rate
   
Warrant 
Liability
 
 
09-10-2010
     
09-10-2019
 
136,920
 
$
6.70
   
$
6.70
     
28.51
%
   
9
     
2.81
%
 
$
267,848
 
 
09-10-2010
     
09-10-2015
 
10,416
 
$
6.70
   
$
6.70
     
28.51
%
   
5
     
1.59
%
 
$
13,808
 
 
07-26-2012
     
09-10-2019
 
50,000
 
$
3.35
   
$
3.90
     
42.04
%
   
7
     
0.94
%
 
$
66,193
 
 
07-26-2012
     
09-10-2019
 
20,000
 
$
3.35
   
$
3.90
     
42.04
%
   
7
     
0.94
%
 
$
26,477
 
 
11-20-2012
     
09-10-2019
 
20,000
 
$
3.56
   
$
3.50
     
42.45
%
   
6.83
     
1.09
%
 
$
21,441
 
 
02-14-2013
     
09-10-2019
 
20,000
 
$
3.58
   
$
3.80
     
41.72
%
   
6.58
     
1.43
%
 
$
23,714
 
 
07-12-2013
     
09-10-2019
 
20,000
 
$
3.33
   
$
3.32
     
40.26
%
   
6.17
     
2.00
%
 
$
19,523
 
 
08-12-2013
     
09-10-2019
 
20,000
 
$
3.69
   
$
3.69
     
40.20
%
   
6.08
     
2.01
%
 
$
21,587
 
Date of 
Warrant
   
Expiration
Date
 
Number of
Warrants
 
Exercise 
Price
   
Fair Market Value
Per Share
   
Expected
Volatility
   
Remaining
Life
in Years
   
Risk Free
Interest Rate
   
Warrant
Liability
 
 
09-10-2010
     
09-10-2019
 
136,920
 
$
6.70
   
$
3.50
     
41.45
%
   
6.45
     
1.24
%
 
$
81,080
 
 
09-10-2010
     
09-10-2015
 
10,416
 
$
6.70
   
$
3.50
     
41.45
%
   
2.45
     
0.25
%
 
$
1,870
 
 
07-26-2012
     
09-10-2019
 
50,000
 
$
3.35
   
$
3.50
     
41.45
%
   
6.45
     
1.24
%
 
$
53,269
 
 
07-26-2012
     
09-10-2019
 
20,000
 
$
3.35
   
$
3.50
     
41.45
%
   
6.45
     
1.24
%
 
$
21,307
 
 
11-20-2012
     
09-10-2019
 
20,000
 
$
3.56
   
$
3.50
     
41.45
%
   
6.45
     
1.24
%
 
$
20,664
 
 
02-14-2013
     
09-10-2019
 
20,000
 
$
3.58
   
$
3.50
     
41.45
%
   
6.45
     
1.24
%
   
20,140
 
Date of
Warrant
   
Expiration 
Date
 
Number of
Warrants
 
Exercise 
Price
   
Fair Market Value
Per Share
   
Expected
Volatility
   
Remaining
 Life
in Years
   
Risk Free 
Interest Rate
   
Warrant 
Liability
 
 
09-10-2010
     
09-10-2019
 
136,920
 
$
6.70
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
123,564
 
 
09-10-2010
     
09-10-2015
 
10,416
 
$
6.70
   
$
4.42
     
43.35
%
   
1.45
     
0.44
%
 
$
2,498
 
 
07-26-2012
     
09-10-2019
 
50,000
 
$
3.35
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
77,626
 
 
07-26-2012
     
09-10-2019
 
20,000
 
$
3.35
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
31,050
 
 
11-20-2012
     
09-10-2019
 
20,000
 
$
3.56
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
29,892
 
 
02-14-2013
     
09-10-2019
 
20,000
 
$
3.58
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
29,310
 
 
07-12-2013
     
09-10-2019
 
20,000
 
$
3.33
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
31,163
 
 
08/12/2013
     
09-10-2019
 
20,000
 
$
3.69
   
$
4.42
     
43.35
%
   
5.45
     
1.73
%
 
$
29,206
 

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    Accounting Policies, by Policy (Policies)
    12 Months Ended
    Mar. 31, 2014
    Accounting Policies [Abstract]  
    Consolidation, Policy [Policy Text Block]
    Principles of Consolidation:

    The consolidated financial statements have been prepared in accordance with accounting principles generally accepted in the United States, and include the Company and its wholly-owned subsidiary. All significant inter-company accounts and transactions have been eliminated.
    Revenue Recognition, Policy [Policy Text Block]
    Revenue Recognition:

    Revenues are recognized at the time of shipment to, or acceptance by the customer, provided title and risk of loss is transferred to the customer.  Provisions, when appropriate, are made where the right to return exists.

    Revenues for repairs and calibrations of the Company’s products represented 5.2% and 14.9% of sales for the years ended March 31, 2014 and 2013, respectively. These revenues are for units that are periodically returned for annual calibrations and/or for repairs after the warranty period has expired. Revenues on repairs and calibrations are recognized at the time the repaired or calibrated unit is shipped, as it is at this time that the work is completed. The Company’s terms are F.O.B. Plant, and as such, delivery has occurred, and revenue recognized, when picked up and acknowledged by a common carrier.

    Due to the unique nature of the Intermediate Level TACAN Test Set (“ITATS”) contract, wherein a significant portion of this contract was not delivered for over a year, revenues under this contract were recognized on a percentage-of-completion basis, which recognizes sales and profit as they are earned, rather than at the time of shipment.  Revenues and profits were estimated using the cost-to-cost method of accounting where revenues are recognized and profits recorded based upon the ratio of costs incurred to estimate of total costs at completion. The ratio of costs incurred to date to the estimate of total costs at completion was applied to the contract value to determine the revenues and profits. When adjustments in estimated contract revenues or estimated costs at completion are required, any changes from prior estimates are recognized by recording adjustments in the current period for the inception-to-date effect of the changes on current and prior periods. The Company also received progress billings on this program, which is a funding mechanism by the government to assist contractors on long-term contracts prior to delivery. These progress payments are applied to Unbilled Government Receivables resulting from revenues recognized under percentage-of-completion accounting. As of March 31, 2013, the section of this contract was completed, the customer was billed, and the unbilled government receivables were cleared.

    Shipping and handling costs charged to customers are classified as sales, and the shipping and handling costs incurred are included in cost of sales.

    Payments received prior to the delivery of units or services performed are recorded as deferred revenues.

    With respect to warranty revenues, upon the completion of two years from the date of sale, considered to be the warranty period, the Company offers customers an optional warranty. Amounts received for warranties are recorded as deferred revenue and recognized over the respective terms of the agreements.
    Fair Value of Financial Instruments, Policy [Policy Text Block]
    Fair Value of Financial Instruments:

    The Company estimates that the fair value of all financial instruments at March 31, 2014 and March 31, 2013, as defined in Financial Accounting Standards Board (“FASB”) ASC 825 “Financial Instruments”, does not differ materially, except for the items discussed below, from the aggregate carrying values of its financial instruments recorded in the accompanying consolidated balance sheets. The estimated fair value amounts have been determined by the Company using available market information and appropriate valuation methodologies. Considerable judgment is required in interpreting market data to develop the estimates of fair value.

    The carrying amounts reported in the consolidated balance sheets as of March 31, 2014 and March 31, 2013 for cash, accounts receivable and accounts payable approximate the fair value because of the immediate or short-term maturity of these financial instruments.  Each reporting period we evaluate market conditions including available interest rates, credit spreads relative to our credit rating and liquidity in estimating the fair value of our debt. After considering such market conditions, we estimate that the fair value of debt approximates its carrying value.
    Cash and Cash Equivalents, Policy [Policy Text Block]
    Cash held in banks: The Company maintains cash balances at a financial institution that is insured by the Federal Deposit Insurance Corporation (“FDIC”) up to federally insured limits. At times balances may exceed FDIC insured limits. The Company has not experienced any losses in such accounts.
    Receivables, Policy [Policy Text Block]
    Accounts Receivable: The Company’s avionics customer base is primarily comprised of airlines, distributors, and the U.S. Government. As of March 31, 2014, the Company believes it has no significant risk related to its concentration within its accounts receivable.
    Inventory, Policy [Policy Text Block]
    Inventories:

    Inventories are stated at the lower of cost or market.  Cost is determined on a first-in, first-out basis.  Inventories are written down if the estimated net realizable value is less than the recorded value. The Company reviews the carrying cost of inventories by product to determine the adequacy of reserves for obsolescence. In accounting for inventories, the Company must make estimates regarding the estimated realizable value of inventory. The estimate is based, in part, on the Company’s forecasts of future sales and age of inventory. In accordance with industry practice, service parts inventory is included in current assets, although service parts are carried for established requirements during the serviceable lives of the products and, therefore, not all parts are expected to be sold within one year.
    Property, Plant and Equipment, Policy [Policy Text Block]
    Equipment and Leasehold Improvements:

    Office and manufacturing equipment are stated at cost, net of accumulated depreciation.  Depreciation and amortization are provided on a straight-line basis over periods ranging from 3 to 8 years.

    Leasehold improvements are amortized over the term of the lease or the useful life of the asset, whichever is shorter.

    Maintenance, repairs, and renewals that do not materially add to the value of the equipment nor appreciably prolong its life are charged to expense as incurred.

    When assets are retired or otherwise disposed of, the cost and related accumulated depreciation are removed from the accounts and the resulting gain or loss is included in the Statements of Operations.
    Research and Development Expense, Policy [Policy Text Block]
    Engineering, Research and Development Costs:

    Engineering, research and development costs are expensed as incurred.
    Advertising Costs, Policy [Policy Text Block]
    Advertising Expenses:

    Advertising expenses consist primarily of costs for direct advertising. The Company expenses all advertising costs as incurred, and classifies these costs under selling, general and administrative expenses.  Advertising costs amounted to $-0- and $200 for the years ended March 31, 2014 and 2013, respectively.
    Revenue Recognition, Deferred Revenue [Policy Text Block]
    Deferred Revenues:

    Amounts billed in advance of the period in which the service is rendered or product delivered are recorded as deferred revenue.  At March 31, 2014 and 2013, deferred revenues totaled $171,102 and $19,505, respectively. See above for additional information regarding our revenue recognition policies.
    Government Contractors, Contracts in Progress, Policy [Policy Text Block]
    Progress Billings:

    Progress billings are a form of government funding for fixed-price contracts that are provided in recognition of the need for working capital, for long lead items, and work in-process expenditures. These payments from the government are recorded as progress billings in the liability section of the balance sheet. These amounts are reduced as the end item product is shipped. At March 31, 2014 and 2013, progress billings totaled $775,475 and $-0-, respectively.
    Earnings Per Share, Policy [Policy Text Block]
    Net Income (Loss) per Common Share:

    Basic net income (loss) per share attributable to common stockholders is computed by dividing net income (loss) by the weighted-average number of common shares outstanding during the period.  Diluted income per share is computed by dividing diluted net income by the weighted-average number of common shares outstanding during the period, including common stock equivalents, such as stock options and warrants using the treasury stock method.  Diluted loss per share is computed by dividing net loss by the weighted-average number of common shares outstanding during the period, and excludes the anti-dilutive effects of common stock equivalents.
    Income Tax, Policy [Policy Text Block]
    Accounting for Income Taxes:

    The Company accounts for income taxes using the asset and liability method described in FASB ASC 740, “Income Taxes”. Deferred tax assets arise from a variety of sources, the most significant being: a) tax losses that can be carried forward to be utilized against profits in future years; b) expenses recognized for financial reporting purposes but disallowed in the tax return until the associated cash flow occurs; and c) valuation changes of assets which need to be tax effected for book purposes but are deductible only when the valuation change is realized.

    Deferred tax assets and liabilities are determined based on differences between financial reporting and tax bases of assets and liabilities and are measured using enacted tax rates and laws that are expected to be in effect when such differences are expected to reverse.  The measurement of deferred tax assets is reduced, if necessary, by a valuation allowance for any tax benefit which is not more likely than not to be realized. In assessing the need for a valuation

    allowance, future taxable income is estimated, considering the realization of tax loss carryforwards. Valuation allowances related to deferred tax assets can also be affected by changes to tax laws, changes to statutory tax rates and future taxable income levels. In the event it was determined that the Company would not be able to realize all or a portion of our deferred tax assets in the future, we would reduce such amounts through a charge to income in the period in which that determination is made. Conversely, if we were to determine that we would be able to realize our deferred tax assets in the future in excess of the net carrying amounts, we would decrease the recorded valuation allowance through an increase to income in the period in which that determination is made.  In its evaluation of a valuation allowance the Company takes into account existing contracts and backlog, and the probability that options under these contract awards will be exercised as well as sales of existing products. The Company prepares profit projections based on the revenue and expenses forecast to determine that such revenues will produce sufficient taxable income to realize the deferred tax assets.

    The Company accounts for uncertainties in income taxes under ASC 740-10-50 which prescribes a recognition threshold and measurement attribute for the financial statement recognition and measurement of a tax position taken or expected to be taken in a tax return. ASC 740-10 requires that the Company determine whether the benefits of its tax positions are more-likely-than-not of being sustained upon audit based on the technical merits of the tax position. The Company recognizes the impact of an uncertain income tax position taken on its income tax return at the largest amount that is more-likely-than-not to be sustained upon audit by the relevant taxing authority. The implementation of ASC 740-10 had no impact on the Company’s results of operations or financial position.

    Despite the Company’s belief that its tax return positions are consistent with applicable tax laws, one or more positions may be challenged by taxing authorities. Settlement of any challenge can result in no change, a complete disallowance, or some partial adjustment reached through negotiations or litigation.

    Interest and penalties related to income tax matters, if applicable, will be recognized as income tax expense. During the years ended March 31, 2014 and 2013 the Company did not incur any expense related to interest or penalties for income tax matters, and no such amounts were accrued as of March 31, 2014 and 2013.
    Share-based Compensation, Option and Incentive Plans Policy [Policy Text Block]
    Stock-based Compensation:

    The Company accounts for stock-based compensation utilizing the modified prospective method under FASB ASC 718 which requires the measurement of stock-based compensation based on the fair value of the award on the date of grant. The Company recognizes compensation cost on awards on a straight-line basis over the vesting period, typically four years. The Company estimates the fair value of each option granted using the Black-Scholes option-pricing model.

    Additional information and disclosure are provided in Note 16.
    Impairment or Disposal of Long-Lived Assets, Policy [Policy Text Block]
    Long-Lived Assets:

    The Company assesses the recoverability of the carrying value of its long-lived assets whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. Recoverability of assets to be held and used is measured by a comparison of the carrying amount of an asset to future, undiscounted cash flows expected to be generated by an asset. If such assets are considered to be impaired, the impairment to be recognized is measured by the amount by which the carrying amount of the assets exceeds the fair value of the assets. Assets to be disposed of are reported at the lower of the carrying amount or fair value less costs to sell. No impairment losses have been recognized for the years ended March 31, 2014 and 2013, respectively.
    Use of Estimates, Policy [Policy Text Block]
    Use of Estimates:

    The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires that management make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates.  The most significant estimates include income taxes, percentage-of-completion sales recognition, warranty claims, inventory and accounts receivable valuations.
    Reclassification, Policy [Policy Text Block]
    Reclassifications:

    Certain prior year amounts have been reclassified to conform to the current year presentation.
    Trade and Other Accounts Receivable, Unbilled Receivables, Policy [Policy Text Block]
    Accounts Receivable:

    The Company performs ongoing credit evaluations of its customers and adjusts credit limits based on customer payment and current credit worthiness, as determined by review of their current credit information.  The Company continuously monitors credit limits for and payments from its customers and maintains provision for estimated credit losses based on its historical experience and any specific customer issues that have been identified.  While such credit losses have historically been within the Company’s expectation and the provision established, the Company cannot guarantee that this will continue.
    Guarantees, Indemnifications and Warranties Policies [Policy Text Block]
    Warranty Reserves:

    Warranty reserves are based upon historical rates and specific items that are identifiable and can be estimated at time of sale.  While warranty costs have historically been within the Company’s expectations and the provisions established, future warranty costs could be in excess of the Company’s warranty reserves.  A significant increase in these costs could adversely affect the Company’s operating results for the period and the periods these additional costs materialize.  Warranty reserves are adjusted from time to time when actual warranty claim experience differs from estimates. For the year ended March 31, 2014 warranty costs were $288,685 as compared to $203,783 for the year ended March 31, 2013. These warranty reserves are included in Accrued expenses – other in the accompanying consolidated balance sheets.
    Concentration Risk, Credit Risk, Policy [Policy Text Block]
    Risks and Uncertainties:

    The Company’s operations are subject to a number of risks, including but not limited to changes in the general economy, demand for the Company’s products, the success of its customers, research and development results, reliance on the government and commercial markets, litigation, and the renewal of its line of credit.  The Company has major contracts with the U.S. Government, which like all government contracts are subject to termination.
    New Accounting Pronouncements, Policy [Policy Text Block]
    New Accounting Pronouncements:

    In May 2014, FASB issued ASU 2014-09, "Revenue from Contracts with Customers." This ASU is a comprehensive new revenue recognition model that requires a company to recognize revenue to depict the transfer of good or services to a customer at an amount that reflects the consideration it expects to receive in exchange for those goods or services. This ASU is effective for annual reporting periods beginning after December 15, 2016 and early adoption is not permitted. Accordingly, the Company will adopt this ASU on April 1, 2017. Companies may use either a full retrospective or modified retrospective approach to adopt this ASU and management is currently evaluating which transition approach to use. The Company is currently evaluating the impact of ASU 2014-09.

    No other recently issued accounting pronouncements had or are expected to have a material impact on the Company’s consolidated financial statements.
    XML 45 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Schedule II - Valuation and Qualifying Accounts
    12 Months Ended
    Mar. 31, 2014
    Valuation and Qualifying Accounts [Abstract]  
    Schedule of Valuation and Qualifying Accounts Disclosure [Text Block]
    Schedule II - Valuation and Qualifying Accounts

     
     
    Description
     
    Balance at Beginning of the Year
       
    Charged to Costs and Expenses
       
     
    Deductions(1)
       
    Balance at End of the Year
     
                             
    Year ended March 31, 2014:
                           
    Allowance for doubtful accounts
     
    $
    18,940
       
    $
    10,000
     
     
    $
    (1,658
     
    $
    27,282
     
                                     
    Allowance for obsolete inventory
     
    $
    200,000
       
    $
    5,000
     
     
    $
    -
       
    $
    205,000
     
                                     
    Year ended March 31, 2013:
                                   
    Allowance for doubtful accounts
     
    $
    35,470
       
    $
    -
        $
     (16,530
     
    $
    18,940
     
                                     
    Allowance for obsolete inventory
     
    $
    200,000
       
    $
    -
        $
    -
      
     
    $
    200,000
     

    (1) Deductions represent amounts written-off.

    XML 46 R56.htm IDEA: XBRL DOCUMENT v2.4.0.8
    8. Income Taxes (Details) (USD $)
    12 Months Ended
    Mar. 31, 2014
    8. Income Taxes (Details) [Line Items]  
    Operating Loss Carryforwards $ 7,819,000
    Operating Loss Carryforwards, Limitations on Use $225,000 is subject to limitations under Section 382 of the Internal Revenue Code
    Effective Income Tax Rate Reconciliation, at Federal Statutory Income Tax Rate, Percent 34.00%
    New Jersey [Member]
     
    8. Income Taxes (Details) [Line Items]  
    Operating Loss Carryforward, Expiration Period 7 years
    State and Local Jurisdiction [Member]
     
    8. Income Taxes (Details) [Line Items]  
    Operating Loss Carryforwards, Valuation Allowance $ 7,021,000
    XML 47 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
    2. Summary of Significant Accounting Policies (Details) (USD $)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    2. Summary of Significant Accounting Policies (Details) [Line Items]    
    Repair and Calibration Revenue, Percentage of Revenue 5.20% 14.90%
    Advertising Expense $ 0 $ 200
    Deferred Revenue 171,102 19,505
    Customer Advances and Progress Payments for Long-term Contracts or Programs 775,475 0
    Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Period 4 years  
    Impairment of Intangible Assets, Finite-lived 0 0
    Product Warranty Expense $ 288,685 $ 203,783
    Equipment [Member] | Maximum [Member]
       
    2. Summary of Significant Accounting Policies (Details) [Line Items]    
    Property, Plant and Equipment, Useful Life 8 years  
    Equipment [Member] | Minimum [Member]
       
    2. Summary of Significant Accounting Policies (Details) [Line Items]    
    Property, Plant and Equipment, Useful Life 3 years  
    XML 48 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
    3. Accounts Receivable (Tables)
    12 Months Ended
    Mar. 31, 2014
    Receivables [Abstract]  
    Schedule of Accounts, Notes, Loans and Financing Receivable [Table Text Block] The following table sets forth the components of accounts receivable:

       
    March 31,
     
       
    2014
       
    2013
     
    Government
     
    $
    1,982,215
       
    $
    423,165
     
    Commercial
       
    140,707
         
    153,654
     
    Less: Allowance for doubtful accounts
       
    (27,282
    )
       
    (18,940
    )
       
    $
    2,095,640
       
    $
    557,879
     
    XML 49 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
    4. Inventories (Tables)
    12 Months Ended
    Mar. 31, 2014
    Inventory Disclosure [Abstract]  
    Schedule of Inventory, Current [Table Text Block] Inventories consist of:

       
    March 31,
     
       
    2014
       
    2013
     
    Purchased parts
     
    $
    3,085,070
       
    $
    4,418,989
     
    Work-in-process
       
    1,134,714
         
    1,636,325
     
    Finished  goods
       
    10,607
         
    385,867
     
    Less: Allowance for obsolete inventory
       
    (205,000
    )
       
    (200,000
    )
       
    $
    4,025,391
       
    $
    6,241,181
     
    XML 50 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
    2. Summary of Significant Accounting Policies
    12 Months Ended
    Mar. 31, 2014
    Accounting Policies [Abstract]  
    Significant Accounting Policies [Text Block]
    2.                   Summary of Significant Accounting Policies

    Principles of Consolidation:

    The consolidated financial statements have been prepared in accordance with accounting principles generally accepted in the United States, and include the Company and its wholly-owned subsidiary. All significant inter-company accounts and transactions have been eliminated.

    Revenue Recognition:

    Revenues are recognized at the time of shipment to, or acceptance by the customer, provided title and risk of loss is transferred to the customer.  Provisions, when appropriate, are made where the right to return exists.

    Revenues for repairs and calibrations of the Company’s products represented 5.2% and 14.9% of sales for the years ended March 31, 2014 and 2013, respectively. These revenues are for units that are periodically returned for annual calibrations and/or for repairs after the warranty period has expired. Revenues on repairs and calibrations are recognized at the time the repaired or calibrated unit is shipped, as it is at this time that the work is completed. The Company’s terms are F.O.B. Plant, and as such, delivery has occurred, and revenue recognized, when picked up and acknowledged by a common carrier.

    Due to the unique nature of the Intermediate Level TACAN Test Set (“ITATS”) contract, wherein a significant portion of this contract was not delivered for over a year, revenues under this contract were recognized on a percentage-of-completion basis, which recognizes sales and profit as they are earned, rather than at the time of shipment.  Revenues and profits were estimated using the cost-to-cost method of accounting where revenues are recognized and profits recorded based upon the ratio of costs incurred to estimate of total costs at completion. The ratio of costs incurred to date to the estimate of total costs at completion was applied to the contract value to determine the revenues and profits. When adjustments in estimated contract revenues or estimated costs at completion are required, any changes from prior estimates are recognized by recording adjustments in the current period for the inception-to-date effect of the changes on current and prior periods. The Company also received progress billings on this program, which is a funding mechanism by the government to assist contractors on long-term contracts prior to delivery. These progress payments are applied to Unbilled Government Receivables resulting from revenues recognized under percentage-of-completion accounting. As of March 31, 2013, the section of this contract was completed, the customer was billed, and the unbilled government receivables were cleared.

    Shipping and handling costs charged to customers are classified as sales, and the shipping and handling costs incurred are included in cost of sales.

    Payments received prior to the delivery of units or services performed are recorded as deferred revenues.

    With respect to warranty revenues, upon the completion of two years from the date of sale, considered to be the warranty period, the Company offers customers an optional warranty. Amounts received for warranties are recorded as deferred revenue and recognized over the respective terms of the agreements.

    Fair Value of Financial Instruments:

    The Company estimates that the fair value of all financial instruments at March 31, 2014 and March 31, 2013, as defined in Financial Accounting Standards Board (“FASB”) ASC 825 “Financial Instruments”, does not differ materially, except for the items discussed below, from the aggregate carrying values of its financial instruments recorded in the accompanying consolidated balance sheets. The estimated fair value amounts have been determined by the Company using available market information and appropriate valuation methodologies. Considerable judgment is required in interpreting market data to develop the estimates of fair value.

    The carrying amounts reported in the consolidated balance sheets as of March 31, 2014 and March 31, 2013 for cash, accounts receivable and accounts payable approximate the fair value because of the immediate or short-term maturity of these financial instruments.  Each reporting period we evaluate market conditions including available interest rates, credit spreads relative to our credit rating and liquidity in estimating the fair value of our debt. After considering such market conditions, we estimate that the fair value of debt approximates its carrying value.

    Concentrations of Credit Risk:

    Cash held in banks: The Company maintains cash balances at a financial institution that is insured by the Federal Deposit Insurance Corporation (“FDIC”) up to federally insured limits. At times balances may exceed FDIC insured limits. The Company has not experienced any losses in such accounts.

    Accounts Receivable: The Company’s avionics customer base is primarily comprised of airlines, distributors, and the U.S. Government. As of March 31, 2014, the Company believes it has no significant risk related to its concentration within its accounts receivable.

    Inventories:

    Inventories are stated at the lower of cost or market.  Cost is determined on a first-in, first-out basis.  Inventories are written down if the estimated net realizable value is less than the recorded value. The Company reviews the carrying cost of inventories by product to determine the adequacy of reserves for obsolescence. In accounting for inventories, the Company must make estimates regarding the estimated realizable value of inventory. The estimate is based, in part, on the Company’s forecasts of future sales and age of inventory. In accordance with industry practice, service parts inventory is included in current assets, although service parts are carried for established requirements during the serviceable lives of the products and, therefore, not all parts are expected to be sold within one year.

    Equipment and Leasehold Improvements:

    Office and manufacturing equipment are stated at cost, net of accumulated depreciation.  Depreciation and amortization are provided on a straight-line basis over periods ranging from 3 to 8 years.

    Leasehold improvements are amortized over the term of the lease or the useful life of the asset, whichever is shorter.

    Maintenance, repairs, and renewals that do not materially add to the value of the equipment nor appreciably prolong its life are charged to expense as incurred.

    When assets are retired or otherwise disposed of, the cost and related accumulated depreciation are removed from the accounts and the resulting gain or loss is included in the Statements of Operations.

    Engineering, Research and Development Costs:

    Engineering, research and development costs are expensed as incurred.

    Advertising Expenses:

    Advertising expenses consist primarily of costs for direct advertising. The Company expenses all advertising costs as incurred, and classifies these costs under selling, general and administrative expenses.  Advertising costs amounted to $-0- and $200 for the years ended March 31, 2014 and 2013, respectively.

    Deferred Revenues:

    Amounts billed in advance of the period in which the service is rendered or product delivered are recorded as deferred revenue.  At March 31, 2014 and 2013, deferred revenues totaled $171,102 and $19,505, respectively. See above for additional information regarding our revenue recognition policies.

    Progress Billings:

    Progress billings are a form of government funding for fixed-price contracts that are provided in recognition of the need for working capital, for long lead items, and work in-process expenditures. These payments from the government are recorded as progress billings in the liability section of the balance sheet. These amounts are reduced as the end item product is shipped. At March 31, 2014 and 2013, progress billings totaled $775,475 and $-0-, respectively.

    Net Income (Loss) per Common Share:

    Basic net income (loss) per share attributable to common stockholders is computed by dividing net income (loss) by the weighted-average number of common shares outstanding during the period.  Diluted income per share is computed by dividing diluted net income by the weighted-average number of common shares outstanding during the period, including common stock equivalents, such as stock options and warrants using the treasury stock method.  Diluted loss per share is computed by dividing net loss by the weighted-average number of common shares outstanding during the period, and excludes the anti-dilutive effects of common stock equivalents.

    Accounting for Income Taxes:

    The Company accounts for income taxes using the asset and liability method described in FASB ASC 740, “Income Taxes”. Deferred tax assets arise from a variety of sources, the most significant being: a) tax losses that can be carried forward to be utilized against profits in future years; b) expenses recognized for financial reporting purposes but disallowed in the tax return until the associated cash flow occurs; and c) valuation changes of assets which need to be tax effected for book purposes but are deductible only when the valuation change is realized.

    Deferred tax assets and liabilities are determined based on differences between financial reporting and tax bases of assets and liabilities and are measured using enacted tax rates and laws that are expected to be in effect when such differences are expected to reverse.  The measurement of deferred tax assets is reduced, if necessary, by a valuation allowance for any tax benefit which is not more likely than not to be realized. In assessing the need for a valuation

    allowance, future taxable income is estimated, considering the realization of tax loss carryforwards. Valuation allowances related to deferred tax assets can also be affected by changes to tax laws, changes to statutory tax rates and future taxable income levels. In the event it was determined that the Company would not be able to realize all or a portion of our deferred tax assets in the future, we would reduce such amounts through a charge to income in the period in which that determination is made. Conversely, if we were to determine that we would be able to realize our deferred tax assets in the future in excess of the net carrying amounts, we would decrease the recorded valuation allowance through an increase to income in the period in which that determination is made.  In its evaluation of a valuation allowance the Company takes into account existing contracts and backlog, and the probability that options under these contract awards will be exercised as well as sales of existing products. The Company prepares profit projections based on the revenue and expenses forecast to determine that such revenues will produce sufficient taxable income to realize the deferred tax assets.

    The Company accounts for uncertainties in income taxes under ASC 740-10-50 which prescribes a recognition threshold and measurement attribute for the financial statement recognition and measurement of a tax position taken or expected to be taken in a tax return. ASC 740-10 requires that the Company determine whether the benefits of its tax positions are more-likely-than-not of being sustained upon audit based on the technical merits of the tax position. The Company recognizes the impact of an uncertain income tax position taken on its income tax return at the largest amount that is more-likely-than-not to be sustained upon audit by the relevant taxing authority. The implementation of ASC 740-10 had no impact on the Company’s results of operations or financial position.

    Despite the Company’s belief that its tax return positions are consistent with applicable tax laws, one or more positions may be challenged by taxing authorities. Settlement of any challenge can result in no change, a complete disallowance, or some partial adjustment reached through negotiations or litigation.

    Interest and penalties related to income tax matters, if applicable, will be recognized as income tax expense. During the years ended March 31, 2014 and 2013 the Company did not incur any expense related to interest or penalties for income tax matters, and no such amounts were accrued as of March 31, 2014 and 2013.

    Stock-based Compensation:

    The Company accounts for stock-based compensation utilizing the modified prospective method under FASB ASC 718 which requires the measurement of stock-based compensation based on the fair value of the award on the date of grant. The Company recognizes compensation cost on awards on a straight-line basis over the vesting period, typically four years. The Company estimates the fair value of each option granted using the Black-Scholes option-pricing model.

    Additional information and disclosure are provided in Note 16.

    Long-Lived Assets:

    The Company assesses the recoverability of the carrying value of its long-lived assets whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. Recoverability of assets to be held and used is measured by a comparison of the carrying amount of an asset to future, undiscounted cash flows expected to be generated by an asset. If such assets are considered to be impaired, the impairment to be recognized is measured by the amount by which the carrying amount of the assets exceeds the fair value of the assets. Assets to be disposed of are reported at the lower of the carrying amount or fair value less costs to sell. No impairment losses have been recognized for the years ended March 31, 2014 and 2013, respectively.

    Use of Estimates:

    The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires that management make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates.  The most significant estimates include income taxes, percentage-of-completion sales recognition, warranty claims, inventory and accounts receivable valuations.

    Reclassifications:

    Certain prior year amounts have been reclassified to conform to the current year presentation.

    Accounts Receivable:

    The Company performs ongoing credit evaluations of its customers and adjusts credit limits based on customer payment and current credit worthiness, as determined by review of their current credit information.  The Company continuously monitors credit limits for and payments from its customers and maintains provision for estimated credit losses based on its historical experience and any specific customer issues that have been identified.  While such credit losses have historically been within the Company’s expectation and the provision established, the Company cannot guarantee that this will continue.

    Warranty Reserves:

    Warranty reserves are based upon historical rates and specific items that are identifiable and can be estimated at time of sale.  While warranty costs have historically been within the Company’s expectations and the provisions established, future warranty costs could be in excess of the Company’s warranty reserves.  A significant increase in these costs could adversely affect the Company’s operating results for the period and the periods these additional costs materialize.  Warranty reserves are adjusted from time to time when actual warranty claim experience differs from estimates. For the year ended March 31, 2014 warranty costs were $288,685 as compared to $203,783 for the year ended March 31, 2013. These warranty reserves are included in Accrued expenses – other in the accompanying consolidated balance sheets.

    Risks and Uncertainties:

    The Company’s operations are subject to a number of risks, including but not limited to changes in the general economy, demand for the Company’s products, the success of its customers, research and development results, reliance on the government and commercial markets, litigation, and the renewal of its line of credit.  The Company has major contracts with the U.S. Government, which like all government contracts are subject to termination.

    New Accounting Pronouncements:

    In May 2014, FASB issued ASU 2014-09, "Revenue from Contracts with Customers." This ASU is a comprehensive new revenue recognition model that requires a company to recognize revenue to depict the transfer of good or services to a customer at an amount that reflects the consideration it expects to receive in exchange for those goods or services. This ASU is effective for annual reporting periods beginning after December 15, 2016 and early adoption is not permitted. Accordingly, the Company will adopt this ASU on April 1, 2017. Companies may use either a full retrospective or modified retrospective approach to adopt this ASU and management is currently evaluating which transition approach to use. The Company is currently evaluating the impact of ASU 2014-09.

    No other recently issued accounting pronouncements had or are expected to have a material impact on the Company’s consolidated financial statements.

    XML 51 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
    5. Equipment and Leasehold Improvements (Tables)
    12 Months Ended
    Mar. 31, 2014
    Property, Plant and Equipment [Abstract]  
    Property, Plant and Equipment [Table Text Block] Equipment and leasehold improvements consist of the following:

       
    March 31,
     
       
    2014
       
    2013
     
    Leasehold Improvements
     
    $
    94,413
       
    $
    94,413
     
    Machinery and equipment
       
    1,516,332
         
    1,474,192
     
    Automobiles
       
    28,452
         
    4,741
     
    Sales equipment
       
    586,265
         
    591,109
     
    Assets under capitalized leases
       
    610,995
         
    610,995
     
    Less: Accumulated depreciation & amortization
       
    (2,385,584
    )
       
    (2,187,492
    )
       
    $
    450,873
       
    $
    587,958
     
    XML 52 R83.htm IDEA: XBRL DOCUMENT v2.4.0.8
    20. Fair Value Measurements (Details) - Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques (USD $)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    Mar. 31, 2012
    Mar. 31, 2011
    Warrant Issued 09-10-2010 [Member]
    Fair Value Valuation at Inception [Member]
    Mar. 31, 2014
    Warrant Issued 09-10-2010 [Member]
    Mar. 31, 2013
    Warrant Issued 09-10-2010 [Member]
    Mar. 31, 2011
    Warrant Issued 09-10-2010 #2 [Member]
    Fair Value Valuation at Inception [Member]
    Mar. 31, 2014
    Warrant Issued 09-10-2010 #2 [Member]
    Mar. 31, 2013
    Warrant Issued 09-10-2010 #2 [Member]
    Mar. 31, 2013
    Warrant Issued 07-26-2012 [Member]
    Fair Value Valuation at Inception [Member]
    Mar. 31, 2014
    Warrant Issued 07-26-2012 [Member]
    Mar. 31, 2013
    Warrant Issued 07-26-2012 [Member]
    Mar. 31, 2013
    Warrant Issued 07-26-2012 #2 [Member]
    Fair Value Valuation at Inception [Member]
    Mar. 31, 2014
    Warrant Issued 07-26-2012 #2 [Member]
    Mar. 31, 2013
    Warrant Issued 07-26-2012 #2 [Member]
    Mar. 31, 2013
    Warrant Issued 11-20-2012 [Member]
    Fair Value Valuation at Inception [Member]
    Mar. 31, 2014
    Warrant Issued 11-20-2012 [Member]
    Mar. 31, 2013
    Warrant Issued 11-20-2012 [Member]
    Mar. 31, 2013
    Warrant Issued 02-14-2013 [Member]
    Fair Value Valuation at Inception [Member]
    Mar. 31, 2014
    Warrant Issued 02-14-2013 [Member]
    Mar. 31, 2013
    Warrant Issued 02-14-2013 [Member]
    Mar. 31, 2014
    Warrant Issued 07-12-2013 [Member]
    Fair Value Valuation at Inception [Member]
    Mar. 31, 2014
    Warrant Issued 07-12-2013 [Member]
    Mar. 31, 2014
    Warrant Issued 08-12-2013 [Member]
    Fair Value Valuation at Inception [Member]
    Mar. 31, 2014
    Warrant Issued 08-12-2013 [Member]
    Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]                                                  
    Expiration Date       Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2015 Sep. 10, 2015 Sep. 10, 2015 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019 Sep. 10, 2019
    Number of Warrants (in Shares)       136,920 136,920 136,920 10,416 10,416 10,416 50,000 50,000 50,000 20,000 20,000 20,000 20,000 20,000 20,000 20,000 20,000 20,000 20,000 20,000 20,000 20,000
    Exercise Price (in Dollars per Share)       $ 6.70 $ 6.70 $ 6.70 $ 6.70 $ 6.70 $ 6.70 $ 3.35 $ 3.35 $ 3.35 $ 3.35 $ 3.35 $ 3.35 $ 3.56 $ 3.56 $ 3.56 $ 3.58 $ 3.58 $ 3.58 $ 3.33 $ 3.33 $ 3.69 $ 3.69
    Fair Value Per Share (in Dollars per share)       $ 6.70 $ 4.42 $ 3.50 $ 6.70 $ 4.42 $ 3.50 $ 3.90 $ 4.42 $ 3.50 $ 3.90 $ 4.42 $ 3.50 $ 3.50 $ 4.42 $ 3.50 $ 3.80 $ 4.42 $ 3.50 $ 3.32 $ 4.42 $ 3.69 $ 4.42
    Expected Volatality       28.51% 43.35% 41.45% 28.51% 43.35% 41.45% 42.04% 43.35% 41.45% 42.04% 43.35% 41.45% 42.45% 43.35% 41.45% 41.72% 43.35% 41.45% 40.26% 43.35% 40.20% 43.35%
    Remaining Life in Years       9 years 5 years 164 days 6 years 164 days 5 years 1 year 164 days 2 years 164 days 7 years 5 years 164 days 6 years 164 days 7 years 5 years 164 days 6 years 164 days 6 years 302 days 5 years 164 days 6 years 164 days 6 years 211 days 5 years 164 days 6 years 164 days 6 years 62 days 5 years 164 days 6 years 29 days 5 years 164 days
    Risk Free Interest Rate       2.81% 1.73% 1.24% 1.59% 0.44% 0.25% 0.94% 1.73% 1.24% 0.94% 1.73% 1.24% 1.09% 1.73% 1.24% 1.43% 1.73% 1.24% 2.00% 1.73% 2.01% 1.73%
    Warrant Liability (in Dollars) $ 354,309 $ 198,330 $ 355,290 $ 267,848 $ 123,564 $ 81,080 $ 13,808 $ 2,498 $ 1,870 $ 66,193 $ 77,626 $ 53,269 $ 26,477 $ 31,050 $ 21,307 $ 21,441 $ 29,892 $ 20,664 $ 23,714 $ 29,310 $ 20,140 $ 19,523 $ 31,163 $ 21,587 $ 29,206
    XML 53 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
    17. Net Diluted (Loss) Income Per Share (Tables)
    12 Months Ended
    Mar. 31, 2014
    Earnings Per Share [Abstract]  
    Schedule of Earnings Per Share, Basic and Diluted [Table Text Block] Net income (loss) per share has been computed according to FASB ASC 260, “Earnings per Share,” which requires a dual presentation of basic and diluted earnings (loss) per share (“EPS”). Basic EPS represents net (loss) income divided by the weighted average number of common shares outstanding during a reporting period. Diluted EPS reflects the potential dilution that could occur if securities, including warrants and options, were converted into common stock. The dilutive effect of outstanding warrants and options is reflected in earnings per share by use of the treasury stock method. In applying the treasury stock method for stock-based compensation arrangements, the assumed proceeds are computed as the sum of the amount the employee must pay upon exercise and the amounts of average unrecognized compensation costs attributed to future services.

       
    March 31, 2014
       
    March 31, 2013
     
    Basic net income (loss) per share computation:
               
      Net income(loss)
     
    $
    261,528
       
    $
    (2,772,571
    )
      Weighted-average common shares outstanding
       
    3,204,028
         
    2,834,257
     
      Basic net  income (loss) per share
     
    $
    0.08
       
    $
    (0.98
    )
    Diluted net income (loss) per share computation
                   
      Net income (loss)
     
    $
    261,528
       
    $
    (2,772,571
    )
      Add: Change in fair value of warrants
       
    71,757
            -  
      Diluted income (loss)
       
    333,285
            (2,772,571
      Weighted-average common shares outstanding
       
    3,204,028
         
    2,834,257
     
      Incremental shares attributable to the assumed exercise
         of outstanding stock options and warrants
       
    24,866
         
    -
     
      Total adjusted weighted-average shares
       
    3,228,894
         
    2,834,257
     
      Diluted net income (loss) per share
     
    $
    0.10
       
    $
    (0.98
    )
    XML 54 R53.htm IDEA: XBRL DOCUMENT v2.4.0.8
    7. Accrued Expenses (Details) - Schedule of Accrued Liabilities - Other (USD $)
    Mar. 31, 2014
    Mar. 31, 2013
    Mar. 31, 2012
    Schedule of Accrued Liabilities - Other [Abstract]      
    Accrued interest $ 17,672 $ 110,751  
    Accrued outside contractor costs 104,610 882,351  
    Accrued commissions 188,840 8,448  
    Accrued legal costs 215,582 40,688  
    Warranty reserve 194,062 287,470 271,629
    Accrued – other 198,521 95,294  
    $ 919,287 $ 1,425,002  
    XML 55 R72.htm IDEA: XBRL DOCUMENT v2.4.0.8
    16. Stock Option Plans (Details) - Schedule of Share-based Payment Award, Stock Options, Valuation Assumptions
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    Schedule of Share-based Payment Award, Stock Options, Valuation Assumptions [Abstract]    
    Dividend Yield 0.00% 0.00%
    Risk-free Interest Rate 1.37% 0.79%
    Volatility 46.31% 45.30%
    Life 5 years 5 years
    XML 56 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Consolidated Balance Sheets (USD $)
    Mar. 31, 2014
    Mar. 31, 2013
    Current assets:    
    Cash $ 232,118 $ 310,297
    Accounts receivable, net of allowance for doubtful accounts of $27,282 and $18,940, respectively 2,095,640 557,879
    Inventories, net 4,025,391 6,241,181
    Prepaid expenses and other current assets 263,592 115,852
    Deferred financing costs 108,321 108,321
    Deferred tax asset 1,089,538 1,238,421
    Total current assets 7,814,600 8,571,951
    Equipment and leasehold improvements, net 450,873 587,958
    Deferred financing costs – long-term 48,142 156,463
    Deferred tax asset – non-current 2,273,068 2,546,190
    Other assets 47,670 56,872
    Total assets 10,634,353 11,919,434
    Current liabilities:    
    Current portion of long-term debt 718,848 1,229,643
    Capital lease obligations – current portion 53,608 74,508
    Accounts payable 2,289,858 4,272,431
    Progress billings 775,475 0
    Deferred revenues – current portion 37,452 18,460
    Accrued expenses - vacation pay, payroll and payroll withholdings 444,238 442,522
    Accrued expenses - related parties 123,036 100,536
    Accrued expenses – other 919,287 1,425,002
    Total current liabilities 5,361,802 7,563,102
    Subordinated notes payable – related parties 250,000 250,000
    Capital lease obligations – long-term 21,320 76,055
    Long-term debt, net of debt discount 596,526 1,134,549
    Warrant liability 354,309 198,330
    Deferred revenues – long-term 133,650 1,045
    Other long-term liabilities 56,100 0
    Total liabilities 6,773,707 9,223,081
    Commitments and contingencies      
    Stockholders’ equity    
    Common stock, 4,000,000 shares authorized, par value $.10 per share, 3,251,387 and 3,011,739 shares issued and outstanding, respectively 325,136 301,171
    Additional paid-in capital 7,987,100 7,108,300
    Accumulated deficit (4,451,590) (4,713,118)
    Total stockholders’ equity 3,860,646 2,696,353
    Total liabilities and stockholders’ equity $ 10,634,353 $ 11,919,434
    XML 57 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
    3. Accounts Receivable (Details) - Schedule of Accounts, Notes, Loans and Financing Receivable (USD $)
    Mar. 31, 2014
    Mar. 31, 2013
    Accounts, Notes, Loans and Financing Receivable [Line Items]    
    Less: Allowance for doubtful accounts $ (27,282) $ (18,940)
    2,095,640 557,879
    Government Receivables [Member]
       
    Accounts, Notes, Loans and Financing Receivable [Line Items]    
    Accounts Receivable 1,982,215 423,165
    Commercial Receivables [Member]
       
    Accounts, Notes, Loans and Financing Receivable [Line Items]    
    Accounts Receivable $ 140,707 $ 153,654
    XML 58 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Consolidated Statements of Cash Flows (USD $)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    Cash flows from operating activities:    
    Net income (loss) $ 261,528 $ (2,772,571)
    Adjustments to reconcile net (loss) income to net cash (Used in) provided by operating activities:    
    Deferred income taxes 423,345 (1,547,491)
    Allowance for doubtful accounts 10,000 (16,530)
    Depreciation and amortization 202,936 228,069
    Amortization of debt discount 104,644 129,763
    Amortization of deferred financing costs 108,321 219,662
    Change in fair value of common stock warrant 114,869 (294,785)
    Provision for inventory obsolescence 5,000 0
    Loss on extinguishment of debt 26,600 0
    Non-cash interest expense associated with conversion of note payable 21,003 0
    Non-cash stock-based compensation 84,742 81,517
    Changes in assets and liabilities:    
    (Increase) decrease in accounts receivable (1,547,761) 1,153,287
    Decrease in unbilled government receivables 0 1,780,381
    Decrease (increase) in inventories 2,210,790 (1,217,206)
    (Increase) decrease in prepaid expenses and other assets (138,538) 104,403
    (Decrease) increase in accounts payable (1,982,573) 1,421,999
    Increase (decrease) in deferred revenues 151,597 (19,899)
    Increase in accrued payroll, vacation pay & withholdings 1,716 2,406
    Decrease in accrued expenses – related party and other (457,155) (549,373)
    Increase in progress billings 775,475 0
    Increase in other long-term liabilties 56,100 0
    Net cash provided by (used in) operating activities 432,639 (1,296,368)
    Cash flows from investing activities:    
    Acquisition of equipment (65,851) (109,157)
    Net cash used in investing activities (65,851) (109,157)
    Cash flows from financing activities:    
    Proceeds from exercise of stock options 33,020 138,090
    Proceeds from note payable – related party 100,000 1,000,002
    Proceeds from issuance of debt 23,712 600,000
    Expenses associated with long-term debt 0 (111,341)
    Repayment of long-term debt (526,064) (260,430)
    Repayment of capitalized lease obligations (75,635) (63,694)
    Net cash provided by (used in) financing activities (444,967) 1,302,627
    Net decrease in cash (78,179) (102,898)
    Cash, beginning of year 310,297 413,195
    Cash, end of year 232,118 310,297
    Supplemental cash flow information:    
    Taxes paid 1,340 0
    Interest paid 310,489 368,188
    Supplemental non-cash information:    
    Warrants issued in conjunction with long-term debt 0 66,193
    Warrants issued to lender for waiver of debt covenants 41,110 71,632
    Conversion of Debt [Member]
       
    Supplemental non-cash information:    
    Conversion of debt and accrued interest to equity 700,000 0
    Conversion of Accrued Interest [Member]
       
    Supplemental non-cash information:    
    Conversion of debt and accrued interest to equity $ 37,400 $ 0
    XML 59 R59.htm IDEA: XBRL DOCUMENT v2.4.0.8
    8. Income Taxes (Details) - Schedule of Effective Income Tax Rate Reconciliation (USD $)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    Schedule of Effective Income Tax Rate Reconciliation [Abstract]    
    Income tax (benefit) provision – statutory rate $ 239,487 $ (1,467,491)
    Income tax expenses – state and local, net of federal benefit 19,500 3,500
    Permanent items 141,474 (38,350)
    True-up of prior years deferred taxes 19,536 (67,246)
    Change in state rate 0 85,945
    Change in valuation allowance (171) (49,718)
    Other 23,019 (10,220)
    Income tax provision (benefit) $ 442,845 $ (1,543,580)
    XML 60 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
    10. Long-Term Debt (Tables)
    12 Months Ended
    Mar. 31, 2014
    Disclosure Text Block [Abstract]  
    Schedule of Maturities of Long-term Debt [Table Text Block] The annual maturities of long-term debt for the five fiscal years subsequent to March 31, 2014 are as follows:

    2015
     
    $
    718,848
     
    2016
       
    755,375
     
    2017
       
    4,751
     
    2018
       
    5,186
     
    2019
       
    5,260
     
             
    Total Principal
       
    1,489,420
     
    Less: Debt Discount
       
    (174,046
    )
    Total Debt
     
    $
    1,315,374
     
    XML 61 R65.htm IDEA: XBRL DOCUMENT v2.4.0.8
    12. Commitments (Details) - Schedule of Future Minimum Rental Payments for Operating Leases (USD $)
    Mar. 31, 2014
    Schedule of Future Minimum Rental Payments for Operating Leases [Abstract]  
    2015 $ 267,660
    2016 254,840
    2017 84,947
    2018 0
    2019 0
    $ 607,447
    XML 62 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
    16. Stock Option Plans
    12 Months Ended
    Mar. 31, 2014
    Disclosure of Compensation Related Costs, Share-based Payments [Abstract]  
    Disclosure of Compensation Related Costs, Share-based Payments [Text Block]
    16.                 Stock Option Plans

    In March 2006, the Board of Directors adopted the 2006 Stock Option Plan (“the Plan”) which reserved for issuance options to purchase up to 250,000 shares of its Common Stock.  The stockholders approved the Plan at the December 2006 annual meeting.  The Plan, which has a term of ten years from the date of adoption, is administered by the Board of Directors or by a committee appointed by the Board of Directors. The selection of participants, allotment of shares, and other conditions related to the grant of options, to the extent not set forth in the Plan, are determined by the Board of Directors.  Options granted under the Plan are exercisable up to a period of 5 years from the date of grant at an exercise price which is not less than the fair market value of the common stock at the date of grant, except as to a stockholder owning 10% or more of the outstanding common stock of the Company, as to whom the exercise price must not be less than 110% of the fair market value of the common stock at the date of grant. Options, for the most part are exercisable, on a cumulative basis, 20% at or after each of the first, second, and third anniversary of the grant and 40% after the fourth year anniversary. These terms can be modified based upon approval of the Board of Directors.

    The fair value of each option awarded is estimated on the date of grant using the Black-Scholes option valuation model that uses the assumptions noted in the following table. Expected volatilities are based on historical volatility of the Company’s stock. The expected life of the options granted represents the period of time from date of grant to expiration (5 years). The risk-free interest rate is based on the U.S. Treasury yield in effect at the time of grant. The per share weighted-average fair value of stock options granted for the years ended March 31, 2014 and 2013 was $1.76 and $1.40, respectively, on the date of grant using the Black Scholes option-pricing model with the following assumptions:

       
    Dividend Yield
       
    Risk-free Interest rate
       
    Volatility
        Life
    2014
       
    0.0
    %
        1.37
    %
        46.31
    %
     
    5 years
    2013
       
    0.0
    %
        0.79
    %
        45.30
    %
     
    5 years

    A summary of the status of the Company’s stock option plans for the fiscal years ended March 31, 2014 and 2013 and changes during the years are presented below: (in number of options):

       
    Number of Options
       
    Average Exercise Price
     
    Average Remaining
    Contractual Term
     
    Aggregate Intrinsic
    Value
     
    Outstanding options at April 1, 2012
       
    201,100
       
    $
    5.14
             
    Options granted
       
    10,000
       
    $
    3.50
             
    Options exercised
       
    (39,100
    )
     
    $
    3.53
             
    Options canceled/forfeited
       
    (57,400
    )
     
    $
    5.17
             
                             
    Outstanding options at March 31, 2013
       
    114,600
       
    $
    5.53
     
    2.0 years
     
    $
    -0-
     
    Options granted
       
    10,000
       
    $
    4.22
               
    Options exercised
       
    (8,300
    )
     
    $
    3.98
               
    Options canceled/forfeited
       
    (28,300
    )
     
    $
    3.67
               
                               
    Outstanding options at March 31, 2014
       
    88,000
       
    $
    6.12
     
    2.0 years
     
    $
    11,200
     
    Vested Options:
                             
          March 31, 2014:
       
    61,800
       
    $
    6.12
     
    1.2 years
     
    $
    9,200
     
          March 31, 2013:
       
    71,100
       
    $
    5.14
     
    1.4 years
     
    $
    -0-
     

    Remaining options available for grant were 237,278 and 218,978 as of March 31, 2014 and 2013, respectively.

    The total intrinsic value of options exercised during the years ended March 31, 2014 and 2013 were $3,760 and $38,940, respectively. Cash received from the exercise of stock options for the years ended March 31, 2014 and 2013 was $33,020 and $138,090, respectively.

    For the years ended March 31, 2014 and 2013, the unamortized compensation expense for stock options was $39,255 and $108,807, respectively. Unamortized compensation expense is expected to be recognized over a weighted-average period of approximately 1 year.

    A summary of the Company’s non-vested shares as of March 31, 2014, and changes during the year ended March 31, 2014 is presented below:

    Non-vested Shares
     
    Shares
       
    Weighted-Average
    Grant-Date
    Fair value
     
                 
    Non-vested at April 1, 2013
       
    43,500
       
    $
    6.18
     
    Granted
       
    10,000
       
    $
    4.22
     
    Vested
       
    (27,300
    )
     
    $
    5.52
     
    Forfeited
       
    -
       
    $
    -
     
    Non-vested at March 31, 2014
       
    26,200
       
    $
    6.13
     

    The compensation cost that has been charged was $84,742 and $81,517 for the fiscal years ended March 31, 2014 and 2013, respectively. The total income tax benefit recognized in the statement of operations for share-based compensation arrangements was $3,468 and $7,190 for the fiscal years ended March 31, 2014 and 2013, respectively, and relates to the compensation cost associated with non-qualified stock options

    XML 63 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
    12. Commitments (Tables)
    12 Months Ended
    Mar. 31, 2014
    Disclosure Text Block Supplement [Abstract]  
    Schedule of Future Minimum Rental Payments for Operating Leases [Table Text Block] The following is a schedule of approximate future minimum rental payments for operating leases subsequent to the year ended March 31, 2014.

       
    Years Ended March 31,
     
    2015
     
    $
    267,660
     
    2016
       
    254,840
     
    2017
       
    84,947
     
    2018
       
    --
     
    2019
       
    --
     
       
    $
    607,447
     
    XML 64 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
    18. Segment Information
    12 Months Ended
    Mar. 31, 2014
    Segment Reporting [Abstract]  
    Segment Reporting Disclosure [Text Block]
    18.                 Segment Information

    In accordance with FASB ASC 280, “Disclosures about Segments of an Enterprise and related information”, the Company determined it has two reportable segments - avionics government and avionics commercial. There are no inter-segment revenues.

    The Company is organized primarily on the basis of its avionics products.  The avionics government segment consists primarily of the design, manufacture, and sale of test equipment to the U.S. and foreign governments and militaries either directly or through distributors.  The avionics commercial segment consists of design, manufacture, and sale of test equipment to domestic and foreign airlines, directly or through commercial distributors, and to general aviation repair and maintenance shops. The Company develops and designs test equipment for the avionics industry and as such, the Company’s products and designs cross segments.

    Management evaluates the performance of its segments and allocates resources to them based on gross margin. The Company’s general and administrative costs and sales and marketing expenses, and engineering costs are not segment specific. As a result, all operating expenses are not managed on a segment basis.  Net interest includes expenses on debt and income earned on cash balances, both maintained at the corporate level. Segment assets include accounts receivable and work-in-process inventory. Asset information, other than accounts receivable and work-in-process inventory, is not reported, since the Company does not produce such information internally.  All long-lived assets are located in the U.S.

    The table below presents information about reportable segments for the years ended March 31:

    2014
     
    Avionics
    Government
       
    Avionics
    Commercial
       
    Avionics
    Total
       
    Corporate/
    Reconciling Items
       
     
    Total
     
    Net sales
     
    $
    13,726,976
       
    $
    1,774,520
       
    $
    15,501,496
       
    $
    326,795
    (1)  
    $
    15,828,291
     
    Cost of Sales
       
    8,003,137
         
    1,461,267
         
    9,464,404
         
    -
         
    9,464,404
     
                                             
    Gross Margin
       
    5,723,839
         
    313,253
         
    6,037,092
         
    326,795
         
    6,363,887
     
                                             
    Engineering, research, and
    Development
                       
    1,853,338
          -      
    1,853,338
     
    Selling, general, and administrative
                       
    1,372,342
         
    1,774,305
         
    3,146,647
     
    Amortization of debt discount
                       
    -
         
    104,644
         
    104,644
     
    Amortization of deferred financing costs
                       
    -
         
    108,321
         
    108,321
     
    Change in fair value of common
    stock warrant
                       
    -
         
    114,869
     
       
    114,869
     
    Loss on extinguishment of debt                   -      
    26,600
          26,600  
    Interest expense, net
                     
    -
         
    305,095
         
    305,095
     
                         
    3,225,680
         
    2,433,834
         
    5,659,514
     
    Income (loss) before income taxes
                     
    $
    2,811,412
     
     
    $
    (2,107,039
    )
     
    $
    704,373
     
                                             
    Segment Assets
     
    $
    5,801,273
       
    $
    319,758
       
    $
    6,121,031
       
    $
    4,513,322
       
    $
    10,634,353
     

    (1) Represents sale of intellectual property

    2013
     
    Avionics
    Government
       
    Avionics
    Commercial
       
    Avionics
    Total
       
    Corporate/
    Reconciling Items
       
     
    Total
     
    Net sales
     
    $
    5,779,947
       
    $
    2,047,311
       
    $
    7,827,258
       
    $
    -
       
    $
    7,827,258
     
    Cost of Sales
       
    4,934,322
         
    1,931,714
         
    6,866,036
         
    -
         
    6,866,036
     
                                             
    Gross Margin
       
    845,625
         
    115,597
         
    961,222
         
     -
         
    961,222
     
                                             
    Engineering, research, and
    Development
                       
    2,149,591
                 
    2,149,591
     
    Selling, general, and administrative
                       
    1,162,608
         
    1,402,029
         
    2,564,637
     
    Amortization of debt discount
                       
    -
         
    129,763
         
    129,763
     
    Amortization of deferred financing costs
                       
    -
         
    219,662
         
    219,662
     
    Change in fair value of
        common stock warrant
                       
    -
         
    (294,785
    )
       
    (294,785
    )
    Loss on extinguishment of debt                      -        -        -  
    Interest expense, net
                     
    -
         
    508,505
         
    508,505
     
                         
    3,312,199
         
    1,965,174
         
    5,277,373
     
    Loss before income taxes
                     
    $
    (2,350,977
    )
     
    $
    (1,965,174
    )
     
    $
    (4,316,151
    )
                                             
    Segment Assets
     
    $
    5,191,777
       
    $
    1,651,204
       
    $
    6,848,981
       
    $
    5,070,453
       
    $
    11,919,434
     

    XML 65 R68.htm IDEA: XBRL DOCUMENT v2.4.0.8
    14. Significant Customer Concentrations (Details)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    U.S. Government [Member] | Government Contracts Concentration Risk [Member] | Sales Revenue, Net [Member]
       
    14. Significant Customer Concentrations (Details) [Line Items]    
    Concentration Risk, Percentage 64.00% 65.00%
    U.S. Government [Member] | Credit Concentration Risk [Member] | Accounts Receivable [Member]
       
    14. Significant Customer Concentrations (Details) [Line Items]    
    Concentration Risk, Percentage 26.00% 53.00%
    One Individual Customer [Member] | Credit Concentration Risk [Member] | Accounts Receivable [Member]
       
    14. Significant Customer Concentrations (Details) [Line Items]    
    Concentration Risk, Percentage   13.00%
    Credit Concentration Risk [Member] | Accounts Receivable [Member]
       
    14. Significant Customer Concentrations (Details) [Line Items]    
    Concentration Risk, Percentage 60.00%  
    Concentration Risk, Customer two customers one individual
    XML 66 Show.js IDEA: XBRL DOCUMENT /** * Rivet Software Inc. * * @copyright Copyright (c) 2006-2011 Rivet Software, Inc. All rights reserved. * Version 2.4.0.3 * */ var Show = {}; Show.LastAR = null, Show.hideAR = function(){ Show.LastAR.style.display = 'none'; }; Show.showAR = function ( link, id, win ){ if( Show.LastAR ){ Show.hideAR(); } var ref = link; do { ref = ref.nextSibling; } while (ref && ref.nodeName != 'TABLE'); if (!ref || ref.nodeName != 'TABLE') { var tmp = win ? win.document.getElementById(id) : document.getElementById(id); if( tmp ){ ref = tmp.cloneNode(true); ref.id = ''; link.parentNode.appendChild(ref); } } if( ref ){ ref.style.display = 'block'; Show.LastAR = ref; } }; Show.toggleNext = function( link ){ var ref = link; do{ ref = ref.nextSibling; }while( ref.nodeName != 'DIV' ); if( ref.style && ref.style.display && ref.style.display == 'none' ){ ref.style.display = 'block'; if( link.textContent ){ link.textContent = link.textContent.replace( '+', '-' ); }else{ link.innerText = link.innerText.replace( '+', '-' ); } }else{ ref.style.display = 'none'; if( link.textContent ){ link.textContent = link.textContent.replace( '-', '+' ); }else{ link.innerText = link.innerText.replace( '-', '+' ); } } }; XML 67 R7.htm IDEA: XBRL DOCUMENT v2.4.0.8
    1. Business, Organization, and Liquidity
    12 Months Ended
    Mar. 31, 2014
    Disclosure Text Block [Abstract]  
    Organization, Consolidation and Presentation of Financial Statements Disclosure [Text Block]
    1.                   Business, Organization, and Liquidity

    Business and Organization

    Tel-Instrument Electronics Corp (“Tel” or the “Company”) has been in business since 1947.  The Company is a leading designer and manufacturer of avionics test and measurement instruments for the global, commercial air transport, general aviation, and government/military defense markets.  Tel provides instruments to test, measure, calibrate, and repair a wide range of airborne navigation and communication equipment.  The Company sells its equipment in both domestic and international markets. Tel continues to develop new products in anticipation of customers’ needs and to maintain its strong market position.  Its development of multifunction testers has made it easier for customers to perform ramp tests with less operator training, fewer test sets, and lower product support costs.  The Company has become a major manufacturer and supplier of IFF (Identification Friend or Foe) flight line test equipment and over the last few years was awarded three major military contracts.

    XML 68 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Consolidated Balance Sheets (Parentheticals) (USD $)
    Mar. 31, 2014
    Mar. 31, 2013
    Allowance for doubtful accounts (in Dollars) $ 27,282 $ 18,940
    Common stock, par value (in Dollars per share) $ 0.10 $ 0.10
    Common stock, shares authorized 4,000,000 4,000,000
    Common stock, shares issued 3,251,387 3,011,739
    Common stock, shares outstanding 3,251,387 3,011,739
    XML 69 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
    11. Note Payable - Related Payable
    12 Months Ended
    Mar. 31, 2014
    Related Party Notepayable Disclosure [Abstract]  
    Related Party Notepayable Disclosure [Text Block]
    11.                 Note Payable – Related Payable

    In June 2013, a related party received a note payable from the Company in exchange for $100,000 which the Company used for working capital needs. On July 24, 2013, the related party converted its note payable in the amount of $100,000 into 31,348 shares of the Company’s common stock at a price of $3.187 per share. The price was approved by the board of directors (the “Board”) of the Company and was the same price as the 200,000 shares issued to the Private Investor upon the conversion of debt on May 31, 2013. The fair value of these shares at the date of conversion was $3.86 per share. As such, in July 2013, the Company recorded additional interest expense of $21,003.

    XML 70 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Document And Entity Information (USD $)
    12 Months Ended
    Mar. 31, 2014
    Jun. 18, 2014
    Sep. 30, 2013
    Document and Entity Information [Abstract]      
    Entity Registrant Name TEL INSTRUMENT ELECTRONICS CORP    
    Document Type 10-K    
    Current Fiscal Year End Date --03-31    
    Entity Common Stock, Shares Outstanding   3,251,387  
    Entity Public Float     $ 6,779,532
    Amendment Flag false    
    Entity Central Index Key 0000096885    
    Entity Current Reporting Status Yes    
    Entity Voluntary Filers No    
    Entity Filer Category Smaller Reporting Company    
    Entity Well-known Seasoned Issuer No    
    Document Period End Date Mar. 31, 2014    
    Document Fiscal Year Focus 2014    
    Document Fiscal Period Focus FY    
    XML 71 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
    12. Commitments
    12 Months Ended
    Mar. 31, 2014
    Disclosure Text Block Supplement [Abstract]  
    Commitments Disclosure [Text Block]
    12.                 Commitments

    The Company leases its only facility in East Rutherford, NJ under an operating lease agreement which expires July 31, 2016. The Company also has an option to renew this lease for an additional 5 years after expiration. Under terms of the lease, the Company is also responsible for its proportionate share of the additional rent to include, all real estate taxes, insurance, snow removal, landscaping and other building charges. The Company is also responsible for the utility costs for the premises.

    In addition, the Company has agreements to lease equipment for use in the operations of the business under operating leases.

    The following is a schedule of approximate future minimum rental payments for operating leases subsequent to the year ended March 31, 2014.

       
    Years Ended March 31,
     
    2015
     
    $
    267,660
     
    2016
       
    254,840
     
    2017
       
    84,947
     
    2018
       
    --
     
    2019
       
    --
     
       
    $
    607,447
     

    Total rent expense, including common charges related to the building as well as equipment rentals, was approximately $312,000 and $314,000 for the years ended March 31, 2014 and 2013, respectively.

    The Company sponsors a 401k Plan in which employee contributions on a pre-tax basis are supplemented by matching contributions by the Company. The Company charged to operations $18,585 and $21,768 as its matching contribution to the Company’s 401k Plan for the years ended March 31, 2014 and 2013, respectively.

    XML 72 R80.htm IDEA: XBRL DOCUMENT v2.4.0.8
    19. Quarterly Results of Operations (Unaudited) (Details) - Schedule of Quarterly Financial Information (USD $)
    3 Months Ended 12 Months Ended
    Mar. 31, 2014
    Dec. 31, 2013
    Sep. 30, 2013
    Jun. 30, 2013
    Mar. 31, 2013
    Dec. 31, 2012
    Sep. 30, 2012
    Jun. 30, 2012
    Mar. 31, 2014
    Mar. 31, 2013
    Schedule of Quarterly Financial Information [Abstract]                    
    Net sales $ 4,504,706 $ 4,089,029 $ 4,034,581 $ 3,199,975 $ 1,905,000 $ 2,350,020 $ 2,394,950 $ 1,177,288 $ 15,828,291 $ 7,827,258
    Gross margin 2,506,293 [1] 1,395,687 1,275,749 1,186,158 (378,263) [2] 453,368 602,423 283,694 6,363,887 961,222
    Income (loss) before taxes 956,709 (87,081) (61,614) (103,641) (1,756,566) (848,965) (878,276) (832,344) 704,373 (4,316,151)
    Net income (loss) $ 565,707 $ (145,933) $ (72,474) $ (85,772) $ (1,128,889) $ (545,177) $ (429,705) $ (668,800) $ 261,528 $ (2,772,571)
    Basic income (loss) per share (in Dollars per share) $ 0.17 $ (0.04) $ (0.02) $ (0.03) $ (0.38) $ (0.19) $ (0.16) $ (0.25) $ 0.08 $ (0.98)
    Diluted income (loss) per share (in Dollars per share) $ 0.14 $ (0.04) $ (0.02) $ (0.03) $ (0.38) $ (0.19) $ (0.16) $ (0.25) $ 0.10 $ (0.98)
    [1] As part of the agreement with the Company's subcontractor to secure the IP (see Note 6), upon payment of the $1,200,000, the outstanding amount due to the subcontractor in the amount of $790,535 was discharged and is recorded as a reduction of cost of goods sold.
    [2] During the fourth quarter of fiscal 2013, the Company recorded a write down of inventory of approximately of $180,000 related to book to physical adjustments, approximately $200,000 of additional third party costs related to vendor services, manufacturing variances, and incurred charges related to temporarily curtailing production in order to enhance quality procedures in its production process.
    XML 73 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Consolidated Statements of Operations (USD $)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    Net sales $ 15,828,291 $ 7,827,258
    Cost of sales 9,464,404 6,866,036
    Gross margin 6,363,887 961,222
    Operating expenses:    
    Selling, general and administrative 3,146,647 2,564,637
    Engineering, research and development 1,853,338 2,149,591
    Total operating expenses 4,999,985 4,714,228
    Income (loss) from operations 1,363,902 (3,753,006)
    Other income (expense):    
    Amortization of debt discount (104,644) (129,763)
    Amortization of deferred financing costs (108,321) (219,662)
    Change in fair value of common stock warrants (114,869) 294,785
    Loss on extinguishment of debt (26,600) 0
    Interest income 226 434
    Interest expense (275,321) (478,939)
    Interest expense - related parties (30,000) (30,000)
    Total other expense (659,529) (563,145)
    Income (loss) before income taxes 704,373 (4,316,151)
    Provision (benefit) for income taxes 442,845 (1,543,580)
    Net income (loss) $ 261,528 $ (2,772,571)
    Basic income (loss) per common share (in Dollars per share) $ 0.08 $ (0.98)
    Diluted income (loss) per common share (in Dollars per share) $ 0.10 $ (0.98)
    Weighted average number of shares outstanding    
    Basic (in Shares) 3,204,028 2,834,257
    Diluted (in Shares) 3,228,894 2,834,257
    XML 74 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
    6. Intellectual Property
    12 Months Ended
    Mar. 31, 2014
    Disclosure Text Block [Abstract]  
    Intangible Assets Disclosure [Text Block]
    6.                   Intellectual Property

    In January 2014, the Company received a $2.14 million contract modification on the ITATS program. The ITATS product (“AN/ARM-206”) is a fully automated TACAN test set for use in U.S. Navy Intermediate Level repair locations. This contract modification entails the sale of certain Intellectual Property (“IP”) to the U.S. Navy plus the sale of ancillary test support equipment and an increase in the recurring price to reflect several product enhancements. The Company sold certain IP in the amount of $1,526,795, of which $1,200,000 of the IP sale proceeds was paid to the Company’s subcontractor on this program to secure the IP.  As a result, the net amount of $326,795 is recorded in net sales in the accompanying Statement of Operations. As part of this agreement with the Company’s subcontractor, upon payment of the $1,200,000, the outstanding amount due to the subcontractor in the amount of $790,535 was discharged and is recorded as a reduction of cost of goods sold. The Company also received $117,095 for engineering enhancements for this program, which was recorded as sales in fiscal year 2014. The sale of the IP for the ITATS program should have no impact on future sales of these units to the U.S. Navy or other customers.

    XML 75 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
    5. Equipment and Leasehold Improvements
    12 Months Ended
    Mar. 31, 2014
    Property, Plant and Equipment [Abstract]  
    Property, Plant and Equipment Disclosure [Text Block]
    5.                   Equipment and Leasehold Improvements

    Equipment and leasehold improvements consist of the following:

       
    March 31,
     
       
    2014
       
    2013
     
    Leasehold Improvements
     
    $
    94,413
       
    $
    94,413
     
    Machinery and equipment
       
    1,516,332
         
    1,474,192
     
    Automobiles
       
    28,452
         
    4,741
     
    Sales equipment
       
    586,265
         
    591,109
     
    Assets under capitalized leases
       
    610,995
         
    610,995
     
    Less: Accumulated depreciation & amortization
       
    (2,385,584
    )
       
    (2,187,492
    )
       
    $
    450,873
       
    $
    587,958
     

    Depreciation and amortization expense related to the assets above for the years ended March 31, 2014 and 2013 was $202,936 and $228,069 respectively.

    XML 76 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
    17. Net Diluted (Loss) Income Per Share
    12 Months Ended
    Mar. 31, 2014
    Earnings Per Share [Abstract]  
    Earnings Per Share [Text Block]
    17.                 Net Diluted Income (Loss) per Share

    Net income (loss) per share has been computed according to FASB ASC 260, “Earnings per Share,” which requires a dual presentation of basic and diluted earnings (loss) per share (“EPS”). Basic EPS represents net (loss) income divided by the weighted average number of common shares outstanding during a reporting period. Diluted EPS reflects the potential dilution that could occur if securities, including warrants and options, were converted into common stock. The dilutive effect of outstanding warrants and options is reflected in earnings per share by use of the treasury stock method. In applying the treasury stock method for stock-based compensation arrangements, the assumed proceeds are computed as the sum of the amount the employee must pay upon exercise and the amounts of average unrecognized compensation costs attributed to future services.

       
    March 31, 2014
       
    March 31, 2013
     
    Basic net income (loss) per share computation:
               
      Net income(loss)
     
    $
    261,528
       
    $
    (2,772,571
    )
      Weighted-average common shares outstanding
       
    3,204,028
         
    2,834,257
     
      Basic net  income (loss) per share
     
    $
    0.08
       
    $
    (0.98
    )
    Diluted net income (loss) per share computation
                   
      Net income (loss)
     
    $
    261,528
       
    $
    (2,772,571
    )
      Add: Change in fair value of warrants
       
    71,757
            -  
      Diluted income (loss)
       
    333,285
            (2,772,571
      Weighted-average common shares outstanding
       
    3,204,028
         
    2,834,257
     
      Incremental shares attributable to the assumed exercise
         of outstanding stock options and warrants
       
    24,866
         
    -
     
      Total adjusted weighted-average shares
       
    3,228,894
         
    2,834,257
     
      Diluted net income (loss) per share
     
    $
    0.10
       
    $
    (0.98
    )

    For the year ended March 31, 2014, 78,000 stock options and 147,336 warrants were excluded from the computation of diluted income per share as their effect would be anti-dilutive.

    For the year ended March 31, 2013, all outstanding warrants and options were excluded from the computation of diluted loss per share because their effect would be anti-dilutive.

    XML 77 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
    13. Capitalized Lease Obligations
    12 Months Ended
    Mar. 31, 2014
    Leases, Capital [Abstract]  
    Capital Leases in Financial Statements of Lessee Disclosure [Text Block]
    13.                 Capitalized Lease Obligations

    The Company has entered into lease commitments for furniture and equipment that meet the requirements for capitalization. The equipment has been capitalized and shown in equipment and leasehold improvements in the accompanying balance sheets.  The related obligations are also recorded in the accompanying consolidated balance sheets and are based upon the present value of the future minimum lease payments with interest rates ranging from 12% to 15%.  The net book value of equipment acquired under capitalized lease obligations amounted to $164,274 and $192,386 at March 31, 2014 and 2013, respectively. There were no new capital lease obligations during fiscal years 2014 and 2013.  As of March 31, 2014 and 2013, accumulated amortization under capital leases was $446,721 and $418,608, respectively.

    At March 31, 2014, future payments under capital leases are as follows over each of the next five fiscal years:

     2015
     
    $
    59,592
     
     2016
       
    18,685
     
     2017
       
    4,670
     
     2018
       
    --
     
     2019
       
    --
     
    Total minimum lease payments
       
    82,947
     
    Less amounts representing interest
       
    (8,019
    )
    Present value of net minimum lease payments
       
    74,928
     
    Less current portion
       
    (53,608
    )
    Long-term capital lease obligation
     
    $
    21,320
     

    XML 78 R84.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Schedule II - Valuation and Qualifying Accounts (Details) - Schedule of Valuation and Qualifying Accounts Disclosure (USD $)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    Allowance for Doubtful Accounts [Member]
       
    Schedule II - Valuation and Qualifying Accounts (Details) - Schedule of Valuation and Qualifying Accounts Disclosure [Line Items]    
    Balance at Beginning of the Year $ 18,940 $ 35,470
    Charged to Costs and Expenses 10,000 0
    Deductions (1,658) [1] (16,530) [1]
    Balance at End of the Year 27,282 18,940
    Inventory Valuation Reserve [Member]
       
    Schedule II - Valuation and Qualifying Accounts (Details) - Schedule of Valuation and Qualifying Accounts Disclosure [Line Items]    
    Balance at Beginning of the Year 200,000 200,000
    Charged to Costs and Expenses 5,000 0
    Deductions 0 [1]    [1]
    Balance at End of the Year $ 205,000 $ 200,000
    [1] Deductions represent amounts written-off.
    XML 79 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
    9. Subordinated Notes - Related Parties
    12 Months Ended
    Mar. 31, 2014
    Related Party Transactions [Abstract]  
    Related Party Transactions Disclosure [Text Block]
    9.                   Subordinated Notes – Related Parties

    On February 22, 2010 the Company borrowed $250,000 in exchange for issuing Subordinated Notes to each of two Executive Officers and Directors in the amount of $125,000. Each officer and director also received 5,000 stock options at $8.00 per share, the market price at the date of grant. In September 2010, these officers/directors entered into an Intercreditor and Subordination agreement which subordinated their loans to the BCA Loan Agreement (see Note 10 to Notes to Consolidated Financial Statements).  The notes were to become due April 1, 2011 with an interest rate of 1% per month, payable on a monthly basis within 14 days of the end of each month. The Intercreditor  and Subordination Agreement amongst the parties precludes the payment of principal or interest under these subordinated notes unless and until the Senior Obligations have been paid in full or without the express written consent of Senior Lender.  The Subordinated Note Holders agree that the Company’s failure to pay the monthly interest amounts pursuant to the terms of the February 22, 2010 Subordinated Notes will not constitute an event of default on the Notes if the Company is precluded from making these payments pursuant to the limitations included in the loan agreement with BCA. During fiscal year 2012, the Company’s Chairman, at the time, passed away. His surviving spouse has retained this Subordinated Note and continues to acknowledge the terms. Total interest expense for both amounted to $30,000 for the years ended March 31, 2014 and 2013.

    XML 80 R60.htm IDEA: XBRL DOCUMENT v2.4.0.8
    9. Subordinated Notes - Related Parties (Details) (USD $)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    Mar. 31, 2010
    9. Subordinated Notes - Related Parties (Details) [Line Items]      
    Interest Expense, Related Party $ 30,000 $ 30,000  
    Executive Officers and Directors [Member] | Subordinated Notes [Member]
         
    9. Subordinated Notes - Related Parties (Details) [Line Items]      
    Debt Instrument, Face Amount     250,000
    Number of Related Parties     2
    Interest Expense, Related Party 30,000 30,000  
    Executive Officer and Director 1 [Member] | Subordinated Notes [Member]
         
    9. Subordinated Notes - Related Parties (Details) [Line Items]      
    Debt Instrument, Face Amount     $ 125,000
    Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Gross     5,000
    Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercise Price     $ 8.00
    Debt Instrument, Maturity Date     Apr. 01, 2011
    Debt Instrument, Interest Rate Terms     rate of 1% per month, payable on a monthly basis within 14 days of the end of each month
    Debt Instrument, Payment Terms     monthly basis within 14 days of the end of each month
    Executive Officer and Director 2 [Member] | Subordinated Notes [Member]
         
    9. Subordinated Notes - Related Parties (Details) [Line Items]      
    Debt Instrument, Maturity Date     Apr. 01, 2011
    Debt Instrument, Interest Rate Terms     rate of 1% per month, payable on a monthly basis within 14 days of the end of each month
    Debt Instrument, Payment Terms     monthly basis within 14 days of the end of each month
    XML 81 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
    7. Accrued Expenses
    12 Months Ended
    Mar. 31, 2014
    Payables and Accruals [Abstract]  
    Accounts Payable and Accrued Liabilities Disclosure [Text Block]
    7.                   Accrued Expenses

    Accrued vacation pay, deferred wages, payroll and payroll withholdings consist of the following:

       
    March 31,
     
       
    2014
       
    2013
     
                 
    Accrued vacation pay
     
    $
    267,991
       
    $
    273,612
     
    Accrued compensation and payroll withholdings
       
    176,247
         
    168,910
     
                     
       
    $
    444,238
       
    $
    442,522
     

    Accrued vacation pay, payroll and payroll withholdings includes $48,529 and $40,500 at March 31, 2014 and 2013, respectively, which is due to officers.

    Accrued expenses - other consist of the following:

       
    March 31,
     
       
    2014
       
    2013
     
                 
    Accrued interest
     
    $
    17,672
       
    $
    110,751
     
    Accrued outside contractor costs
       
    104,610
         
    882,351
     
    Accrued commissions
       
    188,840
         
    8,448
     
    Accrued legal costs
       
    215,582
         
    40,688
     
    Warranty reserve
       
    194,062
         
    287,470
     
    Accrued – other
       
    198,521
         
    95,294
     
                     
       
    $
    919,287
       
    $
    1,425,002
     

    The following table provides a summary of the changes in warranty reserves for the years ended March 31, 2014 and 2013:

       
    March 31, 2014
       
    March 31, 2013
     
    Warranty reserve, at beginning of period
     
    $
    287,470
       
    $
    271,629
     
    Warranty expense
       
    288,685
         
    203,783
     
    Warranty deductions
       
    (382,093
    )
       
    (187,942
    Warranty reserve, at end of period
     
    $
    194,062
       
    $
    287,470
     

    Accrued expenses – related parties consists of the following:

       
    March 31,
     
       
    2014
       
    2013
     
                 
    Interest due to the estate  
       of the Company’s former Chairman
     
    $
    61,518
       
    46,518
     
    Interest and other expenses due to
        the Company’s President/CEO
       
    61,518
         
    54,018
     
                     
       
    $
    123,036
       
    $
    100,536
     

    XML 82 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
    8. Income Taxes
    12 Months Ended
    Mar. 31, 2014
    Income Tax Disclosure [Abstract]  
    Income Tax Disclosure [Text Block]
    8.                   Income Taxes

    Income tax (benefit) provision:

       
    Fiscal Year Ended
     
       
    March 31,
       
    March 31,
     
       
    2014
       
    2013
     
    Current:
               
                   Federal
     
    $
    16,000
       
    $
    -
     
                   State and local
       
    3,500
         
    3,911
     
                     
                   Total current tax provision
       
    19,500
         
    3,911
     
                     
    Deferred:
                   
                   Federal
       
    401,283
         
    (1,561,076
                   State and local
       
    22,062
         
    13,585
     
                  
                   
                   Total deferred tax provision  (benefit)
       
    423,345
         
    (1,547,491
                     
    Total provision (benefit)
     
    $
    442,845
       
    $
    (1,543,580

    The approximate values of the components of the Company’s deferred taxes at March 31, 2014 and 2013 are as follows:

       
    March 31,
       
    March 31,
     
       
    2014
       
    2013
     
    Deferred tax assets:
               
       Net operating loss carryforwards
     
    $
    2,662
       
    $
    3,086
     
       Tax credits
       
    283
         
    279
     
       Allowance for doubtful accounts
       
    9
         
    7
     
       Reserve for inventory obsolescence
       
    70
         
    69
     
       Inventory capitalization
       
    98
         
    183
     
       Deferred payroll
       
    30
         
    -
     
       Vacation accrual
       
    91
         
    95
     
       Warranty reserve
       
    66
         
    100
     
       Deferred revenues
       
    58
         
    2
     
       Stock options
       
    36
         
    32
     
       Non-compete agreement
       
    12
         
    14
     
       Depreciation
       
    (52
    )
       
    (82
    )
       Deferred tax asset
       
    3,363
         
    3,785
     
       Less valuation allowance
       
    -
         
    1
     
                     
       Deferred tax asset, net
     
    $
    3,363
       
    $
    3,784
     
                     
       Deferred tax asset – current
     
    $
    1,090
       
    $
    1,238
     
       Deferred tax asset – long-term
       
    2,273
         
    2,546
     
       Total
     
    $
    3,363
       
    $
    3,784
     

    The recognized deferred tax asset is based upon the expected utilization of its benefit from future taxable income. The Company has federal net operating loss (“NOL”) carryforwards of approximately $7,819,000 as of March 31, 2014, of which approximately $225,000 is subject to limitations under Section 382 of the Internal Revenue Code. These carryforward losses are available to offset future taxable income, and begin to expire in the year 2027. NJ State NOL carryforwards approximate $7,021,000 as of March 31, 2014. NJ NOL carryforwards expire in 7 years, and certain of these amounts begin to expire in 2014.

    The foregoing amounts are management’s estimates and the actual results could differ from those estimates. Future profitability in this competitive industry depends on continually obtaining and fulfilling new profitable sales agreements and modifying products.  The inability to obtain new profitable contracts or the failure of the Company’s engineering development efforts could reduce estimates of future profitability, which could affect the Company’s ability to realize the deferred tax assets.

    A reconciliation of the income tax (benefit) provision at the statutory Federal tax rate of 34% to the income tax (benefit) provision recognized in the financial statements is as follows:

       
    March 31,
       
    March 31,
     
       
    2014
       
    2013
     
                 
    Income tax (benefit) provision  – statutory rate
     
    $
    239,487
       
    $
    (1,467,491
    )
    Income tax expenses – state and local, net of federal benefit
       
    19,500
         
    3,500
     
    Permanent items
       
    141,474
         
    (38,350
    )
    True-up of prior years deferred taxes
       
    19,536
         
    (67,246
    )
    Change in state rate
       
    -
         
    85,945
     
    Change in valuation allowance
       
    (171
    )
       
    (49,718
    )
    Other
       
    23,019
         
    (10,220
    )
                     
    Income tax provision (benefit)
     
    $
    442,845
       
    $
    (1,543,580
    )

    XML 83 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
    10. Long-Term Debt
    12 Months Ended
    Mar. 31, 2014
    Disclosure Text Block [Abstract]  
    Long-term Debt [Text Block]
    10.                 Long-Term Debt

    BCA Mezzanine Fund LLP

    In September 2010 the Company entered into an agreement with BCA Mezzanine Fund LLP (“BCA”) to loan the Company $2.5 million in the form of a Promissory Note (“the “Note”). The Company incurred expenses of $541,604 in connection with this loan, including legal fees, investment banking fees and other transaction fees, including third party warrants exercisable for 10,416 shares at $6.70 per share for five years in conjunction with the BCA loan as a finder’s fee.  These expenses are included as deferred financing costs in the accompanying balance sheets, and are being amortized over the term of the loan using the straight-line method which approximates the effective interest rate method. For the years ended March 31, 2014 and 2013, the Company recorded amortization of deferred financing costs in the amount of $108,321. As of March 31, 2014, the Company had unamortized deferred financing costs in the amount of $156,463 of which $108,321 is classified as a current asset and $48,142 as long-term.   As of March 31, 2013, the Company had unamortized deferred financing costs in the amount of $264,784 of which $108,321 is classified as a current asset and $146,463 as long-term.  

    The Company also issued warrants to BCA for 136,920 shares at $6.70 per share for nine years in conjunction with the loan. In connection with the initial warrants issued with this debt, the Company recorded a debt discount of $267,848. The debt discount is being amortized over the life of the loan. For each of the years ended March 31, 2014 and 2013, the Company recorded amortization of debt discount in the amount of $53,570.  As of March 31, 2014 and 2013, the Company had unamortized discount of $77,378 and $130,948, respectively, and are classified as a reduction of long-term debt in the accompanying consolidated balance sheets.

    The features of the note are as follows:

     
    1. 
    The Note has a term of five (5) years with an annual interest rate of 14% on the outstanding principal amount. Payments for the first year were interest only and amounted to $28,762 monthly.  In September 2011, the Company began making monthly payments of approximately $69,000 for interest and principal for the remaining term of the loan. BCA had agreed to allow the Company to defer principal payments for the three months ended September 30, 2012. BCA has also agreed to allow the Company to defer principal payments due on October 31, 2012 November 30, 2012, and June 30, 2013. These amounts are deferred until September 2015. BCA has also agreed to allow the Company to defer principal payments due on December 31, 2012 and January 31, 2013 to February 2013, at which time the Company paid these deferred principal payments.

     
    2. 
    At inception, the Company issued BCA  a nine-year warrant for 136,920 shares, based upon 4.5% of the fully –diluted outstanding shares of the Company’s common stock at $6.70 per share, the average closing price over the three days preceding the loan closing on the NYSE-MKT Exchange. In the event of specific major corporate events or the maturity of the five-year loan, BCA can require the Company to purchase the warrant and warrant shares at the higher of the then Exchange market price less the share exercise price, in the case of the warrant, or five times operating income per share. In connection with the warrant issued in conjunction with this debt, the Company recorded a debt discount (see above) and warrant liability, which is marked to fair value at the end of each period (see Note 20 to Notes to the Consolidated Financial Statements). The debt discount is being amortized over the life of the loan.

     
    3. 
    Loan provisions also contain customary representations and warranties.

     
    4. 
    BCA has a lien on all of the Company’s assets. In February 2011, BCA agreed to release part of its lien on Company assets to the U.S. Government to allow for progress billings up to $1,000,000.

     
    5. 
    The Company was required to pay prepayment fees if the Company decided to prepay a portion of the principal amount during the first two years of the loan. The Company may now prepay a portion of the principal amount without any prepayment penalty.  Each payment must be not less than $25,000 or multiples of $25,000 in excess thereof.

     
    6. 
    Upon the occurrence of a Change of Control or within five (5) Business Days of an O’Hara Life Insurance Realization Event, the Company shall, in each case at the election of BCA, prepay by wire transfer the entire outstanding principal amount of the Note in accordance with the redemption prices (the “Mandatory redemption Prices”) set forth below (expressed as a percentage of the outstanding principal amount being prepaid and shall pay 103% in the first loan year, 102% in the second loan year, and 100% thereafter), together with (x) Interest, if any, accrued and unpaid on the outstanding principal amount of the Note so prepaid through the date of such prepayment, (y) all reasonable out-of-pocket costs and expenses (including reasonable fees, charges and disbursements of counsel), if any, associated with such prepayment, and (z) all other costs, expenses and indemnities then payable under this Agreement (such amounts, collectively the “Mandatory Redemption Payment”).  If a Change of Control or O’Hara Life Insurance Realization Event shall occur during any Loan Year set forth below, the Mandatory Redemption Price shall be determined based upon the percentage indicated above for such Loan Year multiplied by the principal amount which is being prepaid.  At the   election of BCA, all or any portion of the Mandatory Redemption Payment may be paid in the form of Marketable Securities in lieu of cash and to the extent available and to the extent not restricted by any SBIC Regulations.  In the event BCA makes the election contemplated by the immediately preceding sentence, the Issuer shall issue to Purchaser that number of shares having an aggregate Current Market Price as of such issuance date equal to that portion of the Mandatory Redemption Payment subject to such election.

     
    7.  
    The BCA notes contain a number of affirmative and negative covenants which could restrict our operations.  For the quarter ended March 31, 2014, the Company was not in compliance with two covenants related to maintaining agreed upon financial ratios for fixed charges and debt service. In June 2014, the Company was granted a waiver for non-compliance of the financial covenants as of March 31, 2014.

     
    8.  
    The Company and BCA have amended certain provisions to ease some restrictions, including non-compliance with financial covenants, deferral of principal payments, and approval to obtain progress payments from the government.
     
    In consideration for the waiver for non-compliance of the financial covenants at March 31, 2012, BCA received warrants to purchase 20,000 shares of the Company’s common stock. The common stock underlying the warrant is exercisable at a price of $3.35 per share and the warrants expire on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.  The fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant was charged to debt discount in the accompanying balance sheet in the amount of $26,477 for the year ended March 31, 2013 and will be amortized over the remaining term of the loan.

    In consideration for the waiver for non-compliance of the financial covenants as September 30, 2012 and for the deferral of principal payments due on October 31 and November 30, 2012 to the end of the term of the loan (maturity), BCA received warrants to purchase 20,000 shares of the Company’s common stock. The common stock underlying the warrants is exercisable at a price of $3.56 per share and the warrant expires on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.  The fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant was charged to debt discount in the accompanying balance sheet in the amount of $21,441 for the year ended March 31, 2013 and will be amortized over the remaining term of the loan.
     
    In consideration for the waiver for non-compliance of the financial covenants as December 31, 2012 and for the deferral of principal payments due on December 31, 2012 and January 31, 2013, BCA received warrants to purchase 20,000 shares of the Company’s common stock. The common stock underlying the warrant is exercisable at a price of $3.58 per share and the warrants expire on September 10, 2019. Fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant was charged to debt discount in the accompanying balance sheet in the amount of $23,714 for the year ended March 31, 2013 and will be amortized over the remaining term of the loan. (see Note 20).  In addition, the Company agreed to pay an additional closing fee of 1% of the original principal in the amount of $25,000, which is also being amortized over the remaining term of the loan.

    In consideration for the waiver for non-compliance of the financial covenants at March 31, 2013, on July 12, 2013, BCA received warrants to purchase 20,000 shares of the Company’s common stock. The common stock underlying the warrants is exercisable at a price of $3.33 per share and the warrants expire on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.  The fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant will be recorded as a debt discount of $19,523, and will be amortized over the remaining life of the loan.

    In consideration for the waiver for non-compliance of the financial covenants at June 30, 2013, on August 12, 2013, BCA received warrants to purchase 20,000 shares of the Company’s common stock. The common stock underlying the warrants is exercisable at a price of $3.69 per share and the warrants expire on September 10, 2019. Determining the warrant value to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant.  The fair value of the warrant is calculated using the Black-Scholes valuation model. The value of the warrant will be recorded as a debt discount of $21,587, and will be amortized over the remaining life of the loan.

    In consideration for the waiver for non-compliance of the financial covenants at September 30, 2013, on November 12, 2013, the Company incurred an incremental fee of $10,000, which was recorded as a debt discount and will be amortized over the remaining life of the loan.

    For the quarter ended December 31, 2013, the Company was not in compliance with four covenants related to maintaining agreed upon financial ratios for fixed charges, leverage and debt service as well as a requirement for earnings before interest, taxes, depreciation and amortization (EBITDA). On February 13, 2014 the Company received a waiver from BCA on each of the above mentioned covenants.  In consideration for this waiver for non-compliance of the financial covenants, the Company incurred an incremental fee of $10,000, which was recorded as a debt discount and will be amortized over the remaining life of the loan.

    Total amortization expense associated with the initial warrants, additional warrants and fees were $104,644 and $57,570 for the years ended March 31, 2014 and 2013, respectively.   As of March 31, 2014 and 2013, the Company had unamortized discount associated with the initial warrants, additional warrants and fees of $174,046 and $217,580, respectively, and are classified as a reduction of long-term debt in the accompanying consolidated balance sheets.

    All warrants issued to BCA are recorded as a liability and are marked to fair value each reporting period, and the resulting change is reflected in the consolidated statements of operations (see Note 20). 

    Private Investor

    On July 26, 2012 the Company entered into a securities purchase agreement (the “Securities Purchase Agreement”) with a private investor (the “Private Investor”).  Pursuant to the terms of the Purchase Agreement, the Company issued (i) a senior secured promissory note in favor of the Private Investor in the aggregate principal amount of $600,000, approximately $489,000 net of expenses, accruing interest at a rate of 14% per annum and (ii) a common stock purchase warrant to purchase 50,000 shares of the Company’s common stock, par value $0.10 per share. The Note, together with all unpaid interest and principal was due on March 31, 2013.  The common stock underlying the warrant is exercisable at a price of $3.35 per share and the warrant expires on September 10, 2019. In conjunction with the Purchase Agreement the Company entered into an (i) Investor Rights Agreement, (ii) Securities Agreement, (iii) Intercreditor Agreement and (iv) Subordination Agreement. 

    In connection with the warrants issued in conjunction with this debt, the Company recorded a debt discount and warrant liability, which is being marked to fair value at the end of each period (see Note 20 to Notes to the Consolidated Financial Statements).  The Company adjusts the value of the warrant liability (see Note 20) to fair value and recognizes the change in valuation in our statement of operations each reporting period. Determining the the fair value of the warrant liability requires estimates to be used utilizing the Black-Scholes valuation model and the value at issuance was $66,193. The corresponding debt discount was amortized over the life of the loan and was fully amortized as of March 31, 2013.

    The promissory note, dated July 26, 2012 with the Private Investor, contains a number of affirmative and negative covenants which restrict our operations.  For the quarter ended March 31, 2013, the Company was not in compliance with four covenants related to maintaining agreed upon financial ratios for fixed charges, leverage and debt service as well as a requirement for earnings before interest, taxes, depreciation and amortization (EBITDA).  However, the Company received a waiver on each of the above mentioned covenants.

    The Company did not pay the $600,000 due as of March 31, 2013. As a consequence the Company incurred a $25,000 penalty and the default interest of an additional 10%. The Company paid the default interest for the month of April. Effective May 31, 2013, the Private Investor converted the outstanding principal of $600,000, penalty of $25,000 and accrued interest for the month of May 2013 in the amount of $12,400 for a total of $637,400 into 200,000 shares of the Company’s common stock at a price of $3.187 per share. The fair value of these shares at the date of conversion was $3.32 per share. As such, the Company recorded a loss on the extinguishment of debt in the amount of $26,600 and this amount is included in the accompanying statement of operations. As further consideration to the Private Investor, the Company agreed that each time the Company issues any new shares of its common stock in the next two years (excluding the exercise of existing stock options and warrants currently outstanding), at a price lower than a purchase price of $3.187 per share, the Company will issue additional shares to the Private Investor, for no additional consideration, based on the differential between the $3.187 price and the price paid for the newly issued shares of common stock.  No new shares have been issued to the Private Investor.

    Automobile Loan

    In March 2014, the Company entered into a loan with Ford Credit for its van in the amount of $23,712. The Note has a term of five (5) years with an annual interest rate of 8.79% with monthly payments of $492.  The outstanding balance at March 31, 2014 was $23,538.

    The annual maturities of long-term debt for the five fiscal years subsequent to March 31, 2014 are as follows:

    2015
     
    $
    718,848
     
    2016
       
    755,375
     
    2017
       
    4,751
     
    2018
       
    5,186
     
    2019
       
    5,260
     
             
    Total Principal
       
    1,489,420
     
    Less: Debt Discount
       
    (174,046
    )
    Total Debt
     
    $
    1,315,374
     

    XML 84 R64.htm IDEA: XBRL DOCUMENT v2.4.0.8
    12. Commitments (Details) (USD $)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    Disclosure Text Block Supplement [Abstract]    
    Description of Lessee Leasing Arrangements, Operating Leases The Company leases its only facility in East Rutherford, NJ under an operating lease agreement which expires July 31, 2016. The Company also has an option to renew this lease for an additional 5 years after expiration. Under terms of the lease, the Company is also responsible for its proportionate share of the additional rent to include, all real estate taxes, insurance, snow removal, landscaping and other building charges. The Company is also responsible for the utility costs for the premises.  
    Operating Leases, Rent Expense $ 312,000 $ 314,000
    Defined Benefit Plan, Contributions by Employer $ 18,585 $ 21,768
    XML 85 R66.htm IDEA: XBRL DOCUMENT v2.4.0.8
    13. Capitalized Lease Obligations (Details) (USD $)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    Mar. 31, 2014
    Minimum [Member]
    Mar. 31, 2014
    Maximum [Member]
    13. Capitalized Lease Obligations (Details) [Line Items]        
    Fair Value Inputs, Discount Rate     12.00% 15.00%
    Capital Lease Obligations, Net Book Value $ 164,274 $ 192,386    
    Capital Lease Obligations 0 0    
    Capital Leases, Lessee Balance Sheet, Assets by Major Class, Accumulated Depreciation $ 446,721 $ 418,608    
    XML 86 R63.htm IDEA: XBRL DOCUMENT v2.4.0.8
    11. Note Payable - Related Payable (Details) (USD $)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    11. Note Payable - Related Payable (Details) [Line Items]    
    Proceeds from Related Party Debt $ 100,000 $ 1,000,002
    Conversion of Debt [Member] | Private Investor Securities Purchase Agreement [Member]
       
    11. Note Payable - Related Payable (Details) [Line Items]    
    Debt Conversion, Original Debt, Amount 200,000  
    Conversion of Debt [Member]
       
    11. Note Payable - Related Payable (Details) [Line Items]    
    Debt Conversion, Original Debt, Amount 700,000 0
    Conversion of Related Party Note on July 24, 2013 [Member]
       
    11. Note Payable - Related Payable (Details) [Line Items]    
    Proceeds from Related Party Debt 100,000  
    Debt Conversion, Original Debt, Amount 100,000  
    Debt Conversion, Converted Instrument, Shares Issued (in Shares) 31,348  
    Debt Instrument, Convertible, Conversion Price (in Dollars per share) $ 3.187  
    Share Price (in Dollars per share) $ 3.86  
    Interest Expense, Debt $ 21,003  
    XML 87 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
    8. Income Taxes (Tables)
    12 Months Ended
    Mar. 31, 2014
    Income Tax Disclosure [Abstract]  
    Schedule of Components of Income Tax Expense (Benefit) [Table Text Block] Income tax (benefit) provision:

       
    Fiscal Year Ended
     
       
    March 31,
       
    March 31,
     
       
    2014
       
    2013
     
    Current:
               
                   Federal
     
    $
    16,000
       
    $
    -
     
                   State and local
       
    3,500
         
    3,911
     
                     
                   Total current tax provision
       
    19,500
         
    3,911
     
                     
    Deferred:
                   
                   Federal
       
    401,283
         
    (1,561,076
                   State and local
       
    22,062
         
    13,585
     
                  
                   
                   Total deferred tax provision  (benefit)
       
    423,345
         
    (1,547,491
                     
    Total provision (benefit)
     
    $
    442,845
       
    $
    (1,543,580
    Schedule of Deferred Tax Assets and Liabilities [Table Text Block] The approximate values of the components of the Company’s deferred taxes at March 31, 2014 and 2013 are as follows:

       
    March 31,
       
    March 31,
     
       
    2014
       
    2013
     
    Deferred tax assets:
               
       Net operating loss carryforwards
     
    $
    2,662
       
    $
    3,086
     
       Tax credits
       
    283
         
    279
     
       Allowance for doubtful accounts
       
    9
         
    7
     
       Reserve for inventory obsolescence
       
    70
         
    69
     
       Inventory capitalization
       
    98
         
    183
     
       Deferred payroll
       
    30
         
    -
     
       Vacation accrual
       
    91
         
    95
     
       Warranty reserve
       
    66
         
    100
     
       Deferred revenues
       
    58
         
    2
     
       Stock options
       
    36
         
    32
     
       Non-compete agreement
       
    12
         
    14
     
       Depreciation
       
    (52
    )
       
    (82
    )
       Deferred tax asset
       
    3,363
         
    3,785
     
       Less valuation allowance
       
    -
         
    1
     
                     
       Deferred tax asset, net
     
    $
    3,363
       
    $
    3,784
     
                     
       Deferred tax asset – current
     
    $
    1,090
       
    $
    1,238
     
       Deferred tax asset – long-term
       
    2,273
         
    2,546
     
       Total
     
    $
    3,363
       
    $
    3,784
     
    Schedule of Effective Income Tax Rate Reconciliation [Table Text Block] A reconciliation of the income tax (benefit) provision at the statutory Federal tax rate of 34% to the income tax (benefit) provision recognized in the financial statements is as follows:

       
    March 31,
       
    March 31,
     
       
    2014
       
    2013
     
                 
    Income tax (benefit) provision  – statutory rate
     
    $
    239,487
       
    $
    (1,467,491
    )
    Income tax expenses – state and local, net of federal benefit
       
    19,500
         
    3,500
     
    Permanent items
       
    141,474
         
    (38,350
    )
    True-up of prior years deferred taxes
       
    19,536
         
    (67,246
    )
    Change in state rate
       
    -
         
    85,945
     
    Change in valuation allowance
       
    (171
    )
       
    (49,718
    )
    Other
       
    23,019
         
    (10,220
    )
                     
    Income tax provision (benefit)
     
    $
    442,845
       
    $
    (1,543,580
    )
    XML 88 R51.htm IDEA: XBRL DOCUMENT v2.4.0.8
    7. Accrued Expenses (Details) (USD $)
    Mar. 31, 2014
    Mar. 31, 2013
    7. Accrued Expenses (Details) [Line Items]    
    Employee-related Liabilities, Current $ 444,238 $ 442,522
    Officer [Member]
       
    7. Accrued Expenses (Details) [Line Items]    
    Employee-related Liabilities, Current $ 48,529 $ 40,500
    XML 89 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
    15. Subscription Agreements
    12 Months Ended
    Mar. 31, 2014
    Stockholders' Equity Note [Abstract]  
    Stockholders' Equity Note Disclosure [Text Block]
    15.                 Subscription Agreements

    On September 26, 2012, the Company secured an equity purchase commitment for up to $500,000 in total from the Chief Executive Officer, a director and an affiliate to the Company to be called upon at the Company’s discretion. The stock subscription agreements provide for the sale of up to $500,000 of newly issued restricted shares at a price of $3.60 per share, the closing average price of the Company’s common stock following the signing of the individual stock subscription agreements. All of the $500,000 has been called upon by the Company as of December 31, 2012, and the Company issued 138,890 shares of restricted stock in exchange for this amount to the three investors.   This financing was used for general business purposes.

    The price was determined to be fair by a Special Valuation Committee of the Board, composed of Messrs. Robert H. Walker and Robert A. Rice, who did not participate in this share purchase.

    In November 2012, the Company received $500,000 from an investment group in exchange for 149,534 shares of newly issued Company common stock at a price of $3.35 per share. These funds were also used for general operating purposes.

    XML 90 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
    20. Fair Value Measurements
    12 Months Ended
    Mar. 31, 2014
    Fair Value Disclosures [Abstract]  
    Fair Value Disclosures [Text Block]
    20.                 Fair Value Measurements

    FASB ASC 820, “Fair Value Measurements” defines fair value, establishes a framework for measuring fair value under generally accepted accounting principles and prescribes disclosures about fair value measurements.

    As defined in ASC 820, fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (exit price). The Company utilizes market data or assumptions that market participants would use in pricing the asset or liability, including assumptions about risk and the risks inherent in the inputs to the valuation technique. These inputs can be readily observable, market corroborated, or generally unobservable. The Company classifies fair value balances based on the observability of those inputs. ASC 820 establishes a fair value hierarchy that prioritizes the inputs used to measure fair value. The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (level 1 measurement) and the lowest priority to unobservable inputs (level 3 measurement).

    The three levels of the fair value hierarchy defined by ASC 820 are as follows:

    Level 1 – Quoted prices are available in active markets for identical assets or liabilities as of the reporting date. Active markets are those in which transactions for the asset or liability occur in sufficient frequency and volume to provide pricing information on an ongoing basis. Level 1 primarily consists of financial instruments such as exchange-traded derivatives, marketable securities and listed equities.

    Level 2 – Pricing inputs are other than quoted prices in active markets included in level 1, which are either directly or indirectly observable as of the reported date. Level 2 includes those financial instruments that are valued using models or other valuation methodologies. These models are primarily industry-standard models that consider various assumptions, including quoted forward prices for commodities, time value, volatility factors, and current market and contractual prices for the underlying instruments, as well as other relevant economic measures. Substantially all of these assumptions are observable in the marketplace throughout the full term of the instrument, can be derived from observable data or are supported by observable levels at which transactions are executed in the marketplace. Instruments in this category generally include non-exchange-traded derivatives such as commodity swaps, interest rate swaps, options and collars.

    Level 3 – Pricing inputs include significant inputs that are generally less observable from objective sources. These inputs may be used with internally developed methodologies that result in management’s best estimate of fair value.

    The valuation techniques that may be used to measure fair value are as follows:

    Market approach — Uses prices and other relevant information generated by market transactions involving identical or comparable assets or liabilities

    Income approach — Uses valuation techniques to convert future amounts to a single present amount based on current market expectations about those future amounts, including present value techniques, option-pricing models and excess earnings method

    Cost approach — Based on the amount that currently would be required to replace the service capacity of an asset (replacement cost)

    The carrying value of the Company’s borrowings is a reasonable estimate of its fair value as borrowings under the Company’s credit facility have variable rates that reflect currently available terms and conditions for similar debt.

    The Company’s assessment of the significance of a particular input to the fair value measurement requires judgment, and may affect the valuation of fair value assets and liabilities and their placement within the fair value hierarchy levels.

    The following table sets forth by level within the fair value hierarchy the Company’s financial assets and liabilities that were accounted for at fair value as of March 31, 2014 and March 31, 2013. As required by FASB ASC 820, financial assets and liabilities are classified in their entirety based on the lowest level of input that is significant to the fair value measurement.

    March 31, 2014
     
    Level I
       
    Level II
       
    Level III
       
    Total
     
                             
    Warrant Liability
     
    $
    -
       
    $
    -
       
    $
    354,309
       
    $
    354,309
     
    Total Liabilities
     
    $
    -
       
    $
    -
       
    $
    354,309
       
    $
    354,309
     

    March 31, 2013 
     
    Level I
       
    Level II
       
    Level III
       
    Total
     
                             
    Warrant Liability
     
    $
    -
       
    $
    -
       
    $
    198,330
       
    $
    198,330
     
    Total Liabilities
     
    $
    -
       
    $
    -
       
    $
    198,330
       
    $
    198,330
     

    The guidance in ASC 815, “Derivatives and Hedging”, requires that we mark the value of our warrant to market and recognize the change in valuation in our statement of operations each reporting period. Determining the warrant liability to be recorded requires us to develop estimates to be used in calculating the fair value of the warrant. The fair value of the warrant is calculated using the Black-Scholes valuation model.

    The following table provides a summary of the changes in fair value of our Level 3 financial liabilities for the years ended March 31, 2014 and 2013 as well as the unrealized gains or losses included in income.

       
    March 31, 2014
       
    March 31, 2013
     
    Fair value, at beginning of period
     
    $
    198,330
       
    $
    355,290
     
                     
    New issuances
       
    41,110
         
    137,825
     
    Change in fair value
       
    114,869
         
    (294,785
                     
    Fair value, at end of period
     
    $
    354,309
       
    $
    198,330
     

    The common stock warrant was not issued with the intent of effectively hedging any future cash flow, fair value of any asset, liability or any net investment in a foreign corporation. The warrants do not qualify for hedge accounting, and, as such, all changes in the fair value of these warrants are recognized as other income/expense in the statement of operations until such time as the warrants are exercised or expire. Since these common stock warrants do not trade in an active securities market, the Company recognizes a warrant liability and estimates the fair value of these warrants using the Black-Scholes options model using the following assumptions:

    Values at Inception

    Date of
    Warrant
       
    Expiration 
    Date
     
    Number of
    Warrants
     
    Exercise 
    Price
       
    Fair Market Value
    Per Share
       
    Expected
    Volatility
       
    Remaining
     Life
    in Years
       
    Risk Free 
    Interest Rate
       
    Warrant 
    Liability
     
     
    09-10-2010
         
    09-10-2019
     
    136,920
     
    $
    6.70
       
    $
    6.70
         
    28.51
    %
       
    9
         
    2.81
    %
     
    $
    267,848
     
     
    09-10-2010
         
    09-10-2015
     
    10,416
     
    $
    6.70
       
    $
    6.70
         
    28.51
    %
       
    5
         
    1.59
    %
     
    $
    13,808
     
     
    07-26-2012
         
    09-10-2019
     
    50,000
     
    $
    3.35
       
    $
    3.90
         
    42.04
    %
       
    7
         
    0.94
    %
     
    $
    66,193
     
     
    07-26-2012
         
    09-10-2019
     
    20,000
     
    $
    3.35
       
    $
    3.90
         
    42.04
    %
       
    7
         
    0.94
    %
     
    $
    26,477
     
     
    11-20-2012
         
    09-10-2019
     
    20,000
     
    $
    3.56
       
    $
    3.50
         
    42.45
    %
       
    6.83
         
    1.09
    %
     
    $
    21,441
     
     
    02-14-2013
         
    09-10-2019
     
    20,000
     
    $
    3.58
       
    $
    3.80
         
    41.72
    %
       
    6.58
         
    1.43
    %
     
    $
    23,714
     
     
    07-12-2013
         
    09-10-2019
     
    20,000
     
    $
    3.33
       
    $
    3.32
         
    40.26
    %
       
    6.17
         
    2.00
    %
     
    $
    19,523
     
     
    08-12-2013
         
    09-10-2019
     
    20,000
     
    $
    3.69
       
    $
    3.69
         
    40.20
    %
       
    6.08
         
    2.01
    %
     
    $
    21,587
     

    Values at March 31, 2013

    Date of 
    Warrant
       
    Expiration
    Date
     
    Number of
    Warrants
     
    Exercise 
    Price
       
    Fair Market Value
    Per Share
       
    Expected
    Volatility
       
    Remaining
    Life
    in Years
       
    Risk Free
    Interest Rate
       
    Warrant
    Liability
     
     
    09-10-2010
         
    09-10-2019
     
    136,920
     
    $
    6.70
       
    $
    3.50
         
    41.45
    %
       
    6.45
         
    1.24
    %
     
    $
    81,080
     
     
    09-10-2010
         
    09-10-2015
     
    10,416
     
    $
    6.70
       
    $
    3.50
         
    41.45
    %
       
    2.45
         
    0.25
    %
     
    $
    1,870
     
     
    07-26-2012
         
    09-10-2019
     
    50,000
     
    $
    3.35
       
    $
    3.50
         
    41.45
    %
       
    6.45
         
    1.24
    %
     
    $
    53,269
     
     
    07-26-2012
         
    09-10-2019
     
    20,000
     
    $
    3.35
       
    $
    3.50
         
    41.45
    %
       
    6.45
         
    1.24
    %
     
    $
    21,307
     
     
    11-20-2012
         
    09-10-2019
     
    20,000
     
    $
    3.56
       
    $
    3.50
         
    41.45
    %
       
    6.45
         
    1.24
    %
     
    $
    20,664
     
     
    02-14-2013
         
    09-10-2019
     
    20,000
     
    $
    3.58
       
    $
    3.50
         
    41.45
    %
       
    6.45
         
    1.24
    %
       
    20,140
     

    Values at March 31, 2014

    Date of
    Warrant
       
    Expiration 
    Date
     
    Number of
    Warrants
     
    Exercise 
    Price
       
    Fair Market Value
    Per Share
       
    Expected
    Volatility
       
    Remaining
     Life
    in Years
       
    Risk Free 
    Interest Rate
       
    Warrant 
    Liability
     
     
    09-10-2010
         
    09-10-2019
     
    136,920
     
    $
    6.70
       
    $
    4.42
         
    43.35
    %
       
    5.45
         
    1.73
    %
     
    $
    123,564
     
     
    09-10-2010
         
    09-10-2015
     
    10,416
     
    $
    6.70
       
    $
    4.42
         
    43.35
    %
       
    1.45
         
    0.44
    %
     
    $
    2,498
     
     
    07-26-2012
         
    09-10-2019
     
    50,000
     
    $
    3.35
       
    $
    4.42
         
    43.35
    %
       
    5.45
         
    1.73
    %
     
    $
    77,626
     
     
    07-26-2012
         
    09-10-2019
     
    20,000
     
    $
    3.35
       
    $
    4.42
         
    43.35
    %
       
    5.45
         
    1.73
    %
     
    $
    31,050
     
     
    11-20-2012
         
    09-10-2019
     
    20,000
     
    $
    3.56
       
    $
    4.42
         
    43.35
    %
       
    5.45
         
    1.73
    %
     
    $
    29,892
     
     
    02-14-2013
         
    09-10-2019
     
    20,000
     
    $
    3.58
       
    $
    4.42
         
    43.35
    %
       
    5.45
         
    1.73
    %
     
    $
    29,310
     
     
    07-12-2013
         
    09-10-2019
     
    20,000
     
    $
    3.33
       
    $
    4.42
         
    43.35
    %
       
    5.45
         
    1.73
    %
     
    $
    31,163
     
     
    08/12/2013
         
    09-10-2019
     
    20,000
     
    $
    3.69
       
    $
    4.42
         
    43.35
    %
       
    5.45
         
    1.73
    %
     
    $
    29,206
     

    The volatility calculation was based on the 51 months of the Company’s stock price prior to the measurement date, utilizing January 1, 2010 as the initial period, as the Company believes that this is the best indicator of future performance. The source of the risk free interest rate is the US Treasury rate related to 7 year notes. The exercise price is per the agreement, the fair market value is the closing price of our stock on the date of measurement, and the expected life is based on management’s current estimate of when the warrants will be exercised. All inputs to the Black-Scholes options model are evaluated each reporting period.

    XML 91 R49.htm IDEA: XBRL DOCUMENT v2.4.0.8
    5. Equipment and Leasehold Improvements (Details) - Property, Plant and Equipment (USD $)
    Mar. 31, 2014
    Mar. 31, 2013
    Property, Plant and Equipment [Line Items]    
    Less: Accumulated depreciation & amortization $ (2,385,584) $ (2,187,492)
    450,873 587,958
    Leasehold Improvements [Member]
       
    Property, Plant and Equipment [Line Items]    
    Property, plant and equipment, gross 94,413 94,413
    Machinery and Equipment [Member]
       
    Property, Plant and Equipment [Line Items]    
    Property, plant and equipment, gross 1,516,332 1,474,192
    Automobiles [Member]
       
    Property, Plant and Equipment [Line Items]    
    Property, plant and equipment, gross 28,452 4,741
    Office Equipment [Member]
       
    Property, Plant and Equipment [Line Items]    
    Property, plant and equipment, gross 586,265 591,109
    Assets Held under Capital Leases [Member]
       
    Property, Plant and Equipment [Line Items]    
    Property, plant and equipment, gross $ 610,995 $ 610,995
    XML 92 R41.htm IDEA: XBRL DOCUMENT v2.4.0.8
    18. Segment Information (Tables)
    12 Months Ended
    Mar. 31, 2013
    Segment Reporting [Abstract]  
    Schedule of Segment Reporting Information, by Segment [Table Text Block] The table below presents information about reportable segments for the years ended March 31:

    2014
     
    Avionics
    Government
       
    Avionics
    Commercial
       
    Avionics
    Total
       
    Corporate/
    Reconciling Items
       
     
    Total
     
    Net sales
     
    $
    13,726,976
       
    $
    1,774,520
       
    $
    15,501,496
       
    $
    326,795
    (1)  
    $
    15,828,291
     
    Cost of Sales
       
    8,003,137
         
    1,461,267
         
    9,464,404
         
    -
         
    9,464,404
     
                                             
    Gross Margin
       
    5,723,839
         
    313,253
         
    6,037,092
         
    326,795
         
    6,363,887
     
                                             
    Engineering, research, and
    Development
                       
    1,853,338
          -      
    1,853,338
     
    Selling, general, and administrative
                       
    1,372,342
         
    1,774,305
         
    3,146,647
     
    Amortization of debt discount
                       
    -
         
    104,644
         
    104,644
     
    Amortization of deferred financing costs
                       
    -
         
    108,321
         
    108,321
     
    Change in fair value of common
    stock warrant
                       
    -
         
    114,869
     
       
    114,869
     
    Loss on extinguishment of debt                   -      
    26,600
          26,600  
    Interest expense, net
                     
    -
         
    305,095
         
    305,095
     
                         
    3,225,680
         
    2,433,834
         
    5,659,514
     
    Income (loss) before income taxes
                     
    $
    2,811,412
     
     
    $
    (2,107,039
    )
     
    $
    704,373
     
                                             
    Segment Assets
     
    $
    5,801,273
       
    $
    319,758
       
    $
    6,121,031
       
    $
    4,513,322
       
    $
    10,634,353
     
    2013
     
    Avionics
    Government
       
    Avionics
    Commercial
       
    Avionics
    Total
       
    Corporate/
    Reconciling Items
       
     
    Total
     
    Net sales
     
    $
    5,779,947
       
    $
    2,047,311
       
    $
    7,827,258
       
    $
    -
       
    $
    7,827,258
     
    Cost of Sales
       
    4,934,322
         
    1,931,714
         
    6,866,036
         
    -
         
    6,866,036
     
                                             
    Gross Margin
       
    845,625
         
    115,597
         
    961,222
         
     -
         
    961,222
     
                                             
    Engineering, research, and
    Development
                       
    2,149,591
                 
    2,149,591
     
    Selling, general, and administrative
                       
    1,162,608
         
    1,402,029
         
    2,564,637
     
    Amortization of debt discount
                       
    -
         
    129,763
         
    129,763
     
    Amortization of deferred financing costs
                       
    -
         
    219,662
         
    219,662
     
    Change in fair value of
        common stock warrant
                       
    -
         
    (294,785
    )
       
    (294,785
    )
    Loss on extinguishment of debt                      -        -        -  
    Interest expense, net
                     
    -
         
    508,505
         
    508,505
     
                         
    3,312,199
         
    1,965,174
         
    5,277,373
     
    Loss before income taxes
                     
    $
    (2,350,977
    )
     
    $
    (1,965,174
    )
     
    $
    (4,316,151
    )
                                             
    Segment Assets
     
    $
    5,191,777
       
    $
    1,651,204
       
    $
    6,848,981
       
    $
    5,070,453
       
    $
    11,919,434
     
    (1) Represents sale of intellectual property
    XML 93 R5.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Consolidated Statements of Changes in Stockholders' Equity (USD $)
    Common Stock [Member]
    Stock Issued for Conversion of Debt [Member]
    Common Stock [Member]
    Stock Issued for Conversion of Note Payable [Member]
    Common Stock [Member]
    Additional Paid-in Capital [Member]
    Stock Issued for Conversion of Debt [Member]
    Additional Paid-in Capital [Member]
    Stock Issued for Conversion of Note Payable [Member]
    Additional Paid-in Capital [Member]
    Retained Earnings [Member]
    Stock Issued for Conversion of Debt [Member]
    Stock Issued for Conversion of Note Payable [Member]
    Total
    Balance at Mar. 31, 2012     $ 268,421     $ 5,921,441 $ (1,940,547)     $ 4,249,315
    Balance (in Shares) at Mar. 31, 2012     2,684,215              
    Stock-based compensation           81,517       81,517
    Net Income (loss)             (2,772,571)     (2,772,571)
    Issuance of new shares in connection with stock subscription agreements     28,840     971,162       1,000,002
    Issuance of new shares in connection with stock subscription agreements (in Shares)     288,424              
    Exercise of stock options     3,910     134,180       138,090
    Exercise of stock options (in Shares)     39,100              
    Balance at Mar. 31, 2013     301,171     7,108,300 (4,713,118)     2,696,353
    Balance (in Shares) at Mar. 31, 2013     3,011,739             3,011,739
    Stock-based compensation           84,742       84,742
    Net Income (loss)             261,528     261,528
    Issuance of new shares in connection with conversion of debt and note payable into common stock 20,000 3,135   644,000 117,868     664,000 121,003  
    Issuance of new shares in connection with conversion of debt and note payable into common stock (in Shares) 200,000 31,348                
    Exercise of stock options     830     32,190       33,020
    Exercise of stock options (in Shares)     8,300              
    Balance at Mar. 31, 2014     $ 325,136     $ 7,987,100 $ (4,451,590)     $ 3,860,646
    Balance (in Shares) at Mar. 31, 2014     3,251,387             3,251,387
    XML 94 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
    4. Inventories
    12 Months Ended
    Mar. 31, 2014
    Inventory Disclosure [Abstract]  
    Inventory Disclosure [Text Block]
    4.                   Inventories

    Inventories consist of:

       
    March 31,
     
       
    2014
       
    2013
     
    Purchased parts
     
    $
    3,085,070
       
    $
    4,418,989
     
    Work-in-process
       
    1,134,714
         
    1,636,325
     
    Finished  goods
       
    10,607
         
    385,867
     
    Less: Allowance for obsolete inventory
       
    (205,000
    )
       
    (200,000
    )
       
    $
    4,025,391
       
    $
    6,241,181
     

    Work-in-process inventory includes $1,092,928 and $1,236,593 for government contracts at March 31, 2014 and 2013, respectively.

    XML 95 R58.htm IDEA: XBRL DOCUMENT v2.4.0.8
    8. Income Taxes (Details) - Schedule of Deferred Tax Assets and Liabilities (USD $)
    Mar. 31, 2014
    Mar. 31, 2013
    Deferred tax assets:    
    Net operating loss carryforwards $ 2,662,000 $ 3,086,000
    Tax credits 283,000 279,000
    Allowance for doubtful accounts 9,000 7,000
    Reserve for inventory obsolescence 70,000 69,000
    Inventory capitalization 98,000 183,000
    Deferred payroll 30,000 0
    Vacation accrual 91,000 95,000
    Warranty reserve 66,000 100,000
    Deferred revenues 58,000 2,000
    Stock options 36,000 32,000
    Non-compete agreement 12,000 14,000
    Depreciation (52,000) (82,000)
    Deferred tax asset 3,363,000 3,785,000
    Less valuation allowance 0 1,000
    Deferred tax asset, net 3,363,000 3,784,000
    Deferred tax asset – current 1,089,538 1,238,421
    Deferred tax asset – long-term $ 2,273,068 $ 2,546,190
    XML 96 R82.htm IDEA: XBRL DOCUMENT v2.4.0.8
    20. Fair Value Measurements (Details) - Schedule of Changes in Fair Value of Plan Assets (USD $)
    12 Months Ended
    Mar. 31, 2014
    Mar. 31, 2013
    Schedule of Changes in Fair Value of Plan Assets [Abstract]    
    Fair value, at beginning of period $ 198,330 $ 355,290
    New issuances 41,110 137,825
    Change in fair value 114,869 (294,785)
    Fair value, at end of period $ 354,309 $ 198,330
    XML 97 R69.htm IDEA: XBRL DOCUMENT v2.4.0.8
    14. Significant Customer Concentrations (Details) - Schedules of Concentration of Risk, by Risk Factor (USD $)
    3 Months Ended 12 Months Ended
    Mar. 31, 2014
    Dec. 31, 2013
    Sep. 30, 2013
    Jun. 30, 2013
    Mar. 31, 2013
    Dec. 31, 2012
    Sep. 30, 2012
    Jun. 30, 2012
    Mar. 31, 2014
    Mar. 31, 2013
    Concentration Risk [Line Items]                    
    Sales $ 4,504,706 $ 4,089,029 $ 4,034,581 $ 3,199,975 $ 1,905,000 $ 2,350,020 $ 2,394,950 $ 1,177,288 $ 15,828,291 $ 7,827,258
    United States [Member] | Sales [Member]
                       
    Concentration Risk [Line Items]                    
    Sales                 13,311,132 6,893,832
    Foreign Countries [Member] | Sales [Member]
                       
    Concentration Risk [Line Items]                    
    Sales                 2,517,159 933,426
    Sales [Member]
                       
    Concentration Risk [Line Items]                    
    Sales                 $ 15,828,291 $ 7,827,258
    XML 98 R27.htm IDEA: XBRL DOCUMENT v2.4.0.8
    21. Litigation
    12 Months Ended
    Mar. 31, 2014
    Disclosure Text Block Supplement [Abstract]  
    Legal Matters and Contingencies [Text Block]
    21.                 Litigation

    On March 24, 2009, Aeroflex Wichita, Inc. (“Aeroflex”) filed a petition against the Company and two of its employees in the District Court, Sedgwick County, Kansas, Case No. 09 CV 1141 (the “Aeroflex Action”), alleging that the Company and its two employees misappropriated Aeroflex’s proprietary technology in connection with the Company winning a substantial contract from the U.S. Army (the “Award”), to develop new Mode-5 radar test sets and kits to upgrade the existing TS-4530 radar test sets to Mode 5. Aeroflex’s petition alleges that in connection with the Award, the Company and its named employees misappropriated Aeroflex’s trade secrets; tortiously interfered with its business relationship; conspired to harm Aeroflex and tortiously interfered with its contract and seeks injunctive relief and damages. The central basis of all the claims in the Aeroflex Action is that the Company misappropriated and used Aeroflex proprietary technology and confidential information in winning the Award. In February 2009, subsequent to the Award to the Company, Aeroflex filed a protest of the Award with the Government Accounting Office (“GAO”). In its protest, Aeroflex alleged, inter alia, that the Company used Aeroflex’s proprietary technology in order to win the Award, the same material allegations as were later alleged in the Aeroflex Action. On or about March 17, 2009, the U.S. Army Contracts Attorney and the U.S. Army Contracting Officer each filed a statement with the GAO, expressly rejecting Aeroflex’s allegations that the Company used or infringed Aeroflex proprietary technology in winning the Award, and concluding that the Company had used only its own proprietary technology. On April 6, 2009, Aeroflex withdrew its protest.

    In December 2009, the Kansas District Court dismissed on jurisdiction grounds the Aeroflex Action. Aeroflex appealed this decision. In May 2012, the Kansas Supreme Court reversed the decision and remanded the Aeroflex Action to the District Court for further proceedings. Discovery is ongoing. The case is set for trial on May 19, 2015. Tel is optimistic as to the outcome of this litigation. However, the outcome of any litigation is unpredictable and an adverse decision in this matter could have a material adverse effect on our financial condition, results of operations or liquidity.

    On October 9, 2013, the SEC notified the Company that it may be in violation of Section 16(a) for failure to accurately and timely file beneficial ownership reports (the “Filings”) for certain officers and directors.  The Company accepted responsibility for filing all such reports on behalf of each officer and director.

    The Company apparently made certain coding errors with respect to certain of the Filings, in addition to, not filing within two business days of a reportable transaction as reported by an officer or director. Based on the above, the SEC notified the Company that it may be in violation of Section 16(a). Currently, all transactions by the Holders have been disclosed with the SEC and the Company believes that the transactions which required timely Section 16(a) reports did not involve a material amount of equity securities.  Additionally, no sales were made by any officer of director and the violation is related to disclosure only.

    The Company has made an Offer to Settle to the Commission and is finalizing such Offer. The Company has also revised its procedures for Section 16(a) reports to ensure complete compliance.

    Other than the matters outlined above, we are currently not involved in any litigation that we believe could have a material adverse effect on our financial condition or results of operations. There is no action, suit, proceeding, inquiry or investigation before any court, public board, government agency, self-regulatory organization or body pending or, to the knowledge of executive officers of our Company, threatened against or affecting our Company, or our common stock in which an adverse decision could have a material effect.

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    Mar. 31, 2013
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    Granted 10,000  
    Vested (27,300)  
    Forfeited 0  
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    Nonvested Weighted-Average Grant-Date Fair Value [Member]
       
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    14. Significant Customer Concentrations (Tables)
    12 Months Ended
    Mar. 31, 2014
    Risks and Uncertainties [Abstract]  
    Schedules of Concentration of Risk, by Risk Factor [Table Text Block] The following table presents net sales by U.S. and foreign countries:

       
    2014
       
    2013
     
    United States
     
    $
    13,311,132
       
    $
    6,893,832
     
    Foreign countries
       
    2,517,159
         
    933,426
     
    Total Avionics Sales
     
    $
    15,828,291
       
    $
    7,827,258
     
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    14. Significant Customer Concentrations
    12 Months Ended
    Mar. 31, 2014
    Risks and Uncertainties [Abstract]  
    Concentration Risk Disclosure [Text Block]
    14.                 Significant Customer Concentrations

    For the years ended March 31, 2014 and 2013, sales to the U.S. Government represented approximately 64% and 65%, respectively of net sales.  No other individual customer represented over 10% of net sales for these years.  No customer or distributor accounted for more than 10% of commercial or government net sales.

    Net sales to foreign customers were $2,517,159 and $933,426 for the years ended March 31, 2014 and 2013, respectively.  All other sales were to customers located in the U.S. The following table presents net sales by U.S. and foreign countries:

       
    2014
       
    2013
     
    United States
     
    $
    13,311,132
       
    $
    6,893,832
     
    Foreign countries
       
    2,517,159
         
    933,426
     
    Total Avionics Sales
     
    $
    15,828,291
       
    $
    7,827,258
     

    Net sales related to any single foreign country did not comprise more than 10% of consolidated net avionics sales. The Company had no assets outside the United States.

    As of March 31, 2014, two customers accounted for a total of 60% of the Company’s outstanding accounts receivable. As of March 31, 2013, one individual customer balance represented 13% of the Company’s outstanding accounts receivable. Receivables from the U.S. Government represented approximately 26% and 53%, respectively, of total receivables at March 31, 2014 and 2013, respectively.