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8-K - EXTERRA ENERGY INC. FORM 8-K - Exterra Energy Inc.exterraenergy8k091812.htm

 
 

 

                       
                       
                       
 
CASE NAME:
EXTERRA ENERGY, INC.
     
ACCRUAL BASIS
 
                       
 
CASE NUMBER:
11-46956-RPN-11
             
                       
 
JUDGE:
Judge Nelms
               
                       
       
UNITED STATES BANKRUPTCY COURT
       
           
    NORTHERN DISTRICT OF TEXAS
         
         
FORT WORTH
DIVISION
       
                       
       
MONTHLY OPERATING REPORT
     
                       
       
MONTH ENDING:
August 31, 2012
         
                       
                       
 
IN ACCORDANCE WITH TITLE 28, SECTION 1746, OF THE UNITED STATES CODE,
I DECLARE UNDER PENALTY OF PERJURY THAT I HAVE EXAMINED THE FOLLOWING
MONTHLY OPERATING REPORT (ACCRUAL BASIS - 1 THROUGH ACCRUAL BASIS - 7) AND
THE ACCOMPANYING ATTACHMENTS AND, TO THE BEST OF MY KNOWLEDGE, THESE
DOCUMENTS ARE TRUE, CORRECT AND COMPLETE.  DECLARATION OF THE PREPARER
(OTHER THAN RESPONSIBLE PARTY): IS BASED ON ALL INFORMATION OF WHICH
PREPARER HAS ANY KNOWLEDGE.
                       
                       
 
RESPONSIBLE PARTY:
                 
 
/s/ Michael McConnell
           
Trustee
 
 
Original Signature of Responsible Party
     
Title
Title
 
 
Michael McConnell
             
September 12, 2012
 
 
Printed Name of Responsible Party
     
Date
Date
 
                       
                       
 
PREPARER:
                   
 
/s/ Jason A. Rae
             
Accountant
 
 
Original Signature of Preparer
         
Title
Title
 
 
Jason A. Rae
               
September 12, 2012
 
 
Printed Name of Preparer
         
Date
Date
 
                       

 
 

 


 
 

 

                 
 
CASE NAME:
EXTERRA ENERGY, INC.
   
ACCRUAL BASIS - 1
 
                 
 
CASE NUMBER:
11-46956-RPN-11
         
                 
 
COMPARATIVE BALANCE SHEET
 
(SEE GENERAL FOOTNOTE)
   
       
2ND AMENDED
MONTH
MONTH
MONTH
 
       
SCHEDULED
Jul-12
Aug-12
Sep-12
 
 
ASSETS
 
AMOUNT
 
 
   
 
1.
Unrestricted Cash
84
167,671
172,786
   
 
2.
Restricted Cash
         
 
3.
Total Cash
 
84
167,671
172,786
   
 
4.
Accounts Receivable (Net)
         
 
5.
Inventory
           
 
6.
Notes Receivable
         
 
7.
Prepaid Expenses
         
 
8.
Other (Attach List)
78,215
34,175
34,175
   
 
9.
Total Current Assets
78,299
201,846
206,961
   
 
10.
Property, Plant & Equipment
Unknown
Unknown
Unknown
   
 
11.
Less: Accumulated Depreciation/Depletion
         
 
12.
Net Property, Plant & Equipment
         
 
13.
Due From Insiders
         
 
14.
Other Assets - Net of Amortization (Attach List)
725,000
500,000
500,000
   
 
15.
Other (Attach List)
         
 
16.
Total Assets
 
803,299
701,846
706,961
   
 
POST PETITION LIABILITIES
         
 
17.
Accounts Payable
         
 
18.
Taxes Payable
         
 
19.
Notes Payable
         
 
20.
Professional Fees
 
265,233
293,385
   
 
21.
Secured Debt
         
 
22.
Other (Attach List)
         
 
23.
Total Post Petition Liabilities
 
265,233
293,385
   
 
PRE PETITION LIABILITIES
         
 
24.
Secured Debt
6,684,972
6,500,216
6,500,216
   
 
25.
Priority Debt
 
500
500
500
   
 
26.
Unsecured Debt
7,361,511
7,361,511
7,361,511
   
 
27.
Other (Attach List)
         
 
28.
Total Pre Petition Liabilities
14,046,984
13,862,227
13,862,227
   
 
29.
Total Liabilities
14,046,984
14,127,460
14,155,612
   
 
EQUITY
           
 
30.
Pre Petition Owners' Equity
 
            (13,243,685)
(13,243,685)
   
 
31.
Post Petition Cumulative Profit Or (Loss)
 
(175,806)
(198,842)
   
 
32.
Direct Charges To Equity
 
(6,123)
(6,123)
   
 
33.
Total Equity
   
(13,425,614)
(13,448,651)
   
 
34.
Total Liabilities and Equity
 
701,846
706,961
   
 
This form _x__ does ___ does not have related footnotes on Footnotes Supplement.
     
                 

 
 

 


 
 

 

                 
 
CASE NAME:
EXTERRA ENERGY, INC.
   
SUPPLEMENT TO
 
                 
 
CASE NUMBER:
11-46956-RPN-11
   
ACCRUAL BASIS - 1
 
                 
                 
 
COMPARATIVE BALANCE SHEET
 
(SEE GENERAL FOOTNOTE)
 
       
SCHEDULED
MONTH
MONTH
MONTH
 
 
ASSETS
 
AMOUNT
Jul-12
Aug-12
Sep-12
 
 
A.
Strata Operating
12,978
       
 
B.
Sauder Operating
6,204
       
 
C.
Funds held in Harris County District Court Registry
24,858
       
 
D.
Supersedeas Bond posted in Potter County
10,000
10,000
10,000
   
 
E.
Retainer held by Sprouse Shrader Smith, PC
24,175
24,175
24,175
   
 
F.
             
 
TOTAL OTHER ASSETS -  LINE 8
78,215
34,175
34,175
   
                 
 
A.
Oil & Gas Properties
         
 
B.
35 undeveloped lots, block 6 lots 156-195, Adair County, OK
50,000
50,000
50,000
   
 
C.
Overriding royalty interest in well located in Starr County, TX; JMK #1, Lease No. 173247
Unknown
Unknown
Unknown
   
 
D.
Working interest in oil and gas wells in Pecos County, TX
Unknown
Unknown
Unknown
   
 
E.
Mineral leases in oil and gas wells located in Jack and Parker Counties, TX
Unknown
Unknown
Unknown
   
 
F.
Working interest in oil and gas wells located in Young, Wilbarger and Wichita Counties, TX
                       -
                      -
                      -
   
 
G.
Working interests in oil and gas wells located in Gregg, Rusk and Upshur Counties, TX
Unknown
Unknown
Unknown
   
 
H.
Working and overriding interested in oil and gas wells operated by Strata Operating, Inc., located in Wise, Parker, Hill and Jack Counties, TX
450,000
450,000
450,000
   
 
I.
Working interests in oil and gas wells operated by Sauder Management Company, located in Parker County, TX
225,000
                      -
     
 
J.
Mining Claims in British Columbia, Canada
Unknown
Unknown
Unknown
   
 
K.
Various overriding royalty interests acquired from Star of Texas Energy Services, Inc.
Unknown
Unknown
Unknown
   
 
TOTAL OTHER ASSETS NET OF AMORTIZATION -  LINE 14
725,000
500,000
500,000
   
                 
 
A.
Claim against Star of Texas Energy Services/Trustee
Unknown
Unknown
Unknown
   
 
B.
Other litigation claims against insiders and affiliates
Unknown
Unknown
Unknown
   
 
C.
Preference Actions
Unknown
Unknown
Unknown
   
 
D.
Claims against RoyalCo Financial Corporation
Unknown
Unknown
Unknown
   
 
E.
Claims against RoyalCo Oil and Gas Corporation
Unknown
Unknown
Unknown
   
 
F.
Claims against Royal Trust
Unknown
Unknown
Unknown
   
 
G.
Claims against AAA Oil Trust
Unknown
Unknown
Unknown
   
 
H.
Resonance Energy LLC
                       -
                      -
                      -
   
 
TOTAL OTHER ASSETS -  LINE 15
         
                 
 
POST PETITION LIABILITIES
         
 
A.
             
 
B.
             
 
C.
             
 
D.
             
 
E.
             
 
TOTAL OTHER POST PETITION LIABILITIES -  LINE 22
       
                 
 
PRE PETITION LIABILITIES
         
 
A.
             
 
B.
             
 
C.
             
 
D.
             
 
E.
             
 
TOTAL OTHER PRE PETITION LIABILITIES -  LINE 27
         
                 

 
 

 


 
 

 

                 
 
CASE NAME:
EXTERRA ENERGY, INC.
   
ACCRUAL BASIS - 2
 
                 
 
CASE NUMBER:
11-46956-RPN-11
         
                 
                 
 
INCOME STATEMENT
 
(SEE GENERAL FOOTNOTE)
   
       
MONTH
MONTH
MONTH
QUARTER
 
 
REVENUES
 
Jul-12
Aug-12
Sep-12
TOTAL
 
 
1.
Gross Revenues
 
6,762
 
6,762
 
 
2.
Less: Returns & Discounts
         
 
3.
Net Revenue
   
6,762
 
6,762
 
 
COST OF GOODS SOLD
         
 
4.
Material
           
 
5.
Direct Labor
           
 
6.
Direct Overhead
           
 
7.
Total Cost Of Goods Sold
         
 
8.
Gross Profit
   
6,762
 
6,762
 
 
OPERATING EXPENSES
         
 
9.
Officer / Insider Compensation
         
 
10.
Selling & Marketing
         
 
11.
General & Administrative
244
148
 
392
 
 
12.
Rent & Lease
           
 
13.
Other (Attach List)
         
 
14.
Total Operating Expenses
244
148
 
392
 
 
15.
Income Before Non-Operating
         
   
Income & Expense
(244)
6,613
 
6,369
 
 
OTHER INCOME & EXPENSES
         
 
16.
Non-Operating Income (Att List)
1,000
   
1,000
 
 
17.
Non-Operating Expense (Att List)
         
 
18.
Interest Expense
         
 
19.
Depreciation / Depletion
         
 
20.
Amortization
           
 
21.
Other (Attach List)
         
 
22.
Net Other Income & Expenses
1,000
   
1,000
 
 
REORGANIZATION EXPENSES
         
 
23.
Professional Fees
43,150
28,152
 
71,302
 
 
24.
U.S. Trustee Fees
650
   
650
 
 
25.
Other (Attach List)
 
1,497
 
1,497
 
 
26.
Total Reorganization Expenses
43,800
29,650
 
73,449
 
 
27.
Income Tax
           
 
28.
Net Profit (Loss)
 
(43,043)
(23,036)
 
(66,080)
 
 
This form _X___ does ___ does not have related footnotes on Footnotes Supplement.
     
                 

 
 

 


 
 

 

                 
 
CASE NAME:
EXTERRA ENERGY, INC.
   
SUPPLEMENT TO
 
                 
 
CASE NUMBER:
11-46956-RPN-11
   
ACCRUAL BASIS - 2
 
                 
                 
 
INCOME STATEMENT
         
       
MONTH
MONTH
MONTH
QUARTER
 
 
OPERATING EXPENSES
Jul-12
Aug-12
Sep-12
TOTAL
 
 
A.
             
 
B.
             
 
C.
             
 
D.
             
 
E.
             
 
F.
             
 
G.
             
 
H.
             
 
I.
             
 
J.
             
 
K.
             
 
TOTAL OTHER OPERATING EXPENSES -  LINE 13
         
                 
 
OTHER INCOME & EXPENSES
         
 
A.
Sale of Mineral Interests (net)
1,000
   
1,000
 
 
B.
             
 
C.
             
 
D.
             
 
TOTAL NON-OPERATING INCOME -  LINE 16
1,000
   
1,000
 
                 
 
A.
             
 
B.
             
 
C.
             
 
D.
             
 
TOTAL NON-OPERATING EXPENSE -  LINE 17
         
                 
                 
 
REORGANIZATION EXPENSES
         
 
A.
Scott Land Services
 
1,497
 
1,497
 
 
B.
             
 
C.
             
 
D.
             
 
E.
             
 
TOTAL OTHER REORGANIZATION EXPENSES -  LINE 25
 
1,497
 
1,497
 
                 

 
 

 


 
 

 

                 
 
CASE NAME:
EXTERRA ENERGY, INC.
   
ACCRUAL BASIS - 3
 
                 
 
CASE NUMBER:
11-46956-RPN-11
         
                 
                 
 
CASH RECEIPTS AND
MONTH
MONTH
MONTH
QUARTER
 
 
DISBURSEMENTS
Jul-12
Aug-12
Sep-12
TOTAL
 
 
1.
Cash - Beginning Of Month
82,139
167,671
 
82,139
 
 
RECEIPTS FROM OPERATIONS
         
 
2.
Cash Sales
 
45,181
6,762
 
51,943
 
 
COLLECTION OF ACCOUNTS RECEIVABLE
         
 
3.
Pre Petition
           
 
4.
Post Petition
         
 
5.
Total Operating Receipts
45,181
6,762
 
51,943
 
 
NON-OPERATING RECEIPTS
         
 
6.
Loans & Advances (Attach List)
         
 
7.
Sale of Assets
226,000
   
226,000
 
 
8.
Other (Attach List)
         
 
9.
Total Non-Operating Receipts
226,000
   
226,000
 
 
10.
Total Receipts
271,181
6,762
 
277,943
 
 
11.
Total Cash Available
353,321
174,432
 
360,082
 
 
OPERATING DISBURSEMENTS
         
 
12.
Net Payroll
           
 
13.
Payroll Taxes Paid
         
 
14.
Sales, Use & Other Taxes Paid
244
   
244
 
 
15.
Secured / Rental / Leases
         
 
16.
Utilities
           
 
17.
Insurance
           
 
18.
Inventory Purchases
         
 
19.
Vehicle Expenses
         
 
20.
Travel
           
 
21.
Entertainment
         
 
22.
Repairs & Maintenance
         
 
23.
Supplies
           
 
24.
Advertising
           
 
25.
Other (Attach List)
184,756
1,646
 
186,402
 
 
26.
Total Operating Disbursements
185,000
1,646
 
186,646
 
 
REORGANIZATION DISBURSEMENTS
         
 
27.
Professional Fees
         
 
28.
U.S. Trustee Fees
650
   
650
 
 
29.
Other (Attach List)
         
 
30.
Total Reorganization Expenses
650
   
650
 
 
31.
Total Disbursements
185,650
1,646
 
187,296
 
 
32.
Net Cash Flow
85,531
5,116
 
90,647
 
 
33.
Cash - End of Month
167,671
172,786
 
172,786
 
 
This form _X__ does ___ does not have related footnotes on Footnotes Supplement.
   
                 

 
 

 


 
 

 

                 
 
CASE NAME:
EXTERRA ENERGY, INC.
   
SUPPLEMENT TO
 
                 
 
CASE NUMBER:
11-46956-RPN-11
   
ACCRUAL BASIS - 3
 
                 
                 
                 
 
CASH RECEIPTS AND
         
 
DISBURSEMENTS
         
       
MONTH
MONTH
MONTH
QUARTER
 
 
NON-OPERATING RECEIPTS
Jul-12
Aug-12
Sep-12
TOTAL
 
 
A.
             
 
B.
             
 
C.
             
 
D.
             
 
E.
             
 
TOTAL LOANS & ADVANCES- LINE 6
         
                 
 
A.
             
 
B.
             
 
C.
             
 
D.
             
 
E.
             
 
TOTAL OTHER NON-OPERATING RECEIPTS - LINE 8
         
                 
 
OPERATING DISBURSEMENTS
         
 
A.
Bank Charges
 
148
 
148
 
 
B.
Payment on Secured Debt
184,756
   
184,756
 
 
C.
Scott Land Services
 
1,497
 
1,497
 
 
D.
             
 
E.
             
 
F.
             
 
G.
             
 
H.
             
 
I.
             
 
TOTAL OTHER OPERATING DISBURSEMENTS - LINE 25
184,756
1,646
 
186,402
 
                 
 
REORGANIZATION DISBURSEMENTS
         
 
A.
             
 
B.
             
 
C.
             
 
D.
             
 
E.
             
 
TOTAL OTHER REORGANIZATION  DISBURSEMENTS - LINE 29
         
                 

 
 

 


 
 

 

                   
 
CASE NAME:
EXTERRA ENERGY, INC.
 
ACCRUAL BASIS - 4
   
                   
 
CASE NUMBER:
11-46956-RPN-11
   
(SEE GENERAL FOOTNOTE)
   
                   
       
SCHEDULED
MONTH
MONTH
MONTH
   
 
ACCOUNTS RECEIVABLE AGING
 
AMOUNT
Jul-12
Aug-12
Sep-12
   
 
1.
0 - 30
             
 
2.
31 - 60
             
 
3.
61 - 90
             
 
4.
91 +
             
 
5.
Total Accounts Receivable
             
 
6.
(Amount Considered Uncollectible)
           
 
7.
Accounts Receivable (Net)
             
                   
         
MONTH:
August-12
     
 
AGING OF POST PETITION TAXES AND PAYABLES
           
     
0 - 30
31 - 60
61 - 90
91 +
     
 
TAXES PAYABLE
DAYS
DAYS
DAYS
DAYS
TOTAL
   
 
1.
Federal
             
 
2.
State
             
 
3.
Local
             
 
4.
Other (Attach List)
             
 
5.
Total Taxes Payable
             
                   
 
6.
Accounts Payable
             
                   
         
MONTH:
August-12
     
                   
 
STATUS OF POST PETITION TAXES
             
 
FEDERAL
 
BEGINNING  TAX LIABILITY *
AMOUNT WITHHELD AND/OR ACCRUED
(AMOUNT  PAID)
ENDING TAX LIABILITY
   
 
1.
Withholding **
             
 
2.
FICA - Employee **
             
 
3.
FICA - Employer **
             
 
4.
Unemployment
             
 
5.
Other - Misc Adj
             
 
6.
Other- Earned Income Credit
             
 
7.
Total Federal Taxes
 
                                 -   
                                -   
                               -   
                                -   
   
 
STATE AND LOCAL
             
 
8.
Withholding
             
 
9.
Sales
             
 
10.
Excise
             
 
11.
Unemployment
             
 
12.
Real Property
   
244
(244)
     
 
13.
Personal Property
             
 
14.
Other (Attach List)
 
                                 -   
         
 
15.
Total State And Local
 
                                 -   
244
(244)
                                -   
   
 
16.
Total Taxes
 
                                 -   
244
(244)
                                -   
   
 
*
The beginning tax liability should represent the liability from the prior month or, if this is the first operating report, the amount should be zero.
     
 
**
Attach photocopies of IRS Form 6123 or your FTD coupon and payment receipt to verify payment of deposit.
       
 
This form ___ does _X__ does not have related footnotes on Footnotes Supplement.
         
                   

 
 

 


 
 

 

                   
 
CASE NAME:
EXTERRA ENERGY, INC.
   
ACCRUAL BASIS - 5
 
                   
 
CASE NUMBER:
11-46956-RPN-11
           
                   
 
The debtor in possession must complete the reconciliation below for each bank account, including all general, payroll and tax accounts, as well as all savings and investment accounts, money market accounts, certificates of deposit, government obligations, etc.  Accounts with restricted funds should be identified by placing an asterisk next to the account number.  Attach additional sheets if necessary.
                   
       
MONTH:
August-12
       
                   
 
BANK RECONCILIATIONS
Account # 1
Account # 2
 
Other Accounts
 
 
A.
BANK:
 
Frost National
Wells Fargo
Wells Fargo
(Attach List)
   
 
B.
ACCOUNT NUMBER:
60 8688540
1994425344
1994425351
 
TOTAL
 
 
C.
PURPOSE (TYPE):
Checking
Money Market -Operating
                    Money Market - Strata
   
 
1.
Balance Per Bank Statement
                              -
                 79,843
              89,814
3,129
172,786
 
 
2.
Add: Total Deposits Not Credited
           
 
3.
Subtract: Outstanding Checks
           
 
4.
Other Reconciling Items
           
 
5.
Month End Balance Per Books
                              -
                 79,843
              89,814
3,129
172,786
 
 
6.
Number of Last Check Written
Closed 4/30/12
         
                   
                   
 
INVESTMENT ACCOUNTS
           
                   
 
BANK, ACCOUNT NAME & NUMBER
DATE OF PURCHASE
TYPE OF INSTRUMENT
PURCHASE PRICE
CURRENT VALUE
 
7.
               
                   
 
8.
               
                   
 
9.
               
                   
 
10.
(Attach List)
             
                   
 
11.
Total Investments
           
                   
 
CASH
             
 
12.
Currency On Hand
           
                   
 
13.
Total Cash - End of Month
       
172,786
 
 
This form ___ does _X__ does not have related footnotes on Footnotes Supplement.
     
                   

 
 

 


 
 

 

                   
 
CASE NAME:
EXTERRA ENERGY, INC.
   
SUPPLEMENT TO
 
                   
 
CASE NUMBER:
11-46956-RPN-11
     
ACCRUAL BASIS - 5
 
                   
                   
       
MONTH:
August-12
       
                   
 
BANK RECONCILIATIONS
           
 
A.
BANK:
 
Wells Fargo
     
TOTAL
 
 
B.
ACCOUNT NUMBER:
1994425369
     
OTHER BANK
 
 
C.
PURPOSE (TYPE):
                        Money Market - Sauder
   
ACCOUNTS
 
 
1.
Balance Per Bank Statement
3,129
     
3,129
 
 
2.
Add: Total Deposits Not Credited
           
 
3.
Subtract: Outstanding Checks
           
 
4.
Other Reconciling Items
           
 
5.
Month End Balance Per Books
3,129
     
3,129
 
 
6.
Number of Last Check Written
           
                   
                   
 
INVESTMENT ACCOUNTS
           
                   
 
BANK, ACCOUNT NAME & NUMBER
DATE OF PURCHASE
TYPE OF INSTRUMENT
PURCHASE PRICE
CURRENT VALUE
 
A.
               
                   
 
B.
               
                   
 
C.
               
                   
 
D.
               
                   
 
E.  Total Investments
           
                   
                   

 
 

 


 
 

 

                 
 
 
CASE NAME:
EXTERRA ENERGY, INC.
 
ACCRUAL BASIS - 6
 
                   
 
CASE NUMBER:
11-46956-RPN-11
         
           
MONTH:
August-12
   
 
PAYMENTS TO INSIDERS AND PROFESSIONALS
         
 
Of the Total Disbursements shown for the month, list the amount paid  to Insiders (as defined in Section 101 (31) (A) - (F) of the U.S. Bankruptcy Code) and to Professionals.  Also, for payments to Insiders, identify the type of compensation paid (e.g. salary, bonus, commissions, insurance, housing allowance, travel, car allowance, etc.).  Attach additional sheets if necessary.
                   
 
INSIDERS
     
   
NAME
 
TYPE OF PAYMENT
AMOUNT PAID
TOTAL PAID TO DATE
   
 
1.
               
 
2.
               
 
3.
               
 
4.
               
 
5.
               
 
6.
               
 
7.
               
 
8.
(Attach List)
             
 
9.
Total Payments To Insiders
           
                   
 
PROFESSIONALS
 
   
NAME
 
DATE OF COURT ORDER AUTHORIZING PAYMENT
AMOUNT APPROVED
AMOUNT PAID
TOTAL PAID TO DATE
TOTAL INCURRED & UNPAID *
 
1.
Kelly Hart & Hallman
       
206,933
 
 
2.
Lain Faulkner & Co., P.C.
       
47,530
 
 
3.
Mike McConnell, Trustee
       
17,105
 
 
4.
TEC Engineering Group, Inc.
       
6,817
 
 
5.
Diamond McCarthy LLP
       
15,000
 
 
6.
(Attach List)
             
 
7.
Total Payments To Professionals
     
293,385
 
 
*
Include all fees incurred, both approved and unapproved
       
                   
 
POST PETITION STATUS OF SECURED NOTES, LEASES PAYABLE AND ADEQUATE PROTECTION PAYMENTS
   
   
NAME OF CREDITOR
SCHEDULED MONTHLY PAYMENTS DUE
AMOUNTS PAID DURING MONTH
TOTAL  UNPAID  POST PETITION
 
1.
     
 $                    -
       
 
2.
               
 
3.
               
 
5.
(Attach List)
             
 
6.
TOTAL
     
 $                -
 $                    -
   
 
This form ___ does _X__ does not have related footnotes on Footnotes Supplement.
     
                   

 
 

 


 
 

 

                     
 
CASE NAME:
EXTERRA ENERGY, INC.
     
ACCRUAL BASIS - 7
   
                     
 
CASE NUMBER:
11-46956-RPN-11
           
           
MONTH:
August-12
     
 
QUESTIONNAIRE
               
               
YES
NO
 
 
1.
Have any Assets been sold or transferred outside the normal course of business this reporting period?
X
 
 
2.
Have any funds been disbursed from any account other than a debtor in possession account?
X
 
 
3.
Are any Post Petition Receivables (accounts, notes, or loans) due from related parties?
 
X
 
 
4.
Have any payments been made on Pre Petition Liabilities this reporting period?
 
X
 
 
5.
Have any Post Petition Loans been received by the debtor from any party?
 
X
 
 
6.
Are any Post Petition Payroll Taxes past due?
       
X
 
 
7.
Are any Post Petition State or Federal Income Taxes past due?
   
X
 
 
8.
Are any Post Petition Real Estate Taxes past due?
       
X
 
 
9.
Are any other Post Petition Taxes past due?
       
X
 
 
10.
Are any amounts owed to Post Petition creditors delinquent?
     
X
 
 
11.
Have any Pre Petition Taxes been paid during the reporting period?
   
X
 
 
12.
Are any wage payments past due?
       
X
 
                     
 
If the answer to any of the above questions is "Yes", provide a detailed explanation of each item.  Attach additional sheets if necessary.
                     
                     
                     
 
INSURANCE
               
               
YES
NO
 
 
1.
Are Worker's Compensation, General Liability and other necessary insurance coverages in effect?
X
 
 
2.
Are all premium payments paid current?
       
X
 
 
3.
Please itemize policies below.
         
X
 
                     
 
If the answer to any of the above questions is "No", or if any policies have been canceled or not renewed during this reporting period, provide an explanation below.  Attach additional sheets if necessary.
 
                     
 
The Debtor's policies had expired prior to the appointment of Mr. McConnell; the Debtor has no employees.
   
                     
 
INSTALLMENT PAYMENTS
 
 
TYPE OF  POLICY
CARRIER
PERIOD COVERED
PAYMENT AMOUNT & FREQUENCY
 
                     
                     
                     
 
This form ___ does _X__ does not have related footnotes on Footnotes Supplement.
     
                     

 
 

 


 
 

 

                     
                     
 
CASE NAME:
 
EXTERRA ENERGY, INC.
 
FOOTNOTES
 
                     
 
CASE NUMBER:
 
11-46956-RPN-11
     
ACCRUAL BASIS
   
                     
           
MONTH:
August-12
     
                     
                     
                     
 
ACCRUAL BASIS FORM NUMBER
LINE NUMBER
FOOTNOTE / EXPLANATION
 
                     
 
General
 
Effective March 29, 2012 Michael McConnell was appointed as Trustee of this case.  The case was
       
commenced on December 15, 2011 and was operated as a Debtor-In-Possession until Mr. McConnell's
       
appointment.  The Debtor submitted the monthly operating report for the month of January 2011 on a
       
cash basis.  The Trustee has prepared this report from the information in the Debtors books and
       
records and data contained in the Schedules and Statements of Financial Affairs filed by the Debtor.
       
The Trustee is still in the process of evaluating the records of the Debtor to determine what
 
       
adjustments, if any, might be required, however the Trustee believes the Amended Statement of
 
       
Financial Affairs and Schedules contain material inaccuracies (some of which have been adjusted in this
       
report) and is in the process of filing a Second Amended version of these reports.
 
                     
 
Accrual 1
14, 32
Based upon the books and records and the Form 10-Q filed with the Securities and Exchange
 
       
Commission for the period ended February 28, 2011 the asset value of the Oil and Gas Properties has
       
been adjusted to their cost basis less amortization as recorded in the Debtor's filing.  The net adjustment
       
to reflect historical book basis was a reduction of $14,690,945.59.  The Trustee is continuing to analyze
       
the Debtor's records to determine if further adjustments are necessary.
 
                     
 
Accrual 1
15
The assets consist of potential causes of actions and they are being adjusted to an unknown value.
       
The net adjustment totals $5,000,000.  The Trustee and his professionals will continue to analyze the
       
merits of the pending actions.
       
                     
 
Accrual 1
24
Based upon the actual proofs of claim filed by the secured creditors, the secured debt has been adjusted
       
to the actual amounts claimed.  The net adjustment is a reduction of $2,434,261.14.  The Trustee is
       
continuing to analyze the Debtor's records to determine if further adjustments are necessary.
 
                     
 
Accrual 1
20
Fees due to Michael McConnell as Trustee have been calculated based on Section 326 Limitation on
 
Accrual 2
23
Compensation of Trustee.  The total amount accrued through the report date is $17,105.
 
 
Accrual 6