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8-K - FORM 8-K - AMERICANWEST BANCORPORATIONd8k.htm

Exhibit 99.1

Office of the US Trustee—Region 18

Seattle, Washington

Monthly Reporting Requirements

Corporations and Partnerships

All Chapter 11 debtors (other than individuals) must serve the U.S. Trustee with the documents and reports identified below no later than the 15th day of the month following the end of the month covered by the report.

Debtor Name: AmericanWest Bancorporation

Case Number: 10-06097-PCW11

For the month of: May 2011

 

    

Required Documents

   Document
Attached
  Previously
Submitted
  Explanation
Attached
1.   

Income Statement (profit and loss statement).

   ( X )   (      )   (      )
2.   

Comparative Balance Sheet.

   ( X )   (      )   (      )
3.   

Statement of Cash Receipts and Disbursements.

   ( X )   (      )   (      )
4.   

Statement of Aged Receivables.

   ( X )   (      )   (      )
5.   

Statement of Aged Payables.

   ( X )   (      )   (      )
6.   

Statement of Operations, Taxes, Insurance and Personnel.

   ( X )   (      )   (      )
7.   

Other documents/reports as required by the U.S. Trustee: None

   (      )   (      )   (      )

The undersigned certifies under penalty of perjurty (28 U.S.C. § 1746) that the information contained in this and accompanying reports is complete, true and correct to the best of my knowledge, information and belief.

 

By:   /s/ Shelly L. Krasselt     Dated:    June 9, 2011
 

Principal Accounting Officer

Title of Debtor Representative

   
     


Office of the US Trustee—Region 18

Seattle, Washington

Debtor Name: AmericanWest Bancorporation

Case Number: 10-06097-PCW11

For the period: Refer to dates below

Basis of Accounting: Accrual

 

           Month Ending  
           November  30,
2010
    December  31,
2010
    January  31,
2011
    February  29,
2011
    March  31,
2011
    April  30,
2011
    May  31,
2011
 
     10/28/10-10/31/10                

Income

                

Gain on sale of assets

   $ —        $ —        $ 37,020      $ —        $ —        $ —        $ —        $ —     

Expenses

                

Payroll/Officer Expenses

   $ 1,909      $ 3,215      $ 1,970      $ 5,750      $ 3,660      $ 5,477      $ 3,069      $ 1,550   

Occupancy

     —          971        595          —          —          —          —     

Director Fees

     —          —          750        2,500        3,500        2,500        2,500        2,500   

Investor Relations

     692        234        —          —          —          —          —          —     

Service Contracts

     —          89        —          —          —          —          —          —     

Ongoing Professional costs

     —          1,646        2,334        12,298        5,529        3,995        3,922        2,247   

Professionals

     —          —          65,179          —          —          —          —     

Interest Expense DIP loan

     —          1,700        4,038        —          —          —          —          —     

Loan Fee

     —          100,000        —          —          —          —          —          —     

Special Cousel

     —          332,726        162,000        16,000        15,381        2,000        5,689        (136

Debtor’s Counsel

     —          75,540        50,854        24,139        20,549        17,217        12,196        13,824   
                                                                

Total Expenses

   $ 2,601      $ 516,121      $ 287,719      $ 60,687      $ 48,620      $ 31,189      $ 27,375      $ 19,985   
                                                                

Net Loss

   $ (2,601   $ (516,121   $ (250,699   $ (60,687   $ (48,620   $ (31,189   $ (27,375   $ (19,985


Office of the US Trustee—Region 18

Seattle, Washington

Debtor Name: AmericanWest Bancorporation

Case Number: 10-06097-PCW11

Comparative Balance Sheet

 

    10/31/2010     11/30/2010     12/31/2010     1/31/2011     2/28/2011     3/31/2011     4/30/2011     5/31/2011  

Assets

               

Current Assets

               

Cash

  $ 97,345      $ 6,988,798      $ 6,098,902      $ 5,910,113      $ 5,896,209      $ 5,827,500      $ 5,812,289      $ 5,794,491   

Investment in WIN Partners

  $ 100,000      $ 100,000      $ —        $ —        $ —        $ —        $ —        $ —     
                                                               

Total Current Assets

  $ 197,345      $ 7,088,798      $ 6,098,902      $ 5,910,113      $ 5,896,209      $ 5,827,500      $ 5,812,289      $ 5,794,491   
                                                               

Accounts/Dividend Receivable

               

Accrued Dividend Receivable—TRUPS prepetition

  $ 184,842      $ 184,842      $ 184,842      $ 184,842      $ 184,842      $ 184,842      $ 184,842      $ 184,842   

Accrued Dividend Receivable—TRUPS postpetition

  $ —        $ —        $ —        $ —        $ —        $ —        $ —        $ —     
                                                               

Total Accounts Receivable

  $ 184,842      $ 184,842      $ 184,842      $ 184,842      $ 184,842      $ 184,842      $ 184,842      $ 184,842   
                                                               

Other Assets

               

Dashiell Insurance Policy Assignment of Benefits

  $ 160,797      $ 160,797      $ —        $ —        $ —        $ —        $ —        $ —     

Real Property—Prosser Building and Land

  $ 202,184      $ 202,184      $ —        $ —        $ —        $ —        $ —        $ —     

Investment in AmericanWest Bank

  $ 6,000,000      $ 6,000,000      $ —        $ —        $ —        $ —        $ —        $ —     

Investment in TRUPS

  $ 1,239,000      $ 1,239,000      $ 1,239,000      $ 1,239,000      $ 1,239,000      $ 1,239,000      $ 1,239,000      $ 1,239,000   
                                                               

Total Other Assets

  $ 7,601,981      $ 7,601,981      $ 1,239,000      $ 1,239,000      $ 1,239,000      $ 1,239,000      $ 1,239,000      $ 1,239,000   
                                                               

Total Assets

  $ 7,984,167      $ 14,875,621      $ 7,522,744      $ 7,333,956      $ 7,320,051      $ 7,251,343      $ 7,236,131      $ 7,218,334   
                                                               

Liabilities

               

Postpetition Liabilities:

               

Accounts Payable

  $ 692      $ 408,266      $ 306,089      $ 177,988      $ 212,703      $ 175,184      $ 187,347      $ 189,535   

Debtor in Possession Loan to SKBHC Hawks Nest

  $ —        $ 850,000      $ —        $ —        $ —        $ —        $ —        $ —     

Stalking Horse Bid Deposit

  $ —        $ 6,150,000      $ —        $ —        $ —        $ —        $ —        $ —     
                                                               

Total Postpetition Liabilities

  $ 692      $ 7,408,266      $ 306,089      $ 177,988      $ 212,703      $ 175,184      $ 187,347      $ 189,535   
                                                               

Prepetition Liabilities

               

Accounts Payable

  $ 1,337      $ 1,337      $ 1,337      $ 1,337      $ 1,337      $ 1,337      $ 1,337      $ 1,337   

Notes Payable

  $ 41,239,000      $ 41,239,000      $ 41,239,000      $ 41,239,000      $ 41,239,000      $ 41,239,000      $ 41,239,000      $ 41,239,000   

Accrued Dividend Payable

  $ 6,152,827      $ 6,152,827      $ 6,152,827      $ 6,152,827      $ 6,152,827      $ 6,152,827      $ 6,152,827      $ 6,152,827   
                                                               

Total Prepetition Liabilities

  $ 47,393,164      $ 47,393,164      $ 47,393,164      $ 47,393,164      $ 47,393,164      $ 47,393,164      $ 47,393,164      $ 47,393,164   
                                                               

Total Liabilities

  $ 47,393,856      $ 54,801,430      $ 47,699,253      $ 47,571,152      $ 47,605,867      $ 47,568,348      $ 47,580,511      $ 47,582,699   
                                                               

Owner Equity

               

Preferred Stock

  $ —        $ —        $ —        $ —        $ —        $ —        $ —        $ —     

Common Stock

  $ 253,482,472      $ 253,482,472      $ 253,482,472      $ 253,482,472      $ 253,482,472      $ 253,482,472      $ 253,482,472      $ 253,482,472   

Retained Deficit

  $ (292,892,160   $ (293,408,281   $ (293,658,981   $ (293,719,668   $ (293,768,288   $ (293,799,477   $ (293,826,852   $ (293,846,837
                                                               

Total Owner Equity

  $ (39,409,689   $ (39,925,809   $ (40,176,509   $ (40,237,196   $ (40,285,816   $ (40,317,005   $ (40,344,380   $ (40,364,365
                                                               

Total Liabilities and Equity

  $ 7,984,167      $ 14,875,621      $ 7,522,744      $ 7,333,956      $ 7,320,051      $ 7,251,343      $ 7,236,131      $ 7,218,334   
                                                               


Office of the US Trustee—Region 18

Seattle, Washington

Debtor Name: AmericanWest Bancorporation

Case Number: 10-06097-PCW11

Statement of Cash Receipts

For the Month Ending: May 31, 2011

Cash Receipts

 

Date

  

Description (Source)

   Amount  
  

Beginning Cash Balance

   $  5,812,288.62   
      $ —     
           
  

Total Cash Receipts

   $ —     
           


Office of the US Trustee—Region 18

Seattle, Washington

Debtor Name: AmericanWest Bancorporation

Case Number: 10-06097-PCW11

Statement of Cash Disbursements

For the Month Ending: May 31, 2011

Cash Disbursements

 

Date

  

Check No.

  

Payee

  

Description

  

Amount

 
5/3/2011    1043    IST Shareholder Services    Transfer Agent Service Fees for May    $ 1,333.88   
5/5/2011    1044    Jay B. Simmons    March - April Services Rendered    $ 3,090.22   
5/5/2011    1045    Patrick J. Rusnak    April Services Rendered    $ 656.45   
5/5/2011    1046    Shelly L. Krasselt    March - April Services Rendered    $ 1,883.96   
5/10/2011    1047    RR Donnelley    EDGAR Preparation and Transmission Fees    $ 380.00   
5/25/2011    1048    RR Donnelley    EDGAR Preparation and Transmission Fees    $ 415.00
5/25/2011    1049    IST Shareholder Services    Transfer Agent Service Fees for May    $ 98.42
5/25/2011    1050    J. Frank Armijo    May Retainer Board of Director Fees    $ 500.00   
5/25/2011    1051    J. Frank Armijo    Reissuance of check 1009 for January Fees    $ 500.00   
5/25/2011    1052    Kay C. Carnes    May Retainer Board of Director Fees    $ 500.00   
5/25/2011    1053    Craig D. Eerkes    May Retainer Board of Director Fees    $ 500.00
5/25/2011    1054    Donald H. Swartz    May Retainer Board of Director Fees    $ 500.00   
5/25/2011    1055    P. Mike Taylor    May Retainer Board of Director Fees    $ 500.00   
5/13/2011    ACH    IRS    Payroll Tax Amounts due    $ 2,407.12   
5/26/2011    Wire    Morrison Foerester    April Services Rendered    $ 5,012.56   
5/26/2011    Wire    AmericanWest Bank    Wire Transfer Fees    $ 20.00   
                 

Total Cash Disbursements

   $ 18,297.61   
                 

Adjustments (explain) void of check number 1009 which was reissued as check 1051

   $ 500.00   

Ending Cash Balance (must be reconcile to the bank statement for account cited above)

   $ 5,794,491.01   

* Noted amounts have not yet cleared the bank statement.


LOGO

15 100605591

. AMEPJCANWEST BANCOPSOPATION DEBTOR IN POSSESSION

Operations TEST

May 91, 2011

Pg lof 1

San Control

05/01/2011 Beginning Selence 5,Bl5,29B62

0 Deposits/Other Credits + 00

18 Checks/Other Debits—19,794.19

05/91/2011 Ending Selence 31 Deys in Stetenent Period 5,795,504.49

Checks listed in nunericel order; (*) indicetes gep in sequence

Check Dete Amount Check Dete Amount

104 05/16 990.00 1045 05/10 656.45

1099* 05/16 500.00 1046 05/09 1,993.96

1039 05/03 500.00 1050* 05/27 500.00

1040 05/04 500.00 1051 05/27 500.00

1041 05/03 500.00 1052 05/91 500.00

1042 05/03 500.00 1054* 05/27 500.00

1043 05/09 1,399.99 1055 05/31 500.00

1044 05/12 9,090.22

Other Debits

05/19/2011 ACE Peynent IRS USATAXPYMT 2,407.12

05/26/2011 Outgoing Wire Trens 5,012.56

MORRISON FOERSTE WIRE XFER

05/26/2011 Wire Trensfer Fee 20.00

MORRISON FOERSTE WIRE XFER

Deily Ending Belenc

05/01 5,915,299.62 05/10 5,909,414.33 05/26 5,799,004.43

05/03 5,913,799.62 05/12 5,906,324.11 05/27 5,796,504.43

05/04 5,913,299.62 05/13 5,903,916.99 05/31 5,795,504.43

05/09 5,910,070.79 05/16 5,903,096.99


Office of the US Trustee—Region 18

Seattle, Washington

Debtor Name: AmericanWest Bancorporation

Case Number: 10-06097-PCW11

Statement of Aged Receivables

For the month ending May 31, 2011

 

Total Due

    Current
(0-30 Days)
    Past Due
(31-60 Days)
    Past Due
(61-90 Days)
    Past Due
(91 & Over)
 
  Prepetition           
$      $      $      $      $   
  Postpetition           
$      $      $      $      $   
  Totals           
$      $      $      $      $   

 

Accounts Receivable Reconciliation

  

   

 

Opening Balance

  

  $     

 

New Accounts this Month

  

  $     

 

Balance

  

  $     

 

Amount Collected on Prior Accounts

  

  $     

 

Closing Balance

  

  $     

 

Check Figure

  

  $     


Office of the US Trustee—Region 18

Seattle, Washington

Debtor Name: AmericanWest Bancorporation

Case Number: 10-06097-PCW11

Statement of Aged Payables

For the month ending May 31, 2011

NOTE: Schedule only includes postpetition debts.

 

Account Name

 

Description

   Total Due      Current
(0-30 Days)
     Past Due
(31-60 Days)
     Past Due
(61-90 Days)
     Past Due
(91 & Over)
 
 

Foster Pepper

   $ 62,232       $ —         $ 12,196       $ 17,218       $ 32,817   
 

Morrison Foerster

   $ 111,197       $ 13,824       $ 1,251       $ 258       $ 95,863   
 

Sandler O’Neil

   $ 13,000       $ —         $ —         $ —         $ 13,000   
 

Taxing authorities for payroll taxes withheld and accrued

   $ 1,557       $ 1,329       $ 227       $ —         $ —     
 

Patrick J. Rusnak Services Performed

   $ —         $ —         $ —         $ —         $ —     
 

Jay Simmons Services Performed

   $ —         $ —         $ —         $ —         $ —     
 

Shelly L. Krasselt Services Performed

   $ 1,550       $ 1,550       $ —         $ —         $ —     
                                              
 

Totals

   $ 189,535       $ 16,703       $ 13,675       $ 17,476       $ 141,681   
                                              
 

Accounts Payable Reconciliation

              
 

Opening Balance

   $ 187,347               
 

Total New Indebtedness Incurred this Month

   $ 15,238               
                      
 

 

 

Balance

   $ 202,585               
                      
 

 

 

Amount paid on Prior Accounts Payable

   $ 13,050               
                      
 

 

 

Closing Balance

   $ 189,535               
                      


Office of the US Trustee—Region 18

Seattle, Washington

Statement of Operations, Taxes, Insurance and Personnel

For the Month Ending: May 31, 2011

Debtor Name: AmericanWest Bancorporation

Case Number: 10-06097-PCW11

1. What efforts have been made toward presentation of a plan to the creditors?

Hearing on Confirmation of the Plan is set for June 30, 2011.

2. Has the Debtor in Possession, subsequent to the filing of the petition, made any payments on its prepetition unsecured debt, except as have been authorized by the Court?

            :  Yes

    X     :  No             Identify amount, who was paid and the date paid:             N/A

3. Provide a narrative report of significant events and events out of the ordinary course of business:

None

4. List any payments during this period on debt that has been personally guaranteed by any principal, partner or officer of the business.

None


5. If assets have been sold in other than the ordinary course of business, please provide details as to the asset sold, date of sale, total sales price, deductions (i.e. commissions), and net amount received.

None

6. STATUS OF TAXES

 

      AMOUNT
WITHHELD OR
ACCRUED
     AMOUNT
PAID
     DATE
PAID
     POSTPETITION
TAXES PAST
DUE
 

FEDERAL TAXES

           

FICA

   $ 739       $ 1,284         5/13/2011       $ —     

Withholding

   $ 393       $ 1,123         5/13/2011       $ —     

Unemployment

   $ —         $ —           N/A       $ —     

Income

   $ —         $ —           N/A       $ —     

Other

   $ —         $ —           N/A       $ —     

STATE TAXES

           

Dept. of Labor and Industries

   $ —         $ —           N/A       $ —     

Income

   $ 425       $ —           N/A       $ —     

Employment Sec.

   $ —         $ —           N/A       $ —     

Dept. of Revenue

   $ —         $ —           N/A       $ —     

B&O

   $ —         $ —           N/A       $ —     

Sales

   $ —         $ —           N/A       $ —     

Excise

   $ —         $ —           N/A       $ —     

OTHER TAXES

           

City Business/License

   $ —         $ —           N/A       $ —     

Personal Property

   $ —         $ —           N/A       $ —     

Real Property

   $ —         $ —           N/A       $ —     

Other (List)

   $ —         $ —           N/A       $ —     

Explain reason for any past due postpetition taxes:

N/A

 

 

 

 

 


7. SCHEDULE OF SALARY AND OTHER PAYMENTS TO PRINCIPALS / EXECUTIVES / INSIDERS*

 

Payee Name

  

Position

  

Nature of Payment

  

Amount**

 

Patrick J. Rusnak

   CEO and President    Services Performed    $ —     

Jay Simmons

   EVP, General Counsel and Secretary    Services Performed    $ —     

Shelly L. Krasselt

   Principal Accounting Officer    Services Performed    $ 1,550   

*List accrued salaries whether or not paid and any draws of any kind or perks such as car, etc. made to or for the benefit of any proprietor, owner, partner, shareholder, officer, director or insider.

** Amounts shown are for the month ending May 31, 2011.

8. SCHEDULE OF PAYMENTS TO ATTORNEYS AND OTHER PROFESSIONALS

 

     Appointment Date      Amount Paid This Month      Date of
Court
Approval
     Aggregate
Received
     Estimated
Balance Due
 

Debtor’s Counsel

     11/17/2010       $ —           *       $ 137,568       $ 62,232   

Counsel For Unsecured Creditors’ Committee

      $ —            $ —         $ —     

Trustee’s Counsel

      $ —            $ —         $ —     

Accountant

      $ —            $ —         $ —     

Special Counsel

     11/2/2010       $ 5,013         *       $ 436,983       $ 111,197   

Financial Advisor

     11/2/2010       $ —           *       $ 52,179       $ 13,000   

*Paid per 12/14/2010 interim payment order.

Identify fees accrued but not paid during the month: Debtors Counsel $13,824; Special Counsel $0.

9. Please explain any changes in insurance coverage that took place this month.

None

10. Personnel

 

     Full Time    Part Time  

Total number of employees at beginning of period

   0      3   

Number hired during the period

   0      0   

Number terminated or resigned during the period

   0      0   

Total number of employees on payroll at period end

   0      3   

Total payroll for the period

   $1,550