Attached files

file filename
8-K - FORM 8-K - TMST, Inc.d8k.htm
EX-99.1 - MONTHLY OPERATING REPORT OF TMST - TMST, Inc.dex991.htm

Exhibit 99.2

 

DEBTOR:

 

Adfitech, Inc.

    CASE NUMBER:  

09-17788-DK

OFFICE OF THE UNITED STATES TRUSTEE - BALTIMORE DIVISION

MONTHLY OPERATING REPORT

CHAPTER 11

BUSINESS DEBTORS

Form 2-A

COVER SHEET AND QUESTIONNAIRE [a]

For Period Ended February 28, 2010

Accounting Method:        x Accrual Basis        ¨ Cash Basis

 

 

THIS REPORT IS DUE 20 DAYS AFTER THE END OF THE MONTH

 

Mark One Box for Each
Required Document:
   Debtor must attach each of the following reports/documents unless the U. S. Trustee has waived the requirement in writing. File the original with the Clerk of Court. Submit a duplicate, with original signature, to the U. S. Trustee.

 

Report/Document

Attached

  

Previously

Waived

   REQUIRED REPORTS/DOCUMENTS
x    ¨    1.    Cash Receipts and Disbursements Statement (Form 2-B)
x    ¨    2.    Balance Sheet (Form 2-C)
x    ¨    3.    Profit and Loss Statement (Form 2-D)
         X
x    ¨    5.    Disbursements Summary (Form 2-F)
x    ¨    6.    Narrative (Form 2-G)
x    ¨    7.    Bank Statements for All Bank Accounts
x    ¨    8.    Bank Statement Reconciliations for all Bank Accounts

 

 

 

 

QUESTIONNAIRE

 

Yes

  

No

Please answer the questions below:

    

1. Is the business still operating?

  X   
        

2. Were any assets (other than inventory) sold this month?

     X
        

3. Were all employees timely paid this month?

  X   
        

4. Are all insurance policies and operating licenses current and in effect?

  X   
        

5. Did you open any new bank accounts this month?

     X
        

6. Did you deposit all receipts into your DIP account this month?

  X   
        

7. Have all taxes been timely paid (payroll, sales, etc.)?

  X   
        

8. Are you current on U.S. Trustee quarterly fees payments?

  X   
        

 

 

 

I declare under penalty of perjury that the following Monthly Operating Report, and any statements and attachments thereto are true, accurate and correct to the best of my belief.

 

Executed on:                   3/22/2010     Print Name:  

Samuel E. Meeks

      Signature:  

/s/ Samuel E. Meeks

      Title:  

President

 

[a] See Explanatory Statement, Reservation of Rights and Global Footnotes for Monthly Operating Report (Form 2-G) which is incorporated herein by reference.


DEBTOR:

 

Adfitech, Inc.

    CASE NO:  

09-17788-DK

 

Form 2-B

CASH RECEIPTS AND DISBURSEMENTS STATEMENT (SEE NOTE A)

For Period:        February 2010

CASH FLOW SUMMARY

 

     Current
Month
    Accumulated  

1. Beginning Cash Balance

   10,642,288 (1)    $ 7,985,024 (1) 
              

2. Cash Receipts

    

Operations

   4,456,438        32,482,890   

Sale of Assets

   0        0   

Loans/advances

   0        0   
              

Total Cash Receipts

   4,456,438      $ 32,482,890   
              

3. Cash Disbursements

    

Operations

   2,808,633        26,376,721   

Debt Service/Secured loan payment

   0        0   

Professional fees/U.S. Trustee fees

   0        1,801,100   

Other

   0        0   
              

Total Cash Disbursements

   2,808,633      $ 28,177,821   
              

4. Net Cash Flow (Total Cash Receipts less

    

Total Cash Disbursements)

   1,647,805        4,305,069   
              

5 Ending Cash Balance (to Form 2-C)

   12,290,093 (2)    $ 12,290,093 (2) 
              

CASH BALANCE SUMMARY

 

Account Name/Number

  

Institution

   Bank
Balance
   Deposits
In Transit
   Outstanding
Checks [2]
    Book Balance  

Petty Cash

      22.80    —      —        22.80   

Operating/xxx4580

   Bank of Oklahoma    31,153.50    —      (338,930.21   (307,776.71

Eurosweep/xxx1953

   Bank of Oklahoma    12,593,853.31    —      —        12,593,853.31   

Payroll/xx4591

   Bank of Oklahoma    —      —      (61,294.43   (61,294.43

Employee Benefit/xxx6216 [1]

   Bank of Oklahoma    —      —      —        —     

Flex Spending/xxx7672 [3]

   Bank of Oklahoma    —      —      —        —     

Utility Deposit/xxx9938

   Bank of Oklahoma    65,287.54    —      —        65,287.54   
                         

TOTAL

      12,690,317.15    0.00    (400,224.64   12,290,092.51 (2) 
                         

(must agree with Ending Cash Balance above)

  

 

[1]

These employee benefit accounts are maintained by a third-party administrator (“TPA”). Adfitech does not receive statements for these accounts. Adfitech funds these accounts based upon employee contributions or upon demand for payment by the TPA. All funds deposited to these accounts are restricted and are not available to Adfitech for operations.

[2]

Includes book/bank reconciling items.

(A) The term “cash” includes all forms of currency i.e., checks, cash, money orders, etc.
(1) Accumulated beginning cash balance is the cash available at the commencement of the case. Current month beginning cash balance should equal the previous month’s ending balance.
(2) All cash balances should be the same.
(3) This new employee benefit account is maintained by Debtor. Debtor is currently in the process of finalizing a reconciliation f the 2010 activity for this account.

 

Page 1 of 2


DEBTOR:

 

Adfitech, Inc.

    CASE NO:  

09-17788-DK

 

Form 2-B

CASH RECEIPTS AND DISBURSEMENTS STATEMENT (SEE NOTE A)

For Period:  February 1, 2010  to  February 28, 2010

 

CASH DISBURSEMENTS DETAIL

   Account No:
(attach additional sheets as necessary)   

 

Date

   Check No.   

Payee

  

Description (Purpose)

   Amount  
            $ 2,808,633   
                 

See attached schedule

           
        

Total Cash Disbursements

   $ 2,808,633 (1) 
                 

 

(A) The term “cash” includes all forms of currency i.e., checks, cash, money orders, etc.
(1) Total for all accounts should agree with total cash disbursements listed on Form 2-B, page 1

 

Page 2 of 2


CASE NAME:

 

Adfitech, Inc.

    CASE NUMBER:  

09-17788-DK

 

Form 2-C

COMPARATIVE BALANCE SHEET

For the Period: February 2010

 

     February 28,
2010
    Petition Date
April 30,
2009
Assets     

Current Assets

    

Cash

    

Petty Cash

   $ 23      22

Bank of Oklahoma Eurosweep Account

     12,224,782      7,984,114

Bank of Oklahoma Operating Account

     —        889

Bank of Oklahoma Flex Spending Account [1]

     —        —  

Bank of Oklahoma Employee Benefits Account [1]

     —        —  

Bank of Oklahoma Payroll Account

     —        —  

Bank of Oklahoma Utility Deposit Account

     65,288      —  
            

Total Cash

     12,290,093      7,985,024

Accounts Receivable - Sales

    

Pre-petition: Due from Related Entities

     —        37,500

Pre-petition: Other Receivables

     16,943      2,996,545

Post-petition: Due from Related Entities

     —        —  

Post-petition: Other Receivables

     3,120,933      —  
            

Total Current Post-Petition Accounts Receivable

     3,137,876      3,034,045
            

Employee Receivables

     (105   —  

Prepaid Expenses

     194,253      280,205
            

Total Current Assets

     15,622,117      11,299,274
            

Other Assets

    

Land

     2,017,000      2,017,000

Building (net of depreciation)

     4,563,502      4,595,029

Furniture and Fixtures (net of depreciation)

     85,076      155,571

Computer Hardware (net of depreciation)

     610,321      788,156

Software (net of depreciation)

     12,481      18,757
            

Total Fixed Assets Net of Depreciation

     7,288,380      7,574,514

Goodwill

     9,152,249      9,152,249
            

Total Other Assets

     16,440,629      16,726,763
            

Total Assets

   $ 32,062,746      28,026,037
            
Liabilities and Stockholder’s Equity     

Liabilities Not Subject to Compromise

    

Current Post-Petition Accounts Payable

    

Due to Related Entities

   $ —        —  

Post-Petition Accrued Payroll and Payroll Tax Expense

     428,966      —  

Interperiod over/under funding of benefit account

     (8,026   —  

Post-Petition Accrued Property Taxes

     15,888      —  

Accrued Expenses (non-salary related)

     (3,476   —  

Accrued State Income Tax

     62,500      —  

Accrual of 2009 Franchise Tax

     20,100     

Accrued Professional Fees

     396,271      —  

Post-Petition Trade Payable

     437,810      —  
            

Total Current Post-Petition Accounts Payable

     1,350,032      —  
            

Total Liabilities Not Subject to Compromise

     1,350,032      —  

 

Liabilities Subject to Compromise [2]

    

Secured Creditor Claims

     —          —     

Unsecured Priority Claims

     33,380        790,798   

General Unsecured Claims - Pass-through Expenses

     2,975        233,158   

General Unsecured Claims - Non-pass-through Trade Claims

     7,064        20,137   

General Unsecured Claims - Guarantee

     1,638,788,430        1,638,788,430   
                

Total Liabilities Subject to Compromise

     1,638,831,850        1,639,832,523   
                

Total Liabilities

     1,640,181,882        1,639,832,523   

Stockholder’s Equity

    

Stockholder’s Equity

     19,955,550        19,955,550   

Retained Earnings - Pre-petition

     (1,630,761,513     (1,631,762,036

Retained Earnings - Post-petition

     2,686,827        —     
                

Total Stockholder’s Equity

     (1,608,119,136     (1,611,806,486
                

Total Liabilities and Stockholder’s Equity

   $ 32,062,746      $ 28,026,037   
                

 

Notes:

 

[1]

Restricted Cash

[2]

Petition date claim balance based on Scheduled Claims


CASE NAME:

 

Adfitech, Inc.

    CASE NUMBER:  

09-17788-DK

 

Form 2-D

PROFIT AND LOSS STATEMENT

For the Period: February 2010

(Accrual Basis)

 

     Jan 2010     Feb 2010     Petition To Date  

Operating Revenue

      

Quality Control

   $ 2,285,172      $ 2,290,528      $ 23,504,610   

Professional fees

     475        25        7,220   

Post Closing Services

     154,441        125,435        2,076,008   

Pre-Funding

     560        480        20,800   

Imaging

     0        0        0   

Physical Storage Fees

     0        0        0   

TMHL Underwriting

     0        0        0   

Occupancy Verification Fee

     (90     (1,105     -330   

Document Retrieval

     9,617        18,490        230,472   

Interest Income

     4,614        4,164        42,553   

Late Charges

     1,031        (265     2,754   

Quality Jobs/TIPs Income

     31,587        30,595        341,284   

Miscellaneous Income

     0        0        2,280   
                        

Total Operating Revenue

     2,487,407        2,468,347        26,227,651   

Expenses

      

Salaries

     1,196,748        1,178,803        12,143,634   

Salaries - Additional Files & O/T

     146,252        123,523        1,798,021   

Benefits - 401K Matching

     24,487        23,092        248,220   

Employee Appreciation & Development

     1,735        2,354        51,046   

Employee Banquet

     6,517        (2,643     24,000   

Contract Labor

     0        6,310        22,350   

Employee Recruitment Expense

     1,162        541        22,411   

Payroll Taxes

     114,321        106,766        995,133   

Payroll Processing Fee

     1,423        5,116        21,916   

Employee Health Insurance

     251,409        172,000        2,204,506   

Legal & Professional Fees (Ordinary Course)

     1,775        13,989        47,688   

Office Supplies

     21,419        16,789        231,935   

Copier Supplies

     801        398        6,754   

Software Expense

     0        0        6,820   

Telephone Expense

     21,580        19,652        188,912   

Printing

     1,865        1,968        22,277   

Postage

     12,673        13,540        136,543   

Shipping

     13,219        13,532        205,945   

Strategic Partners Expense

     1,555        2,315        17,570   

Insurance Expense

     6,680        6,125        55,757   

QC Appraisals

     450,965        408,813        2,843,831   

QC Appraisals (Contra)

     (415,205     (490,219     (2,833,420

QC Reverifications

     (1,360     (16,143     (36,132

QC Reverifications (Contra)

     0        0        0   

In-File Credit Reports

     3,945        2,436        62,498   

Mtg. Credit Reports

     98,521        94,828        952,171   

Mtg. Credit Reports (Contra)

     (98,726     (95,390     (955,998

Outsourced External Data

     21,711        23,023        220,564   

Property Value Requests

     0        0        0   

External Collateral Reviews

     (38,840     39,230        (9,005

Filing Fees

     (354     72        (302

High Cost Check

     (5,328     (4,990     (41,455

Depreciation

     43,960        42,019        441,632   

Fares and Lodging

     2,515        (88,695     (57,504

Meals - Travel

     0        218        868   

Auto Expense Reimbursement

     72        23        911   

Conference Expense

     0        2,803        29,265   

Entertainment

     182        321        9,955   

Meals & Entertainment

     0        0        0   

Advertising

     6,207        1,539        57,067   

Contributions

     0        0        250   

Business Promotion

     500        0        1,163   

Lease-Co Location - AT&T

     1,890        9,878        58,987   

Physical Storage Fees

     533        528        4,850   

Document Recycling

     4,072        3,736        59,225   

Equipment Expense

     21,888        16,057        259,462   


CASE NAME:

 

Adfitech, Inc.

    CASE NUMBER:  

09-17788-DK

 

Form 2-D

PROFIT AND LOSS STATEMENT

For the Period: February 2010

(Accrual Basis)

 

     Jan 2010    Feb 2010    Petition To Date

Hardware & Software Maintenance

     11,718      12,972      124,100

Processing & Administration Fees

     1,013      0      3,836

Dues & Subscriptions

     2,660      2,229      12,580

Miscellaneous Taxes

     1,357      13,082      28,952

Miscellaneous Expense

     0      0      0

Bank Account Fees

     1,397      1,440      13,550

Bad Debt Expense

     4      0      56,585

Buildings - Taxes & Insurance

     8,675      8,675      87,985

Building - Maintenance & Supplies

     21,265      26,393      175,864

Building - Utilities

     15,039      12,587      158,136
                    

Total Expenses Before Taxes

     1,985,895      1,731,632      20,181,911
                    

Net Income (Loss) Before Taxes

     501,512      736,715      6,045,740

State Income Tax Expense

     12,500      154,542      421,584

Reorganization Expenses

     219,044      142,231      2,406,742
                    

Net Income (Loss)

   $ 269,968    $ 439,942    $ 3,217,414
                    


DEBTOR:

 

Adfitech, Inc.

    CASE NO:  

09-17788-DK

 

Form 2-E

SUPPORTING SCHEDULES

For Period:    February 1, 2010  to  February 28, 2010

POST PETITION TAXES PAYABLE SCHEDULE

 

     Beginning
Balance (1)
   Amount
Accrued
    Amount
Paid
   Date
Paid
   Check
Number
   Ending
Balance
 

Income Tax Withheld:

                

Federal

   $ 0    $ 100,533      $ 100,533    various    wire    $ 0   

State

     0      35,472        35,472    various    wire      0   

FICA Tax Withheld

     0      91,920        91,920    various    wire      0   

Employer’s FICA Tax

     0      91,920        91,920    various    wire      0   

Unemployment Tax

                

Federal

     0      7,392        7,392    various    wire      0   

State

     0      5,677        5,677    various    wire      0   

Accrued Payroll Taxes [1]

     25,005      2,399        0            27,404   

Sales, Use & Excise Taxes

     0      0        0            0   

Property Taxes

     27,839      (43,727     0            (15,888

Accrued Income Tax:

                

Federal

     0      0        0            0   

State

     112,500      12,500        0            125,000   

Other:                    

     0      0        0            0   

TOTALS

   $ 165,344    $ 304,086      $ 332,915          $ 136,516   
                                    

 

[1]

Debtor does not breakdown accrued payroll taxes for payroll due through month-end between that due for federal and state taxing authorities. This accrual is presented as a single number for the purposes of this report.

(1) For first report, Beginning Balance will be $0; thereafter, Beginning Balance will be Ending Balance from prior report.

INSURANCE SCHEDULE

 

    

Carrier

   Amount of
Coverage
   Expiration
Date
   Premium
Paid

Through

Workers’ Compensation

   The Hartford    $ 500,000    1/1/11    1/1/11

General Liability

   The Hartford    $ 2 Mil/$4 Mil    6/1/10    6/1/10

Property (Fire, Theft)

   The Hartford    $ 2 Mil/$4 Mil    6/1/10    6/1/10

Vehicle

   N/A         

Other (list):

           

Employee Dishonesty

   Travelers    $ 200,000    4/8/11    4/8/10

 

Page 1 of 2


DEBTOR:

 

Adfitech, Inc.

    CASE NO:  

09-17788-DK

 

Form 2-E

SUPPORTING SCHEDULES

For Period: February 1, 2010 to February 28, 2010

ACCOUNTS RECEIVABLE AND POST PETITION PAYABLE AGING

 

Due

   Accounts Receivable    Post Petition
Accounts Payable

Under 30 days

   $ 2,246,669    $  

30 to 60 days

     773,598      0

61 to 90 days

     24,826      0

91 to 120 days

     33,890      0

Over 120 days

     41,950      0
             

Total Post Petition

     3,120,933   
         

Pre Petition Amounts

     16,943   
         

Total Accounts Receivable

   $ 3,137,876   
         

Less: Bad Debt Reserve

     0   
         

Net Accounts Receivable (to Form 2-C)

   $ 3,137,876   
         
    
 
Total Post Petition
Accounts Payable
   $ 1,350,032
         

 

* Attach a detail listing of accounts receivable and post-petition accounts payable

SCHEDULE OF PAYMENTS TO ATTORNEYS AND OTHER PROFESSIONALS [1]

 

     Month-end
Retainer
Balance
   Current
Month’s
Accrual
   Paid in
Current
Month
   Date of
Court
Approval
   Month-end
Balance Due *

Venable LLP

   $ 0    $ 216,167    $ 75,082    5/22/09    $ 436,061

Orrick Herrington, et al

     0      0      0    5/4/09      0

Quinn Emmanual

     0      0      111,312    5/20/09      96,329

Houlihan Lokey

     0      0      0    6/5/09      0

Protiviti Inc.

     0      17,494      38,484    51/09      97,129

JH Cohn

     0      4,536      10,013    6/12/09      35,872

Tydings & Rosenberg

     0      8,977      6,274    6/12/09      24,528

Epiq Bankruptcy Solutions

     0      0      10,214    5/6/09      0

U.S. Trustee

     0      0      0         0

Other:                     

     0      0      0         0
                              

Total

   $ 0    $ 247,174    $ 251,378       $ $689,919
                              

 

[1]

Until November 2, 2009, Adfitech was one of a group of debtors administratively consolidated under Case No. 09-17787-DK. The professionals working for the consolidated debtors incurred time on behalf of both Adfitech and the other debtors. Time for these professionals has not yet been allocated between the estates for all periods. Where this allocation has been done, the fees specific to Adfitech will be presented here. For all other fees, please refer to the monthly operating report filed for the other debtors.

* Balance due to include fees and expenses incurred but not yet paid.

SCHEDULE OF PAYMENTS AND TRANSFERS TO PRINCIPALS/EXECUTIVES/CONSULTANTS**

 

Payee Name

  

Position

  

Nature of Payment

   Amount

Officers

   various    Salary/Commission    $ 57,202
            

Officers

   various    Bonus      22,436
            

Officers

   various    401K Contribution      6,081
            

Officers

   various    Expense Reimbursement      22,521
            

 

** List payments and transfers of any kind and in any form made to or for the benefit of any proprietor, owner, partner, shareholder, officer or director.

 

Page 2 of 2


DEBTOR:

 

Adfitech, Inc.

    CASE NO:  

09-17788-DK

 

Form 2-F

DISBURSEMENT SUMMARY

For the Month Ended:         February 2010

QUARTERLY DISBURSEMENT CALCULATION

 

1 Disbursements made in calendar quarter

  

January 2010

   $ 3,022,523

February 2010

     2,808,633

March 2010

     0
      

Quarterly Total

   $ 5,831,156
      

FEE SCHEDULE

 

Quarterly Disbursements

   Fee       

Quarterly Disbursements

   Fee

$0 to $14,999

   $ 325      $1,000,000 to $1,999,999    $ 6,500

$15,000 to $74,999

   $ 650      $2,000,000 to $2,999,999    $ 9,750

$75,000 to $149,999

   $ 975      $3,000,000 to $4,999,999    $ 10,400

$150,000 to $224,999

   $ 1,625      $5,000,000 to $14,999,999    $ 13,000

$225,000 to $299,999

   $ 1,950      $15,000,000 to $29,999,999    $ 20,000

$300,000 to $999,999

   $ 4,875      $30,000,000 or more    $ 30,000

Interest will be assessed on Chapter 11 quarterly fees not paid by the end of the month following the end of the calander quarter pursuant to 31 U.S.C. Sec. 3717. The interest rate assessed is the rate in effect as determined by the Treasury Department at the time the account becomes past due.

Failure to pay the quarterly fee is cause for conversion or dismissal of the chapter 11 case. [11 U.S.C. Sec. 1112(b)(10)]

 

Page 1 of 1


DEBTOR:

 

Adfitech, Inc.

    CASE NO:  

09-17788-DK

 

Form 2-G

NARRATIVE

For the Month Ended:         February 2010

Please provide a brief description of any significant business and legal actions taken by the debtor, its creditors, or the court during the reporting period, any unusual or non-recurring accounting transactions that are reported in the financial statements, and any significant changes in the financial condition of the debtor which have occurred subsequent to the report date.

EXPLANATORY STATEMENT,

RESERVATION OF RIGHTS AND GLOBAL FOOTNOTES

FOR MONTHLY OPERATING REPORT

The Debtor reserves all rights to dispute the amount, allowance, priority, treatment and/or secured or other status of any and all claims against the Debtor or its estate referred to herein. The Debtor reserves the right to (a) amend and supplement this Monthly Operating Report from time to time, and (b) assert any and all potential claims and causes of action of the Debtor’s estate regardless of whether such claim or cause of action is identified herein. Any values presented are not and should not be deemed to be an admission, representation or waiver with respect to the actual value of any asset or amount of any liability or claim. The actual realizable value and/or fair market value of assets, liabilities and claims may differ significantly from the values presented.

The Debtor prepared this Monthly Operating Report with the assistance of its financial advisor, Protiviti Inc. (“Protiviti”), based upon the information available to date. This Monthly Operating Report does not purport to present financial statements in accordance with Generally Accepted Accounting Principles, and the information contained herein has not been subjected to audit or review by Protiviti or any other party on behalf of the Debtor.

This Explanatory Statement, Reservation of Rights and Global Footnotes is hereby incorporated by reference into, and comprises an integral part of, the Debtor’s Monthly Operating Report and should be referred to and considered in connection with any review of the report.

NARRATIVE

ADFITECH, Inc. (“Adfitech”) continues to operate as a going concern. Adfitech is an independently-operated, wholly-owned subsidiary of TMST Home Loans, Inc., formerly known as Thornburg Mortgage Home Loans, Inc. (“TMHL”), and provides mortgage-related auditing and quality control consulting services to financial institutions. Adfitech is self-funded, has its own separate workforce and bank accounts, and operates independently from the TMST Debtors including TMST, Inc., formerly known as Thornburg Mortgage, Inc. (“TMST”), and TMHL at offices located in Edmond, Oklahoma on unencumbered real estate owned by Adfitech. Adfitech, along with TMST, TMHL, TMST Acquisition Subsidiary, LLC and TMST Hedging Strategies, Inc. (collectively the “TMST Debtors”), filed for bankruptcy on May 1, 2009. An order authorizing the joint administration of these cases was entered on May 6, 2009.

On November 2, 2009, the Court entered an Order Severing Joint Administration with Respect to the Adfitech Chapter 11 Case. As a result, the Adfitech Chapter 11 case is no longer jointly administered with the cases of the TMST Debtors.

 

Page 1 of 1


DEBTOR:

 

Adfitech, Inc.

    CASE NO:  

09-17788-DK

 

Form 2-G

NARRATIVE

For the Month Ended:         February 2010

NARRATIVE

A hearing on confirmation of the Second Amended Chapter 11 Plan of Reorganization for ADFITECH, Inc. (the “Plan”) was held on February 24, 2010, at which the Court confirmed the Plan. On March 3, 2010, the Court entered its Order Confirming the Second Amended Chapter 11 Plan of Reorganization for ADFITECH, Inc. [Docket No. 170].

Following confirmation of the Plan, Adfitech, the Official Committee of Unsecured Creditors, and their respective advisors worked together to complete the steps necessary for the Plan to become effective. The Effective Date of the Plan was March 15, 2010. See Notice of (i) Effective Date of Second Amended Chapter 11 Plan of Reorganization for ADFITECH, Inc., (ii) Distribution Record Date, and (iii) Deadlines for Asserting Certain Post-Petition Claims filed March 15, 2010 [Docket No. 186].

During the month of February, Adfitech filed its monthly operating report for the period January 1 through January 31, 2010.


2010 February Disbursements Adfitech (Form 2B)

 

A BLOOM ABOVE THE REST

   107.65

ACENITEC

   150.00

Adfitech Payroll

   838,673.27

ADP

   5,115.80

ADP Tax

   332,914.56

ADP TX/Fincl Serv

   99,162.80

ADT SECURITY SERVICES

   2,082.48

AFLAC

   5,863.70

ALEX TRAN

   126.07

ALLIANCE PLUMBING & HEATING

   931.06

AMERICAN HERITAGE LIFE INSURANCE CO.

   147.30

AMERITECH OUTDOOR CREATIONS, LLC

   270.00

APPRAISAL QC, INC.

   23,200.00

AT&T

   220.84

AT&T - IL

   4,940.38

AT&T - NEWARK

   7,987.58

AT&T BUSINESS SERVICES

   215.60

AT&T MOBILITY (CINGULAR)

   877.99

AVAYA, INC.

   2,873.64

B S A APPRAISALS

   175.00

BAKER BROTHERS ELECTRIC, INC.

   2,213.37

Bank of Oklahoma Analysis

   1,440.41

BEE PACK INC.

   1,665.00

BETTY CAGLE

   875.00

BILL LEWIS APPRAISAL COMPANY

   700.00

BILLING SOLUTIONS, INC.

   11,341.65

BOOMER SOONER CHAPTER

   100.00

BRC, LTD.

   559.00

BUSINESS IMAGING SYSTEMS, INC.

   12,392.00

CELISA GROOM

   1,036.84

CENTRAL UNITED LIFE INS.

   162.61

CHASE - BANK ONE

   6,803.93

CHRIS WEBER

   23.10

CHRISTINA BILBY

   678.37

CHRISTINE MARIE SCHWARTZ

   3,520.00

CINTAS

   333.28

CITY OF EDMOND

   10,782.64

 

Tuesday, March 23, 2010    Page 1 of 4


CLEAR CAPITAL

   131,680.00

CLEARINGHOUSE, ATLAS# 000405390800

   211.00

COLE & REED, P.C.

   12,750.00

COLLATERAL RISK SOLUTIONS, INC.

   96,065.00

COMFORT, INC.

   10,491.71

COX COMMUNICATIONS

   8,055.96

D&B

   8,596.80

DAVID PARMER

   733.66

DEBORAH MAPLE

   35.44

EDMOND AREA CHAMBER OF COMMERCE

   5,550.00

Employee Benefit Accounts

   202,877.60

Employees

   84,909.09

EPHIPHANY MENS CLUB

   2,950.00

EPIC REAL ESTATE SOLUTIONS

   17,255.00

EPIQ BANKRUPTCY SOLUTIONS

   10,213.66

FARMER BROTHERS COFFEE

   2,893.79

FIELD VERIFICATION ASSOCIATES

   155,199.50

FIRST AMERICAN CREDCO

   91,398.25

Flex Spending Account Withdrawls

   -5,584.37

GABINO’S LAWN & LANDSCAPE

   2,500.00

GREAT PLAINS COCA COLA BOTTLING CO.

   460.00

HEATHER ROSENHAMER

   100.00

HEDGPATH APPRAISAL COMPANY

   175.00

J.H. COHN LLP

   10,013.20

JASON’S DELI

   215.58

JOHN J. ROSENHAMER

   19,902.01

JOHNSON APPRAISAL SERVICE

   2,450.00

JONES APPRAISAL SERVICE

   450.00

KAREN STOKES

   2,790.00

KATHRYN WRIGHT

   243.19

KIMBERLY LEWIS

   120.49

KRISTOFER PARMER

   4,000.00

L V SYSTEMS

   4,242.78

LENDERS ONE

   2,315.00

LEXIS-NEXIS

   38.91

LOVE, BEAL, & NIXON P.C.

   360.62

MAVENT INC. | ELLIE MAE

   6,396.00

MCAFEE & TAFT

   4,077.04

METLIFE SMALL BUSINESS CENTER

   14,818.51

MIDCON DATA SERVICES, INC.

   2,418.00

MINUTEMAN PRESS

   1,967.75

 

Tuesday, March 23, 2010    Page 2 of 4


MISC FEES PAYEE

   28,976.00

MISC FEES PAYEE - POSTCLOSING

   24,246.81

MONSTER, INC.

   305.00

MORTGAGE BANKERS ASSOC OF THE CAROLINAS

   1,062.50

NATIONAL REAL ESTATE INFORMATION SERVICE

   36,010.00

NSTN

   2,030.00

NVMS

   205.00

OFFICE OF THE ATTORNEY GENERAL

   277.84

OFFICEMAX CONTRACT, INC.

   11,151.93

OKLAHOMA COMMERCIAL CLEANING SERVICES

   13,476.67

OKLAHOMA COUNTY TREASURER

   52,473.31

OKLAHOMA DEPARTMENT OF HUMAN SERVICES

   504.78

OKLAHOMA NATURAL GAS

   1,804.02

OKLAHOMA TAX COMMISSION

   168.33

PDFLIB GMBH

   1,204.20

PHILADELPHIA AMERICAN LIFE INSURANCE CO.

   22.50

PIONEER CREDIT RECOVERY, INC.

   180.54

Postalia

   30,000.00

POSTMASTER

   5,000.00

PRESORT FIRST CLASS, INC.

   717.34

PROTIVITI, INC.

   38,484.00

QUINN EMANUEL URQUHART OLIVER & HEDGES

   111,312.01

RACO INDUSTRIES

   2,099.55

Reconciling Item

   -21,728.92

ROBIN WILLIAMS

   184.56

RONALD WIENS FD-2001-2343

   325.82

ROSA RESENDE

   1,207.50

RUSTY HARTSELL APPRAISAL SERVICE

   175.00

SAFEGUARD PROPERTIES, INC.

   1,175.00

SAINTS OCCUPATIONAL HEALTH NETWORK

   180.00

SAM’S CLUB

   1,478.69

SAMUEL E. MEEK

   2,583.87

SCSC PAINTING CO.

   405.00

SHRED-IT OKLAHOMA CITY

   3,736.48

SPRINT

   3,242.13

STANDLEY SYSTEMS

   398.44

STEPHEN E. MEYER INC.

   700.00

SUZANNE K. BLOYED REAL ESTATE APPRAISALS

   175.00

T E ALLEN APPRAISALS

   1,575.00

TERRY CLOSSER

   134.42

TG’S LASER SUPPLY & SUPPORT LTD. CO.

   9,016.52

 

Tuesday, March 23, 2010    Page 3 of 4


THE BRADY GROUP

     2,450.00

THE CPE STORE

     240.20

THE HARTFORD - PRIORITY ACCOUNTS

     10,198.08

THE SECRETARY OF STATE

     20.00

THERESIA TATUM

     497.69

THOMPSON WEST

     22,914.74

TYDINGS & ROSENBERG

     6,273.50

UNITED PARCEL SERVICE

     11,654.05

UNIVERSAL CREDIT SERVICES

     5,921.80

VENABLE LLP

     75,081.56

VISION SERVICE PLAN OF OKLAHOMA

     3,311.38

WAYNE COUNTY REGISTER OF DEEDS

     21.00

WEBROOT SOFTWARE

     1,008.00

ZEA COMPANY, INC.

     400.00

ZONES, INC.

     4,965.19

Grand Total

   $ 2,808,633.12

 

Tuesday, March 23, 2010    Page 4 of 4