BREED TECHNOLOGIES INC
8-K, EX-99.1, 2000-09-21
MOTOR VEHICLE PARTS & ACCESSORIES
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<PAGE>

Case Name: BREED TECHNOLOGIES, INC. ET AL.
Case Number: 99-03399MFW THRU 99-03415

                 OFFICE OF THE UNITED STATES TRUSTEE-REGION 3
                           MONTHLY OPERATING REPORT
                     for the month ending October 31, 1999

================================================================================

                                     Document     Previously     Explanation
Required Attachments:                Attached     Submitted        Attached

1.)  Tax Receipts                      ( )          ( )               (X)

2.)  Bank Statements                   (X)          ( )               ( )

3.)  Most Recently Filed               ( )          (X)               ( )
     Income Tax Returns

4.)  Most Recent Annual Financial      ( )          (X)               ( )
     Statements Prepared by Accountant

     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 and the accompanying attachments and, that they are true,
     correct and complete, to the best of my knowledge, information and belief.
     Although every effort has been made to make the operating report accurate
     and complete, because of the magnitude and complexity of the compilation of
     the report, errors and omissions may exist.

     RESPONSIBLE PARTY:

     /s/ Patrick J. O'Malley                           Chief Financial Officer
     -----------------------------------          -----------------------------
     Signature of Responsible Party               Title


     /s/ Patrick J. O'Malley                                2/09/2000
     -----------------------------------          -----------------------------
     Printed Name of Responsible Party            Date
<PAGE>

Case Name: BREED TECHNOLOGIES, INC. ET AL
Case Number: 99-03399MFW THRU 99-03415

BREED Consolidated Balance Sheet (Unaudited)
(000's)

<TABLE>
<CAPTION>
                                                               October-99   November-99  December-99
                                                               ----------   -----------  -----------
<S>                                                            <C>          <C>          <C>
ASSETS
  Cash & Short Term Investments                                   23,390
  Accounts Receivable, net                                       263,493
  Inventory, net                                                  92,499
  Deferred Income Taxes, short term                                4,384
  Contracts in Process                                             5,682
  Income Tax Receivable                                            1,798
  TRF Credit                                                         272
  Prepaid Expense & Other                                         25,982
                                                               ---------    -----------  -----------
  Total Current Assets                                           417,500              0            0
                                                               ---------    -----------  -----------
  Long Term Receivables                                              261
  Property, Plant & Equipment                                    462,351
  Less: Accumulated Depreciation                                (176,407)
  Net Property, Plant & Equipment                                285,944
  Goodwill, net                                                  367,960
  Patents, Licenses & Deferred Charges, Net                        3,518
  Deferred Income Taxes - Long Term                                  748
  Other Noncurrent Assets                                         32,040
                                                               ---------    -----------  -----------
  Total Assets                                                 1,107,971              0            0
                                                               =========    ===========  ===========

LIABILITIES
  Notes Payable                                                   20,990
  Current Portion-Long Term Debt                                 592,059
  Borrowings on DIP Facility                                      30,000
  Accounts Payable:
     Domestic Pre-Petition                                       142,855
     Domestic Post-Petition                                      (22,572)
     Non-domestic                                                109,043
  Income Tax Payable-Domestic                                     (5,234)
  Income Tax Payable-Non-domestic                                  8,001
  Repositioning Reserves                                           4,884
  Other Current Liabilities                                      129,888
  Long-term Debt                                                  15,789
  Accrued Pension Obligations                                      7,303
  Senior Subordinated Debt                                       330,000
  Other Long Term Liabilities                                      8,024
                                                               ---------    -----------  -----------
  Total Liabilities                                            1,371,030              0            0
                                                               =========    ===========  ===========

PREFERRED STOCK                                                  145,245                           0
                                                               ---------    -----------  -----------

EQUITY
  Pre-petition Shareholders Equity                              (409,593)
  Post-petition cumulative Profit (loss)                           1,987
  Post-petition cumulative Currency Translation Adj.                (698)
                                                               ---------    -----------  -----------
  Total Equity                                                  (408,304)             0            0
                                                               ---------    -----------  -----------
  Total Liabilities & Equity                                   1,107,971              0            0
                                                               =========    ===========  ===========
</TABLE>
<PAGE>

Case Name: BREED TECHNOLOGIES, INC. ET AL
Case Number: 99-03399MFW THRU 99-03415

BREED Consolidated Income Statement (Unaudited)
(000's)

<TABLE>
<CAPTION>
                                                      October-99      November-99      December-99
                                                    --------------  ---------------  ---------------
<S>                                                 <C>             <C>              <C>
Sales:
  Trade Sales                                              130,368
  Less: Returns and Allowances                               1,601
  Add: Other Revenues                                          187
                                                    --------------  ---------------  ---------------
Net Sales                                                  132,156                0                0

Cost of Goods Sold                                         109,390                0                0

Gross Profit                                                22,766                0                0

Operating Expense
   Research and Development                                  7,927
   General and Administrative                                8,068
   Amortization                                              1,582
                                                    --------------  ---------------  ---------------
Total Operating Expense                                     17,577                0                0

   Repositioning Costs                                           0                0                0
   Impairment of Assets                                          0                0                0

Operating Income                                             5,189                0                0

   Other Income (Expense), net                              (1,141)
                                                    --------------  ---------------  ---------------
Earnings Before Interest and Tax                             4,048                0                0

   Interest Income - Third Party                               137
   Interest Expense - Third Party                           (1,598)
                                                    --------------  ---------------  ---------------
Interest Income(Expense), net                               (1,461)               0                0

   Insurance lncome(Expense), - Intercompany                     0                0                0
   Other - Intercompany                                          0                0                0

Earnings Before Tax                                          2,587                0                0

   Tax (Benefit) Expense                                       600
                                                    --------------  ---------------  ---------------
Net Earnings (Loss)                                          1,987                0                0
                                                    ==============  ===============  ===============
</TABLE>
<PAGE>

Case Name: BREED TECHNOLOGIES, INC. ET AL.
Case Number: 99-03399MFW THRU 99-03415

BREED Cash Receipts and Disbursements (Debtors only)

See Attachments
<PAGE>

                     IN THE UNITED STATES BANKRUPTCY COURT
                       EASTERN DISTRICT OF PENNSYLVANIA
                             District of Delaware

CASE NAME: Breed Technologies, Inc. et al.
-----------------------------------------

                   SUMMARY OF CASH RECEIPTS AND DISBURSEMENTS
                     For the Period Ending October 31, 1999

<TABLE>
<S>                                           <C>
                                              ----------
BEGINNING BALANCE AS OF SEPTEMBER 30, 1999    22,581,120
                                              ----------

RECEIPTS:
 1. Receipts from Operations:                 89,045,939
                                              ----------
 2. Other Receipts:
  a. Advances from DIP Lenders                         0
                                              ----------
 3. Intercompany Transfers
  a. Debtors                                     842,436
                                              ----------
  b. Non-Debtors                               9,289,512
                                              ----------

DISBURSEMENTS:
 1. Operating Disbursements                   79,218,852
                                              ----------
 2. Payments to DIP lenders                            0
                                              ----------
 3. Intercompany Transfers
  a. Debtors                                     842,435
                                              ----------
  b. Non-Debtors                              10,440,173
                                              ----------
TOTAL DISBURSEMENTS:                          90,501,460
                                              ----------
NET RECEIPTS (DISBURSEMENTS) FOR THE
  CURRENT PERIOD                               8,676,427
                                              ----------
ENDING BALANCE IN ALL
 ACCOUNTS AS OF OCTOBER 31, 1999              31,257,547
                                              ----------
</TABLE>
<PAGE>

BREED TECHNOLOGIES, INC.
CASH CONSOLIDATED CONSOLIDATION WORKSHEET

<TABLE>
<CAPTION>
Account Number                               8188-0-10116         1233-1-21117          808005863             0304-233
Bank Name                                  Bank of America       Bank of America        Chase Bank            Bank One
Company Name                               Breed Tech, Inc.      Breed Tech., Inc     Breed Tech, Inc.     Breed Tech, Inc
Type of Account                                  Master          Insurance Reserve   Collection Funding        Lockbox
<S>                                   <C>                    <C>                     <C>                   <C>
                                          -----------------      -----------------   -------------------   ---------------
BANK BALANCE @ 10/1/99                           20,171,164               637,364                 0                  2,500
                                          -----------------      -----------------   -------------------   ---------------

RECEIPTS
   Intercompany Transfers - Debtors                 778,689
   Intercompany Transfers - Non-Debtors           2,082,726
   Customer/ Other Receipts                      88,622,722
   Advance from DIP Lenders                               0
   Adjustments                                       18,261
                                          -----------------      -----------------   -------------------   ---------------
   TOTAL RECEIPTS                                91,502,397                    0                  0                      0
                                          -----------------      -----------------   -------------------   ---------------

DISBURSEMENTS
   Intercompany Transfers - Debtors                 (63,747)
   Intercompany Transfers - Non-Debtors         (10,440,173)
   Payments to DIP Lenders (Principal)                    0
   Operating Disbursements/ Other               (72,026,812)
   Adjustments                                      (10,967)
   Other
                                          -----------------      -----------------   -------------------   ---------------
   TOTAL DISBURSEMENTS                          (82,541,698)                   0                  0                      0
                                          -----------------      -----------------   -------------------   ---------------
BANK BALANCE @ 10/31/99                          29,131,864              637,364                  0                  2,500
                                          =================      =================   ===================   ===============



Account Number                                0012754019            625215850312        0215252163455
Bank Name                                      Citibank              SunTrust             SunTrust
Company Name                             Breed Tech., Inc.       Breed Tech. Inc.      Breed Tech. Inc.
Type of Account                         Foreign Sale Office         Payroll ZBA            Payroll
<S>                                 <C>                     <C>                  <C>
                                          -----------------      -----------------   -------------------
BANK BALANCE @ 10/1/99                                1,334                  0                626,149
                                          -----------------      -----------------   -------------------

RECEIPTS
   Intercompany Transfers - Debtors
   Intercompany Transfers - Non-Debtors
   Customer/ Other Receipts                                                                     2,539
   Advance from DIP Lenders
   Adjustments
                                          -----------------      -----------------   -------------------
   TOTAL RECEIPTS                                         0                  0                  2,539
                                          -----------------      -----------------   -------------------

DISBURSEMENTS
   Intercompany Transfers - Debtors                                                          (628,689)
   Intercompany Transfers - Non-Debtors
   Payments to DIP Lenders (Principal)
   Operating Disbursements/ Other
   Adjustments
   Other
                                          -----------------      -----------------   -------------------
   TOTAL DISBURSEMENTS                                    0                  0               (628,689)
                                          -----------------      -----------------   -------------------
BANK BALANCE @ 10/31/99                               1,334                  0                     (0)
                                          =================      =================   ===================
</TABLE>
<PAGE>

BREED TECHNOLOGIES, INC.
CASH CONSOLIDATION WORKSHEET

<TABLE>
<CAPTION>
Account Number                               0032020393720            2249201118351          63563630              000001352180JPY
Bank Name                                      SunTrust               Smith Barney      National Westminster           ABM AMRO
Company Name                                Breed Tech, Inc         Breed Tech., Inc      Breed Tech, Inc          Breed Tech., Inc.
Type of Account                             Flex Spending DDA          Investment          UK Operations              Yen Account
                                                                                                                         ($USD)
<S>                                      <C>                    <C>                  <C>                        <C>
                                                    -----                   --                 -------                    -------
BANK BALANCE @ 10/1/99                              2,824                   97                 240,396                    657,542
                                                    -----                   --                 -------                    -------

RECEIPTS

       Intercompany Transfers - Debtors            17,347
       Intercompany Transfers - Non-Debtors                                                     203,873
       Customer/ Other Receipts                                                                     042
       Advance front DIP Lenders
       Adjustments                                                                               (3,579)                  252,458
                                                   ------                    -                  -------                   -------
       TOTAL RECEIPTS                              17,347                    0                  200,936                   252,458
                                                   ------                    -                  -------                   -------

DISBURSEMENTS

       Intercompany Transfers - Debtors
       Intercompany Transfers - Non-Debtors
       Payments to DIP Lenders (Principal)
       Operating Disbursements/ Other             (10,773)                                     (166,405)                      (34)
       Adjustments
       Other
                                                   ------                    -                  -------                       ---
       TOTAL DISBURSEMENTS                        (10,773)                   0                 (166,405)                      (34)
                                                   ------                    -                  -------                       ---
BANK BALANCE @ 10/31/99                             9,398                   97                  274,927                   909,966
                                                    =====                   ==                  =======                   =======


Account Number                                            071013000062       1151091000125          1001094200065
Bank Name                                                   ABM AMRO        Societe Generale        Bank of China
Company Name                                              Breed Tech, Inc     Breed Tech, Inc      Breed Tech., Inc.
Type of Account                                           (Peso Acct(USD$))    Franc Account
                                                                              ($USD)
<S>                                            <C>                       <C>                   <C>
                                                            -------              ------               ------
BANK BALANCE @ 10/1/99                                       43,604              33,376                 (230)
                                                            -------              ------               ------

RECEIPTS

       Intercompany Transfers - Debtors
       Intercompany Transfers - Non-Debtors               6,963,626                                    8,628
       Customer/ Other Receipts
       Advance front DIP Lenders
       Adjustments                                           48,848                                    7,730
                                                          ---------                   -               ------
       TOTAL RECEIPTS                                     7,012,474                   0               18,358
                                                          ---------                   -               ------

DISBURSEMENTS

       Intercompany Transfers - Debtors
       Intercompany Transfers - Non-Debtors
       Payments to DIP Lenders (Principal)
       Operating Disbursements/ Other                     (6,922,620)              (542)            (3,580)
       Adjustments                                                                 (378)
       Other
                                                          -----------              -----            -------
       TOTAL DISBURSEMENTS                                (6,922,620)              (919)            (3,580)
                                                          ----------             -------             -----
BANK BALANCE @ 10/31/99                                      133,458             32,456             12,549
                                                          ==========             ======             ======

</TABLE>
<PAGE>

BREED TECHNOLOGIES, INC.
CASH CONSOLIDATION WORKSHEET


<TABLE>
<CAPTION>
Account Number                                         109140             N13/9286278        06700277467         000640057428
Bank Name                                           CITIC of China      San Paolo IMI         Chase Bank        Bank of America
Company Name                                       Breed Tech, Inc      Breed Tech, Inc.    Breed Auto, LP     Breed Auto. West
Type of Account                                                           Lire Account      Local Operating
                                                                            ($USD)
<S>                                  <C>                           <C>                <C>                 <C>
                                                       ------               ------               -----              -----
BANK BALANCE @ 10/1/99                                 22,754               22,498               6,634              3,484
                                                       ------               ------               -----              -----

RECEIPTS

       Intercompany Transfers - Debtors                                                         46,400
       Intercompany Transfers - Non-Debtors            30,660
       Customer/ Other Receipts                                                                    921
       Advance from DIP Lenders
       Adjustments                                        334                 (254)
                                                       ------                 ----              ------                  -
       TOTAL RECEIPTS                                  30,994                 (254)             47,321                  0
                                                       ------                 ----              ------                  -

DISBURSEMENTS

       Intercompany Transfers - Debtors
       Intercompany Transfers - Non-Debtors
       Payments to DIP Lenders (Principal)
       Operating Disbursements/ Other                 (16,859)                 (15)            (44,824)              (933)
       Adjustments
       Other

                                                       ------               ------             -------              -----
       TOTAL DISBURSEMENTS                            (16,859)                 (15)            (44,824)              (933)
                                                       ------               ------             -------              -----
BANK BALANCE @ 10/31/99                                36,889               22,229               9,131              2,552
                                                       ======               ======             =======              =====



Account Number                                        370179376             020716585
Bank Name                                          Bank of America           Bank One              TOTALS
Company Name                                       Breed Elect. NV         Hamlin, Inc
Type of Account                                    Local Operating           Lockbox

<S>                                            <C>                      <C>                 <C>
                                                         -----               -------             ----------
BANK BALANCE @ 10/1/99                                   3,864               105,765             22,581,120
                                                         -----               -------             ----------

RECEIPTS

       Intercompany Transfers - Debtors                                                             842,438
       Intercompany Transfers - Non-Debtors                                                       9,289,512
       Customer/ Other Receipts                                               95,317             88,722,141
       Advance from DIP Lenders                                                                           0
       Adjustments                                                                                  323,798
                                                             -                ------             ----------
       TOTAL RECEIPTS                                        0                95,317             99,177,887
                                                             -                ------             ----------

DISBURSEMENTS

       Intercompany Transfers - Debtors                                     (150,000)              (842,435)
       Intercompany Transfers - Non-Debtors                                                     (10,440,173)
       Payments to DIP Lenders (Principal)                                                                0
       Operating Disbursements/ Other                     (462)              (13,651)           (79,207,507)
       Adjustments                                                                                  (11,345)
       Other                                                                                              0
                                                          ----              --------            -----------
       TOTAL DISBURSEMENTS                                (462)             (163,651)           (90,501,460)
                                                          ----              --------            -----------
BANK BALANCE @ 10/31/99                                  3,402                37,431             31,257,547
                                                         =====                ======             ==========

</TABLE>
<PAGE>


                                 Cash Receipts
                 Bank of America - Master Account #81889-10116
                               October 1-31,1999

Note: The Debtors Master Account is tied to various lockboxes. The Debtor
records these receipts in the Master account, wherefore, to avoid duplicating
these transactions, all receipts tied to the Master Account are shown below.

<TABLE>
<CAPTION>
Date         Name/Description                            Deposit Type                 Location                  Amount
----         ----------------                            ------------                 --------                  ------
   <S>           <C>                                        <C>                          <C>                       <C>
10/01/99                                                 Adjustment to Beginning Balance                     (1,005.80)
10/01/99                                                 Adjustment for Closed AP Accounts                    1,443.00
10/01/99      Xerox Corp                                 Customer Receipts            Hamlin                    632.00
10/01/99      Misc Deposit                               Customer Receipts                                   72,571.53
10/01/99      Various Customer Receipts                  Lockbox Deposit - 7545       Maryville                 496.53
10/01/99      Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim               921.60
10/01/99      Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS             100,646.52
10/01/99      Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                 15,487.22
10/04/99                                                 Adjustment for Closed AP Accounts                      145.00
10/04/99      Fiat Automotive                            Customer Receipts            BTI                    34,495.60
10/04/99      Various Customer Receipts                  Lockbox Deposit - 7549       BTI                   652,243.04
10/04/99      Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim           153,711.08
10/04/99      Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS           1,415,890.20
10/04/99      Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                176,605.38
10/04/99      Various Customer Receipts                  Lockbox Deposit - 7581       SRS                 4,015,698.73
10/04/99      Grupo Vir SA.                              Trade Wire Returned          AP - Returned          15,000.00
10/04/99      BREED Ruckhaltesystems                     Transfer from Non-Debtor     Funding                40,982.96
10/05/99      Isuzu Motors                               Customer Receipts            SRS                    16,000.00
10/05/99      Spectrum Industries                        Customer Receipts            Custom Trim            16,065.00
10/05/99      Xerox Corp                                 Customer Receipts            Hamlin                    270 00
10/05/99      Various Customer Receicts                  Lockbox Deposit - 7549       BTI                 2,566,028.10
10/05/99      Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS              78,629.94
10/05/99      Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                 72,463.67
10/05/99      Various Customer Receipts                  Lockbox Deposit - 7581       SRS                 5,983,729.04
10/05/99      Siemans                                    Payroll Reimbursement        Payroll Reimbursem     23,942.56
10/06/99      Returned Check                             Adjustment                   Check Deposit Adjust.      88.00
10/06/99      Daewoo                                     Customer Receipts            BTI                    80,282.11
10/06/99      Xerox Mexicana                             Customer Receipts            Hamlin                  9,986.64
10/06/99                                                 Investment Interest                                  2,134.83
10/06/99      Various Customer Receipts                  Lockbox Deposit - 7549       BTI                   387,552.00
10/06/99      Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS               6,053.04
10/06/99      Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                 11,324.65
10/06/99      Various Customer Receipts                  Lockbox Deposit - 7581       SRS                   342,115.56
10/07/99                                                 Adjustment for Closed AP Accounts                    2,679.11
10/07/99                                                 Adjustment for Closed AP Accounts                       82.77
10/07/99                                                 Investment Interest                                  1,638.17
10/07/99      Various Customer Receipts                  Lockbox Deposit - 7549       BTI                    75,729.94
10/07/99      Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim           210,332.08
10/07/99      Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS              17,779.36
10/07/99      Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                 44,750.79
10/07/99      Various Customer Receipts                  Lockbox Deposit - 7581       SRS                   243,782.06
10/08/99                                                 Adjustment for Closed AP Accounts                      630.23
10/08/99      Saturn                                     Customer Receipts            SRS                   270,468.85
10/08/99      Xerox Corp                                 Customer Receipts            Hamlin                    308.00
10/08/99                                                 Investment Interest                                  4,857.05
10/08/99      Various Customer Receipts                  Lockbox Deposit - 7545       Maryville           3,766,543.62
10/08/99      Various customer Receipts                  Lockbox Deposit - 7549       BTI                   917,989.76
10/08/99      Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trnm             9,273.92
10/08/99      Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS           2,049,331.41
10/08/99      Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                 62,464.04
10/08/99      Various Customer Receipts                  Lockbox Deposit - 7581       SRS                    49,368.03
10/08/99      Ceridian Payroll Direct Deposit            Payroll Returned             Retumed                   100.00
10/08/99      Loeb and Loeb                              Trade Wire Returned          AP - Returned          79,005.48

Master1099                                                                                                 Page 1 of 5
</TABLE>
<PAGE>

                                 Cash Receipts
                 Bank of America - Master Account #81889-10116
                               October 1-31,1999

Note: The Debtors Master Account is tied to various lockboxes. The Debtor
records these receipts in the Master account, wherefore, to avoid duplicating
these transactions, all receipts tied to the Master Account are shown below.

<TABLE>
<CAPTION>
Date        Name/Description                           Deposit Type                 Location                    Amount
----        ----------------                           ------------                 --------                    ------
<S>         <C>                                        <C>                          <C>                     <C>
10/08/99    BREED Electronics GmbH                     Transfer from Non-Debtor     Hamlin                  900,000.00
10/09/99                                               Investment Interest                                        0.00
10/10/99                                               Investment Interest                                        0.00
10/11/99                                               Investment Interest                                    1,619.68
10/12/99                                               Adjustment for Closed AP Accounts                      1,609.05
10/12/99    Le Champ Sea                               Customer Receipts            Hamlin                    6,675.44
10/12/99    Suzuki                                     Customer Receipts            Maryville               114,743.18
10/12/99    Suzuki                                     Customer Receipts            SRS                       3,748.00
10/12199    Suzuki                                     Customer Receipts            SRS                       1,715.00
10/12/99    Telsys LTD                                 Customer Receipts            Hamlin                    7,535.00
10/12/99    Travelex UK PLC                            Customer Receipts            BTI                       2,000.00
10/12/99    Xerox Corp                                 Customer Receipts            Hamlin                      462.00
10/12/99                                               lnvestment Interest                                    1,168.41
10/12/99    Various Customer Receipts                  Lockbox Deposit - 7545       Maryville               167,205.91
10/12/99    Various Customer Receipts                  Lockbox Deposit - 7549       BTI                     123,839.49
10/12/99    Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim             168,925.55
10/12/99    Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS               165,796.62
10/12/99    Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                   62,856.42
10/12/99    Various Customer Receipts                  Lockbox Deposit - 7581       SRS                      87,987.99
10/12/99    Ceridian Payroll Direct Deposit            Payroll Returned             Returned                    837.21
10/12/99    Misc Deposit                               Proceeds sale of Assets Non De MOMO USA Buildin      267,063.95
10/12/99    Greer Steel Co                             Trade Wire Returned          AP - SRS (Returned check) 3,977.52
10/12/99    Custom Trim                                Transfer from Non-Debtor     TD Bank Transfer        110,025.64
10/13/99                                               Adjustment for Closed AP Aooounts                        900.00
10/13/99    Daewoo                                     Customer Receipts            BTI                      16,067.08
10/13/99    NED Bank                                   Customer Receipts            SRS                       2,500.00
10/13/99    Xerox Mexicana                             Customer Receipts            Hamlin                   14,254.50
10/13/99    Misc Deposit                               Customer Receipts                                     49,749.41
10/13/99    Misc Deposit                               Insurance Reimbursement                               27,780.80
10/13/99                                               lnvestment Interest                                      880.67
10/13/99    Various Customer Receipts                  Lockbox Deposit - 7545       Maryville                 1,817.50
10/13/99    Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim              72,418.62
10/13/99    Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS                23,570.42
10/13/99    Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                    6,533.60
10/13/99    Various Customer Receipts                  Lockbox Deposit - 7581       SRS                     255,935.73
10/14/99                                               Adjustment for Closed AP Accounts                      6,511.74
10/14/99    Cho Hung Bank                              Customer Receipts            SRS                      36,689.45
10/14/99    Xerox Egypt                                Customer Receipts            Hamlin                       30.40
10/14/99                                               Investment Interest                                      198.68
10/14/99    Various Customer Receipts                  Lockbox Deposit - 7549       BTI                     387,552.00
10/14/99    Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim             655,171.90
10/14/99    Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS             1,036,735.18
10/14199    Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                   64,069.99
10/14/99    Various Customer Receipts                  Lockbox Deposit - 7581       SRS                      62,997.19
10/15/99    Daewoo                                     Customer Receipts            Maryville                69,800.00
10/15/99    Fiat Automotive                            Customer Receipts            BTI                      34,480.60
10/15/99    Lear                                       Customer Receipts            SRS                       3,002.10
10/15/99    Proton                                     Customer Receipts            BTI                     182,232.00
10/15199    Raytheon                                   Customer Receipts            Hamlin                    7,247.80
10/15/99    Regal Plastics                             Customer Receipts            Custom Trim              20,000.00
10/15/99    Suzuki                                     Customer Receipts            Maryville               278,710.58
10/15/99    Suzuki                                     Customer Receipts            SRS                       7,475.80
10/15/99    Xerox Manufacturing                        Customer Receipts            Hamlin                      632.00
Master1099                                                                                                 Page 2 of 5
</TABLE>
<PAGE>


                                 Cash Receipts
                 Bank of America - Master Account #81889-10116
                               October 1-31,1999

Note: The Debtors Master Account is tied to various lockboxes. The Debtor
records these receipts in the Master account, wherefore, to avoid duplicating
these transactions, all receipts tied to the Master Account are shown below.

<TABLE>
<CAPTION>
Date        Name/Description                           Deposit Type                Location                   Amount
----        ----------------                           ------------                --------                   ------
 <S>         <C>                                        <C>                         <C>                        <C>
10/15/99                                               Investment Interest                                        0.00
10/15/99    Various Customer Receipts                  Lockbox Deposit - 7545       Maryville             2,796,176.89
10/15/99    Various Customer Receipts                  Lockbox Deposit - 7549       BTI                     215,574.43
10/15/99    Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim             146,495.63
10/15/99    Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS             1,333,223.16
10/15/99    Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                   57,492.55
10/15/99    Various Customer Receipts                  Lockbox Deposit - 7581       SRS                   4.232,778.12
10/15/99    Greening Donald                            Trade Wire Returned          AP - Returned             9,841.55
10/16/99                                               Investment Interest                                        0.00
10/17/99                                               Investment Interest                                        0.00
10/18/99                                               Adjustment for Closed AP Accounts                      1,518.90
10/18/99    Daewoo                                     Customer Receipts            BTI                      34,019.72
10/18/99    Hyundai                                    Customer Receipts            SRS                       4,182.00
10/18/99                                               Investment Interest                                      862.38
10/18/99    Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim             720,087.59
10/18/99    Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS                 5,403.20
10/18/99    Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                  145,407.30
10/18/99    Various Customer Receipts                  Lockbox Deposit - 7581       SRS                   2,202,857.25
10/18/99    Ceridian Payroll Direct Deposit            Payroll Retumed              Returned                  2,256.80
10/19/99                                               Adjustment for Closed AP Accounts                      1,351.25
10/19/99                                               Adjustment for Closed AP Accounts                         77.00
10/19/99    Agritalia Spa                              Customer Receipts            BSS - USS                 4,835.16
10/19/99    Mando                                      Customer Receipts            BTI                     112,713.81
10/19/99    Mando                                      Customer Receipts            BTI                      91,489.17
10/19/99    Mando                                      Customer Receipts            BTI                      68,782.00
10/19/99    Mando                                      Customer Receipts            BTI                      59,290.00
10/19/99    Mando                                      Customer Receipts            BTI                      50,969.00
10/19/99    Mando                                      Customer Receipts            BTI                      13,231.50
10/19/99                                               Investment Interest                                      677.40
10/19/99    Various Customer Receipts                  Lockbox Deposit - 7549       BTI                     969,108.12
10/19/99    Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS                15,082.24
10/19/99    Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                   30,739.44
10/19/99    Various Customer Receipts                  Lockbox Deposit - 7581       SRS                       1,499.10
10/20/99    Returned Check                             Adjustment                   Check Deposit Adjust.       239.52
10/20/99    Daewoo                                     Customer Receipts            BTI                      61,320.00
10/20/99    Daewoo                                     Customer Receipts            Maryville                58,100.00
10/20/99    Nissan                                     Customer Recenots            BTI                     163,757.38
10/20/99    Xerox Mexicana                             Customer Receipts            Hamlin                    4,070.42
10/20/99                                               Investment Interest                                      517.84
10/20/99    Various Customer Receipts                  Lockbox Deposit - 7549       BTI                     395,907.56
10/20/99    Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                   63,492.43
10/20/99    Various Customer Receipts                  Lockbox Deposit - 7581       SRS                     313,113.22
10/20/99    Gibbs Wire and Steel                       Trade Wire Returned          AP - SRS (Returned check) 4,800.00
10/20/99    Misc Deposit                               Transfer from Debtor         Close of Suntrust Acct. 629,814.74
10/20/99    Hamlin Electronics Europe Limited (HEEL)   Transfer from Non-Debtor     Hamlin                1,000,000.00
10/21/99    Jabil Circuit Me                           Customer Receipts            Hamlin                    6,604.00
10/21/99    Mando                                      Customer Receipts            BTI                      81,037.34
10/21/99    Spectrum Industries                        Customer Receipts            Custom Trim              29,162.40
10/21/99                                               Investment Interest                                      374.31
10/21/99    Various Customer Receipts                  Lockbox Deposit - 7545       Maryville               165,990.78
10/21/99    Various Customer Receipts                  Lockbox Deposit - 7549       BTI                       5,681.76
10/21/99    Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim             103,891.93
10/21/99    Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS             2,110,740.52
Master1099                                                                                                 Page 3 of 5
</TABLE>
<PAGE>


                                 Cash Receipts
                 Bank of America - Master Account #81889-10116
                               October 1-31,1999

Note: The Debtors Master Account is tied to various lockboxes. The Debtor
records these receipts in the Master account, wherefore, to avoid duplicating
these transactions, all receipts tied to the Master Account are shown below.

<TABLE>
<CAPTION>
Date        Name/Description                           Deposit Type                 Location                  Amount
----        ----------------                           ------------                 --------                  ------
<S>         <C>                                        <C>                          <C>                       <C>
10/21/99    Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                  71,220.40
10/21/99    Various Customer Receipts                  Lockbox Deposit - 7581       SRS                    223,089.83
10/21/99    MOMO Spa                                   Transfer from Non-Debtor     BSS - USS                7,080.56
10/22/99                                               Adjustment for Closed AP Accounts                     1,351.25
10/22/99                                               Adjustment for Closed AP Accounts                       325.00
10/22/99    GM                                         Customer Receipts            SRS                  2,979,331.15
10/22/99    GM                                         Customer Receipts            SRS                      3,100.60
10/22/99    Hyundai                                    Customer Receipts            SRS                      8,382.00
10/22/99    Mando                                      Customer Receipts            BTI                    124,506.75
10/22/99    Spectrum Industries                        Customer Receipts            Custom Trim              1,152.40
10/22/99    Xerox Corp                                 Customer Receipts            Hamlin                   2,832.00
10/22/99                                               lnvestment Interest                                   2,235.52
10/22/99    Various Customer Receipts                  Lockbox Deposit - 7545       Maryville                9,052.98
10/22/99    Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim             75,484.74
10/22/99    Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS               45,310.84
10/22/99    Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                  35,997.60
10/22/99    Various Customer Receipts                  Lockbox Deposit - 7581       SRS                  2,332,650.01
10/23/99                                               lnvestment Interest                                       0.00
10/24/99                                               lnvestment Interest                                       0.00
10/25/99    Returned Check                             Adjustment                   Check Deposit Adjust.      122.34
10/25/99    Customer Receipts                          Customer Receipts            Hamlin                  63,868.15
10/25/99    GM                                         Customer Receipts            Custom Trim            426,293.54
10/25/99    Hui Ka Yan and Wong Wai Lin                Customer Receipts            BTI                    159,985.00
10/25/99    Hyundai                                    Customer Receipts            SRS                      3,482.00
10/25/99    Nao West                                   Customer Receipts            SRS                    834,396.23
10/25/99    Saturn                                     Customer Receipts            SRS                    206,185.98
10/25/99    Suzuki                                     Customer Receipts            Maryville              290,679.67
10/25/99    Suzuki                                     Customer Receipts            SRS                      4,348.90
10/25/99                                               lnvestment Interest                                     341.36
10/25/99    Various Customer Receipts                  Lockbox Deposit - 7545       Maryville              613,489.22
10/25/99   Various Customer Receipts                  Lockbox Deposit - 7549       BTI                     31,450.34
10/25/99    Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim             84,953.53
10/25/99    Various Customer Receipts                  Lockbox Deposit - 7570       BSS - USS              141,377.15
10/25/99    Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                  54,257.33
10/25/99    Various Customer Receipts                  Lockbox Deposit - 7581       SRS                    559,455.36
10/25/99    Ceridian Payroll Direct Deposit            Payroll Returned             Returned                   389.43
10/25/99    BREED Electronics LP                       Transfer from Debtor         Funding                150,000.00
10/26/99    Isuzu Motors                               Customer Receipts            SRS                    191,553.00
10/26/99    Mando                                      Customer Receipts            BTI                     23,148.00
10/26/99                                               lnvestment Interest                                     344.08
10/26/99    Various Customer Receipts                  Lockbox Deposit - 7545       Maryville                6,781.48
10/26/99    Various Customer Receipts                  Lockbox Deposit - 7574       Hamlin                  18,133.30
10/26/99    Various Customer Receipts                  Lockbox Deposit - 7581       SRS                     18,711.40
10/26/99    Ceridian Payroll Direct Deposit            Payroll Returned             Returned                   639.58
10/26/99    Ceridian Payroll Direct Deposit            Payroll Returned             Returned                   100.00
10/26/99    MOMO Spa                                   Transfer from Non-Debtor     BSS - USS               24,636.56
10/27/99                                               Adjustment for Closed AP Accounts                       155.74
10/27/99    GM                                         Customer Receipts            SRS                        437.40
10/27/99    Xerox Corp                                 Customer Receipts            Hamlin                     696.00
10/27/99    Xerox Mexicana                             Customer Receipts            Hamlin                  15,546.12
10/27/99    Misc Deposit                                                                                   402,426.83
10/27/99    Various Customer Receipts                  Lockbox Deposit - 7545       Maryville            1,512,773.84
10/27/99    Various Customer Receipts                  Lockbox Deposit - 7551       Custom Trim             59,293.33
Master1099                                                                                                Page 4 of 5
</TABLE>
<PAGE>


                                 Cash Receipts
                 Bank of America - Master Account #81889-10116
                               October 1-31,1999


Note:  The Debtors Master Account is tied to various lockboxes. The Debtor
records these receipts in the Master account, wherefore, to avoid duplicating
these transactions, all receipts tied to the Master Account are shown below.

<TABLE>
<CAPTION>
Date            Name/Description              Deposit Type               Location                        Amount
----            ----------------              ------------               --------                        ------
<S>             <C>                           <C>                        <C>                      <C>
10/27/99        Various Customer Receipts     Lockbox Deposit - 7570     BSS - USS                   172,557.71
10/27/99        Various Customer Receipts     Lockbox Deposit - 7574     Hamlin                       53,951.58
10/27/99        Various Customer Receipts     Lockbox Deposit - 7581     SRS                       2,214,151.43
10/27/99        MAB Industries                Trade Wire Returned        AP - Returned                 7,987.60
10/28/99                                      Adjustment for Closed AP Accounts                           36.75
10/28/99        Daewoo                        Customer Receipts          Maryville                   128,300.00
10/28/99        GM                            Customer Receipts          SRS                         146,964.62
10/28/99        GM                            Customer Receipts          SRS                             979.39
10/28/99        TDBK5916                      Customer Receipts          Custom Trim                 262,997.33
10/28/99        Various Customer Receipts     Lockbox Deposit - 7545     Maryville                 4,909,348.23
10/28/99        Various Customer Receipts     Lockbox Deposit - 7549     BTI                         387,552.00
10/28/99        Various Customer Receipts     Lockbox Deposit - 7570     BSS - USS                 2,258,047.29
10/28/99        Various Customer Receipts     Lockbox Deposit - 7574     Hamlin                       47,520.31
10/28/99        Various Customer Receipts     Lockbox Deposit - 7561     SRS                       7,650,318.22
10/29/99        Delphi                        Customer Receipts          Custom Trim               7,481,918.60
10/29/99        Hui Ka Yan and Wong Wai Lin   Customer Receipts          BTI                         110,185.00
10/29/99        Jabil Circuit Me              Customer Receipts          Hamlin                        2,080.00
10/29/99        Jaguar                        Customer Receipts          BTI                          30,303.36
10/29/99        Various Customer Receipts     Lockbox Deposit - 7549     BTI                         806,473.59
10/29/99        Various Customer Receipts     Lockbox Depos-t - 7551     Custom Trim                 205,125.16
10/29/99        Various Customer Receipts     Lockbox Deposit - 7570     BSS - USS                 1,243,791.20
10/29/99        Various Customer Receipts     Lockbox Deposit - 7574     Hamlin                       75,408.77
10/29/99        Various Customer Receipts     Lockbox Deposit - 7581     SRS                       3,332,734.09
                                                                                                  -------------
                                                                         TOTAL                    91,502,397.16
                                                                                                  -------------
Master1099                                                                                          Page 5 of 5
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

                                                             Cash Receipts
                                           Bank of America - Insurance Reserve #1233-1-21117
                                                          October 1-31, 1999


Date       Check Name                                     Reference                Description              Amount
----       ----- ----                                     ---------                -----------              ------
<S>        <C>                                            <C>                      <C>                      <C>
                NO ACTIVITY

                                                                                                               ---
                                                                          TOTAL                                000
                                                                                                               ---
</TABLE>


                                                            Masterl099
<PAGE>


                                 Cash Receipts
              Chase Bank - Collection Funding Account #808005863
                              October 1-31, 1999
<TABLE>
<CAPTION>
Date       Check     Name                                     Reference                Description               Amount
----       -----     ----                                     ---------                -----------               ------
<S>        <C>                                            <C>                      <C>                       <C>
                    NO ACTIVITY
                                                                                                                   ----
                                                                              TOTAL                                0.00
                                                                                                                   ----
</TABLE>
<PAGE>

                                 Cash Receipts
                         Bank One - Lockbox #0304-233
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date     Check Name                                       Reference                Description               Amount
----     ----- ----                                       ---------                -----------               ------
<S>      <C>   <C>                                        <C>                      <C>                       <C>
                NO ACTIVITY
                                                                                                               ----
                                                                           TOTAL                               0.00
                                                                                                               ----
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                           Cash Receipts
                                           CitiBank - Foreign Sales Account #0012754019
                                                        October 1-31, 1999


Date     Check Name                                       Reference                Description               Amount
----     ----- ----                                       ---------                -----------               ------
<S>      <C>   <C>                                        <C>                      <C>                       <C>
                NO ACTIVITY
                                                                                                               ----
                                                                           TOTAL                               0.00
                                                                                                               ----
</TABLE>


<PAGE>

<TABLE>
<CAPTION>
                                                             Cash Receipts
                                             SunTrust - Payroll Funding ZBA #625215850312
                                                          October 1-31, 1999


Date     Check Name                                       Reference                Description               Amount
----     ----- ----                                       ---------                -----------               ------
<S>      <C>   <C>                                        <C>                      <C>                       <C>
                NO ACTIVITY                                                                                    0.00
                                                                                                               ----
                                                                           TOTAL                               0.00
                                                                                                               ----
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                             Cash Receipts
                                             SunTrust - Payroll Funding #0215252163455
                                                          October 1-31, 1999


Date     Check Name                                       Reference                Description               Amount
----     ----- ----                                       ---------                -----------               ------
<S>      <C>   <C>                                        <C>                      <C>                       <C>
10/1/99         SunTrust Bank                                         Interest Income                      2,539.15
                                                                                                           --------
                                                                           TOTAL                           2,539.15
                                                                                                           --------
</TABLE>

<PAGE>

                                 Cash Receipts
                SunTrust - Flex Spending Account #0032020393720
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date         Check   Name                               Reference                Description                              Amount
----         -----   ----                               ---------                -----------                              ------
<S>          <C>     <C>                                <C>                      <C>                                   <C>
10/07/99             Transfer from Master Account                                To Fund Participant Checks            10,000.00
10/12/99             Transfer from Master Account                                To Fund Participant Checks             2,565.66
10/20/99             Transfer from Master Account                                To Fund Participant Checks             2,335.19
10/29/99             Transfer from Master Account                                To Fund Participant Checks             2,445.84
                                                                                                                       ---------
                                                                                 TOTAL                                 17,346.69
                                                                                                                       ---------
</TABLE>

<PAGE>

                                 Cash Receipts
               Smith Barney - Investment Account #2249201118351
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date     Check Name                                       Reference                Description               Amount
----     ----- ----                                       ---------                -----------               ------
<S>      <C>   <C>                                        <C>                      <C>                       <C>
                NO ACTIVITY
                                                                                                               ----
                                                                           TOTAL                               0.00
                                                                                                               ----
</TABLE>


<PAGE>

<TABLE>
<CAPTION>
                                 Cash Receipts
            National Westminster - UK Operations Account #63563630
                               October 1-31,1999
                              (converted to $USD)
Date      Check           Name                                      Reference               Description           Amount
----      -----           ----                                      ---------               -----------           ------
<S>       <C>             <C>                                       <C>                     <C>                   <C>
 10/4/99                  Miscellaneous Receipts                                                                   231.17
10/13/99                  Transfer from Breed Master Account                                                    62,985.00
10/27/99                  Miscellaneous Receipts                                                                   411.13
10/28/99                  Transfer from Breed Master Account                                                   140,887.50
                          Adjustment to US Dollars                                                              (3,578.80)
                                                                                                               -----------
                                                                           TOTAL                               200,936.00
                                                                                                               -----------
</TABLE>
<PAGE>

                                  Cash Receipts

                     ABN AMRO - Yen Account #000001352180JPY

                                October 1-31,1999

<TABLE>
<CAPTION>
Name                                                       Reference               Description       Amount
<S>                                                        <C>                     <C>               <C>
10/30/99     Adjustment to record previous period receipt & other reconciling items                       252,458.24
                                                                            TOTAL                         252,458.24
</TABLE>
<PAGE>

                                  Cash Receipts

                      ABN AMRO - Peso Account #071013000062

                               October 1-31, 1999

                               (Converted to $USD)

<TABLE>
<CAPTION>
Name                                                       Reference               Description          Amount
<S>                                                        <C>                     <C>                  <C>
 10/5/99     Transfer from Master Account                      Transfer from Debtor                     1,527,835.25
10/13/99     Transfer from Master Account                      Transfer from Debtor                     2,477,680.66
10/19/99     Transfer from Master Account                      Transfer from Debtor                     1,407,757.91
10/27/99     Transfer from Master Account                      Transfer from Debtor                     1,550,352.41
10/31/99     Adjustment & Dollar Conversion                                                                48,847.72
                                                                           TOTAL                        7,012,473.95
</TABLE>
<PAGE>

                                 Cash Receipts
               Smith Barney - Investment Account # 2249201118351
                                October 1-31,1999

<TABLE>
<CAPTION>
Date    Check         Name                                      Reference               Description            Amount
----    -----         ----                                      ---------               -----------            ------
<S>                   <C>                                       <C>                     <C>                     <C>
                      NO ACTIVITY
                                                                                                               ------
                                                                           TOTAL                                 0.00
                                                                                                               ------
</TABLE>
<PAGE>

                                 Cash Receipts
                Bank of China - Chinese Account #1001094200065
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date         Check   Name                               Reference                Description                              Amount
----         -----   ----                               ---------                -----------                              ------
<S>          <C>     <C>                                <C>                      <C>                                   <C>
10/18/99             Transfer from Master Account                                Transfer to Non-Debtor                 8,628.00
10/18/99             Adjustment from prior period                                                                       7,730.17
                                                                                                                       ---------
                                                                                 TOTAL                                 16,358.17
                                                                                                                       ---------
</TABLE>
<PAGE>

                                 Cash Receipts
                   CITIC of China - Chinese Account #109140
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date         Check   Name                               Reference                Description                              Amount
----         -----   ----                               ---------                -----------                              ------
<S>          <C>     <C>                                <C>                      <C>                                   <C>
10/18/99             Transfer from Master Account                                Transfer to Non-Debtor                30,660.00
10/18/99             Adjustment from prior period                                                                         334.00
                                                                                                                       ---------
                                                                                 TOTAL                                 30,994.00
                                                                                                                       ---------
</TABLE>

<PAGE>

                                 Cash Receipts
              San Paolo IMI - Italian Lire Account #N.13/9286278
                              October 1-31, 1999
                              (Converted to $USD)

<TABLE>
<CAPTION>
Date         Check   Name                               Reference                Description                              Amount
----         -----   ----                               ---------                -----------                              ------
<S>          <C>     <C>                                <C>                      <C>                                   <C>
10/18/99             Adjustment to Reflect Exchange Rate                                                                 (254.34)
                                                                                                                       ---------
                                                                                 TOTAL                                   (254.34)
                                                                                                                       ---------
</TABLE>

<PAGE>

                                 Cash Receipts
             Chase Bank - Breed Automotive LP Account #06700277467
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date         Check   Name                               Reference                Description                              Amount
----         -----   ----                               ---------                -----------                              ------
<S>          <C>     <C>                                <C>                      <C>                                   <C>
10/07/99             Transfer from Master Account                                                                      10,000.00
10/08/99             Transfer from Master Account                                                                       3,400.00
10/15/99             Cash Receipts                                                     PEBAC                              900.83
10/15/99             Transfer from Master Account                                                                       5,000.00
10/20/99             Transfer from Master Account                                                                      10,000.00
10/21/99             Transfer from Master Account                                                                       8,000.00
10/22/99             Cash Receipts                                              Coke-Cola Commission                       20.14
10/26/99             Transfer from Master Account                                                                      10,000.00
                                                                                                                       ---------
                                                                                 TOTAL                                 47,320.97
                                                                                                                       ---------
</TABLE>

<PAGE>


                                 Cash Receipts
                         Bank of America - Breed Automotive West, Inc.
                                 #000640057428
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date     Check Name                                       Reference                Description               Amount
----     ----- ----                                       ---------                -----------               ------
<S>      <C>   <C>                                        <C>                      <C>                       <C>
                NO ACTIVITY
                                                                                                               ----
                                                                           TOTAL                               0.00
                                                                                                               ----
</TABLE>


<PAGE>


                                 Cash Receipts
        Bank of America - Breed Electronics of Nevada, Inc. #370179376
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date     Check Name                                       Reference                Description               Amount
----     ----- ----                                       ---------                -----------               ------
<S>      <C>   <C>                                        <C>                      <C>                       <C>
                NO ACTIVITY
                                                                                                               ----
                                                                           TOTAL                               0.00
                                                                                                               ----
</TABLE>



<PAGE>

                                 Cash Receipts
                     Bank One - Hamlin Lockbox #020716585
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date         Check   Name                               Reference                Description                              Amount
----         -----   ----                               ---------                -----------                              ------
<S>          <C>     <C>                                <C>                      <C>                                   <C>
10/04/99             Lock box Remittance-Various         Hamlin                  Customer Receipts                      1,796.64
10/13/99             Lock box Remittance-Various         Hamlin                  Customer Receipts                      5,605.00
10/18/99             Lock box Remittance-Various         Hamlin                  Customer Receipts                        860.31
10/18/99             Lock box Remittance-Various         Hamlin                  Customer Receipts                      5,174.70
10/20/99             Lock box Remittance-Various         Hamlin                  Customer Receipts                        764.09
10/21/99             Lock box Remittance-Various         Hamlin                  Customer Receipts                     81,115.83

                                                                                                                       ---------
                                                                                 TOTAL                                 95,316.57
                                                                                                                       ---------
</TABLE>


<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date      Check     Name                                       Description/Location                              Amount
  ----      -----     ----                                       --------------------                              ------

<S>         <C>       <C>                                        <C>                                               <C>
 9/24/99    21172     Void Check                                                                                      (430.63)
 9/29/99    21242     Void Check                                                                                    (9,350.00)
 9/30/99    552061    Void Check                                 AP Checks SRS                                        (341.16)
 9/30/99    552069    Void Check                                 AP Checks SRS                                     (12,005.48)
 9/30/99    552070    Void Check                                 AP Checks SRS                                     (72,739.42)
 9/30/99    552077    Void Check                                 AP Checks SRS                                        (430.63)
 9/30/99    552078    Void Check                                 AP Checks SRS                                         (68.25)
 9/30/99    21265     Star Mfg Co.                               AP Checks SRS                                       3,000.00
 9/30/99    21292     Void Check                                                                                   (47,206.50)
 10/1/99    21303     3M Electrical Specia                       AP Checks SRS                                         487.00
10/01/99    WIRE      Abco Industries                            AP - SRS Wires                                      9,350.00
 10/1/99    10161     Action Welding Supply, Inc.                Lakeland A/P Check                                    430.51
10/01/99    WIRE      AiliedSignal                               AP - SRS Wires                                     18,440.00
 10/1/99    10162     Anchor Bay Pack.Corp                       Lakeland A/P Check                                  7,178.00
 10/1/99    21322     Apache Steel Co.                           AP Checks SRS                                       1,691.00
 10/1/99    21320     Aristocrat Stamping                        AP Checks SRS                                     253,150.00
10/01/99    WIRE      Atlantic Research                          A/P Lakeland Wires                                500,000.00
10/01/99    WIRE      Atlantic Tool and Die                      AP - SRS Wires                                     51,266.77
10/01/99    WIRE      Aztec Wire                                 A/P Lakeland Wires                                  9,464.00
 10/1/99    10159     Bax Global                                 Lakeland A/P Check                                    162.15
 10/1/99    10178     Bax Global                                 Lakeland A/P Check                                    470.86
 10/1/99    10163     Bi-Link Florida                            Lakeland A/P Check                                  4,415.00
 10/1/99    21319     Birchwood Steel Corp                       AP Checks SRS                                       1,259.60
 10/1/99    21310     Brior Auto Parts                           AP Checks SRS                                          25.90
 10/1/99    21297     Burlington Air Impor                       AP Checks SRS                                          32.50
 10/1/99    10164     Burns Int'L Security Svc.                  Lakeland A/P Check                                    946.68
10/01/99    WIRE      Camcar Textron                             AP - SRS Wires                                     11,221.20
10/01/99    Wire      Checks Clearing                            Payroll                                            27,366.34
10/01/99    WIRE      Consolidated Electric (Chemco)             A/P Lakeland Wires                                  7,623.84
 10/1/99    21317     Consolidated Products                      AP Checks SRS                                         573.73
 10/1/99    10165     Crest Ultrasonics                          Lakeland A/P Check                                 26,950.00
10/01/99    WIRE      Cuinba                                     A/P Lakeland Wires                                235,952.00
10/01/99    WIRE      Dale Electronics                           AP - Hamlin Wires                                   1,210.00
10/01/99    WIRE      Daytol Steel Service                       AP - SRS Wires                                     31,700.00
10/01/99    WIRE      Delphi Automotive                          A/P Lakeland Wires                                  3,656.30
10/01/99    WIRE      DJ Plastics                                AP - SRS Wires                                    500,000.00
 10/1/99    21298     Dupont Nylon                               AP Checks SRS                                     219,000.00
 10/1/99    21308     Dura Cast Incorporat                       AP Checks SRS                                      97,876.00
10/01/99    WIRE      Eaton Corp                                 AP - SRS Wires                                     27,700.00
 10/1/99    21304     Eclipse Mold, incorp                       AP Checks SRS                                     112,050.00
10/01/99    WIRE      Epic Resins                                A/P Lakeland Wires                                    607.60
10/01/99    WIRE      Essex Speciality Products                  A/P Lakeland Wires                                 11,819.52
 10/1/99    10176     Explosives Bureau                          Lakeland A/P Check                                  8,350.75
 10/1/99    21302     Fishercast                                 AP Checks SRS                                      22,081.50
 10/1/99    21325     Fishercast                                 AP Checks SRS                                      62,603.34
 10/1/99    21301     Framatome Connectors Interlo               AP Checks SRS                                      18,595.60
10/01/99    WIRE      GE Capital Services                        AP (FX - DEM) Wire                                  1,905.94
10/01/99    Wire      Gelco (Breed)                              Travel & Entertainment                                581.39
10/01/99    Wire      Gelco (SRS)                                Travel & Entertainment                              3,309.80
 10/1/99    21305     Greenway Chemical Co                       AP Checks SRS                                         368.50
10/01/99    WIRE      Grupo Vir S.A.                             A/P Lakeland Wires                                 15,000.00
10/01/99    WIRE      Hamlin Tool and Machine                    AP - SRS Wires                                     15,869.13
 10/1/99    21314     Heritage Tool & Mold                       AP Checks SRS                                      14,200.00
 10/1/99    10166     Hydraulic & Pneumatic Eng.                 Lakeland A/P Check                                    178.99
</TABLE>

Master Account 0999                                                 Page 1 of 71
<PAGE>

                               Cash Disbursements
                  Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
Account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date      Check     Name                                       Description/Location                                  Amount
  ----      -----     ----                                       --------------------                                  ------

<S>         <C>       <C>                                        <C>                                               <C>
 10/l/99    10167     li Vi Worldwide Inc                        Lakeland A/P Check                                  4,208.25
 10/1/99    21312     Industrial Belting & Supply                AP Checks SRS                                       9,000.00
 10/1/99    10168     Inovision Radiation Measurements           Lakeland A/P Check                                    194.20
 10/1/99    21316     Integrated Mfg & Dis                       AP Checks SRS                                       2,861.98
10/01/99    WIRE      Jackson Tube                               A/P Lakeland Wires                                 30,326.40
 10/1/99    21321     John Gillen Company                        AP Checks SRS                                     275,000.00
10/01/99    WIRE      Kantus Corp                                A/P Lakeland Wires                                120,000.00
 10/1/99    21324     L & L Products                             AP Checks SRS                                       5,760.00
 10/1/99    10169     Markem                                     Lakeland A/P Check                                    706.90
10/01/99    WIRE      Marshall Industries                        A/P Lakeland Wires                                  2,036.90
10/01/99    WIRE      Mayco Plastics                             A/P Lakeland Wires                                120,000.00
10/01/99    WIRE      Microplastics, Inc.                        A/P Lakeland Wires                                  3,626.10
 10/1/99    21299     Milliken                                   AP Checks SRS                                       3,998.40
 10/1/99    21315     Mim Industries                             AP Checks SRS                                     128,988.00
 10/1/99    10170     Newark Electronics/FI                      Lakeland A/P Check                                    159.51
 10/1/99    21318     North Coast Rivet                          AP Checks SRS                                       1,300.52
10/01/99    WIRE      Novatec                                    A/P Lakeland Wires                                  1,564.01
10/01/99    WIRE      Oberg Industries                           A/P Lakeland Wires                                  7,761.00
10/01/99    WIRE      OEA, Inc.                                  A/P Lakeland Wires                                232,334.49
10/01/99    WIRE      Paperworks                                 AP - SRS Wires                                      1,114.68
10/01/99    WIRE      Pasubio Spa                                A/P Lakeland Wires                                196,159.19
10/01/99    WIRE      Petro Extrusion Technologies               AP - SRS Wires                                     10,162.00
10/01/99    WIRE      Plastic Engineered Corp                    A/P Lakeland Wires                                  7,812.00
10/01/99    WIRE      Plasticolors                               A/P Lakeland Wires                                 35,000.00
 10/1/99    21323     Polymark Corporation                       AP Checks SRS                                      12,299.63
10/01/99    WIRE      Pressac, Inc.                              A/P Lakeland Wires                                  7,306.00
10/01/99    WIRE      Proforma Technigraphics                    A/P Lakeland Wires                                  5,511.15
10/01/99    WIRE      Progressive Moulded Products               A/P Lakeland Wires                                100,000.00
 10/1/99    21311     Pugh & Son, Inc.                           AP Checks SRS                                       3,447.40
10/01/99              Returned Check                             Check Deposit Adjustment                            2,174.65
10/01/99              Returned Check                             Check Deposit Adjustment                              150.63
10/01/99    WIRE      Rofin Sinar                                A/P Lakeland Wires                                115,500.00
 10/1/99    10171     Safety Shoe Distributors                   Lakeland A/P Check                                    294.61
 10/1/99    10179     Safety Shoe Distributors                   Lakeland A/P Check                                    294.61
10/01/99    WIRE      Sandusky, LTD                              A/P Lakeland Wires                                 11,490.32
10/01/99    WIRE      Security Plastics                          AP - SRS Wires                                    100,000.00
10/01/99    WIRE      SFS Stadler                                AP - SRS Wires                                     38,478.75
10/01/99    WIRE      SGM Armtek                                 A/P Lakeland Wires                                  2,341.60
 10/1/99    21300     Sonoco Products Comp                       AP Checks SRS                                       1,801.90
 10/1/99    21309     Sound Packaging, Llc                       AP Checks SRS                                       2,454.61
 10/1/99    21326     Southeast Plastics C                       AP Checks SRS                                      47,206.50
 10/1/99    21313     Steel Heddle                               AP Checks SRS                                         391.34
10/01/99    WIRE      Stevens Co                                 A/P Lakeland Wires                                  1,950.00
10/01/99    WIRE      Suncoast Tool and Gage                     A/P Lakeland Wires                                  3,190.00
10/01/99    WIRE      Techstaff                                  A/P Lakeland Wires                                 11,216.00
 10/1/99    10172     Tox Pressotechnik                          Lakeland A/P Check                                  6,635.00
 10/1/99    10174     Trinary Systems Inc                        Lakeland A/P Check                                 10,036.80
 10/1/99    10173     Tri-Star Industries                        Lakeland A/P Check                                  1,771.25
 10/1/99    10175     Uline                                      Lakeland A/P Check                                    468.53
 10/1/99    21306     Us Filter                                  AP Checks SRS                                       8,427.26
10/01/99    WIRE      Velcro USA, Inc.                           AP - SRS Wires                                     10,000.00
 10/1/99    10177     Void                                       Lakeland A/P Check                                      0.00
 10/4/99    10180     A Touch Of Class                           Lakeland A/P Check                                    100.00
 10/4/99    21330     Actwu Southern Regi.                       AP Checks SRS                                       1,115.38

Master Account 0999                                                                                             Page 2 of 71
</TABLE>
<PAGE>

                               Cash Disbursements
                  Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date     Check    Name                               Description/Location                            Amount
  ----     -----    ----                               ----------------------                          ------

<S>        <C>      <C>                                <C>                                         <C>
10/04/99   Wire     ADP Payroll Tax                    Payroll Tax                                  40,378.82
10/04/99   Wire     ADP Payroll Tax                    Payroll Tax                                  78,037.70
10/04/99   WIRE     Alcoa Fujikura. LTD                AP - SRS Wires                              250,000.00
10/04/99   WIRE     AlliedSignal, Inc.                 AP - SRS Wires                              699,922.00
10/04/99   WIRE     Ashland Chemical                   A/P Lakeland Wires                            4,692.00
10/04/99   WIRE     Associated Spring                  AP - SRS Wires                               10,400.00
10/04/99   WIRE     Atlantic Tool and Die              AP - SRS Wires                               29,188.69
10/04/99   WIRE     Berger Sieba                       AP - SRS (FX - DEM)                          24,262.10
10/04/99   WIRE     Berger Sieba                       AP - SRS (FX - DEM)                          13,031.68
 10/4/99   21328    Blount County Clerk & Master       AP Checks SRS                                    42.00
 10/4/99   21338    Bobier Tool Supply, Inc.           AP Checks SRS                                 3,539.95
 10/4/99   21354    Bradford Industries                AP Checks SRS                                45,649.32
10/04/99   WIRE     Cambridge                          AP - SRS Wires                               26,000.00
 10/4/99   21339    Cardell Corporation                AP Checks SRS                                 4,842.30
 10/4/99   21327    Chapter 13                         AP Checks SRS                                 1,032.00
10/04/99   Wire     Checks Clearing                    Payroll                                     223,519.93
10/04/99   WIRE     Companent Plastics                 A/P Lakeland Wires                            2,812.50
 10/4/99   21346    D & G Dyes. Inc.                   AP Checks SRS                                 2,904.00
 10/4/99   21351    Eclipse Mold Incorp                AP Checks SRS                                81,800.00
 10/4/99   21337    Fisher Corp                        AP Checks SRS                               168,000.00
 10/4/99   21349    Flexible Metal Products            AP Checks SRS                               200,000.00
10/04/99   Wire     Gelco (Breed)                      Travel & Entertainment                          471.49
10/04/99   Wire     Gelco (SRS)                        Travel & Entertainment                          889.29
10/04/99   WIRE     Greening Donald Co                 A/P Lakeland Wires                           27,768.87
 10/4/99   21344    Greenville Hardware                AP Checks SRS                                 3,000.00
10/04/99   WIRE     GT Speciality Fasteners            AP - SRS Wires                              208,302.19
10/04/99   WIRE     Hamlin Tool and Machine            AP - SRS Wires                               32,053.88
 10/4/99   21345    Integrated Mfg & Dis               AP Checks SRS                                 9,103.50
 10/4/99   21352    Integrated Mfg & Dis               AP Checks SRS                                12,407.60
10/04/99   WIRE     ITW Theilex                        A/P Lakeland Wires                              511.53
 10/4/99   21335    Jeff Young                         AP Checks SRS                                 1,264.65
10/04/99   WIRE     Key Plastic                        AP - SRS Wires                                4,984.29
 10/4/99   21353    King Industrial                    AP Checks SRS                                   991.25
 10/4/99   21333    Knox County Juvenile Court         AP Checks SRS                                   334.66
 10/4/99   21334    Knox County Juvenile Court         AP Checks SRS                                   414.66
 10/4/99   21343    Knox Rag Service                   AP Checks SRS                                   389.70
 10/4/99   21347    Metal Parts                        AP Checks SRS                                40,000.00
10/04/39   WIRE     Micro-Line Associates              A/P Lakeland Wires                            5,460.00
 10/4/99   21348    Mold Rite Tool Inc.                AP Checks SRS                                64,620.24
 10/4/99   21340    Motor City Door Company            AP Checks SRS                                 1,800.00
10/04/99   WIRE     NEU Dynamics Corp                  A/P Lakeland Wires                           35,300.00
10/04/99   WIRE     Pax Machine                        AP - SRS Wires                               72,000.00
 10/4/99   21336    Progressive Stamping               AP Checks SRS                                   678.35
 10/4/99   21342    Ring Screw Works                   AP Checks SRS                                 4,152.59
10/04/99   WIRE     Special Devices, Inc               A/P Lakeland Wires                           10,360.00
10/04/99   WIRE     Star Manufacturing                 AP - SRS Wires                                3,895.00
 10/4/99   21350    Superior Plastics                  AP Checks SRS                                 1,058.30
10/04/99   WIRE     Talley Defense                     A/P Lakeland Wires                            3,650.00
10/04/99   WIRE     Tennessee Tape and Label           A/P Lakeland Wires                           10,000.00
 10/4/99   21331    Thomas Harris                      AP Checks SRS                                   204.83
 10/4/99   21329    Tong Sop Kim                       AP Checks SRS                                   167.68
10/04/99   WIRE     Tremont                            A/P Lakeland Wires                           21,167.50
10/04/99   WIRE     TTL Corp                           AP - SRS Wires                               45,000.00
10/04/99   WIRE     Unique Molded Products             AP - SRS Wires                              244,809.64

Master Account 0999                                                                              Page 3 of 71
</TABLE>
<PAGE>

                               Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date     Check    Name                               Description/Location                             Amount
  ----     -----    ----                               ----------------------                           ------

<S>        <C>      <C>                                <C>                                          <C>
10/04/99   WIRE     US Filter                          A/P Lakeland Wires                            23,760.00
 10/4/99   21341    Us Wire & Rope                     AP Checks SRS                                 36,523.00
 10/4/99   10181    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10182    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10183    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10184    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10185    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10186    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10187    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10188    Void                               Lakeland A/P Check                                 0.00
 10/4/99   13189    Void                               Lakeland A/P Check                                 0.00
 10/4/35   13190    Void                               Lakeland A/P Check                                 0.00
 10/4/99   13191    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10192    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10193    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10194    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10195    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10196    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10197    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10198    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10199    Void                               Lakeland A/P Check                                 0.00
 10/4/99   10903    Void                               Lakeland A/P Check                                 0.00
10/04/99   WIRE     Whittar Steel                      AP - SRS Wires                               220,000.00
10/04/99   WIRE     Wire Technologies. Inc.            AP - SRS Wires                                30,000.00
10/04/99   BREED    Automotive LP                      Transfer from Debtor                          10,000.00
10/04/99   BREED    France                             Transfer From Non-Debtor                     170,172.07
10/05/99   WIRE     Acabados Ideal                     A/P Lakeland Wires                            10,000.00
 10/5/99   21370    Acheson Colloids                   AP Checks SRS                                  2,445.00
 10/5/99   602252   Alvaro Saldana                     Hamilin A/P Check                                 62.75
10/05/99   WIRE     American Express Travel            A/P Lakeland Wires                            20,000.00
 10/5/99   602253   Ansoft Corporation                 Hamilin A/P Check                              5,684.34
 10/5/99   21359    Aramark Corp - Allie               AP Checks SRS                                 10,000.00
 10/5/99   602254   Aramark Uniform Services           Hamilin A/P Check                                363.49
 10/5/99   21385    Arizona Pneumatic                  AP Checks SRS                                    890.00
10/05/99   WIRE     Associated Spring                  AP - SRS Wires                                10,500.00
10/05/99   WIRE     Atlantic Research                  A/P Lakeland Wires                           500,000.00
10/05/99   WIRE     Atlantic Tool and Die              AP - SRS Wires                                12,777.28
10/05/99   WIRE     Autoliv Japan LTD                  A/P Lakeland Wires                             2,864.16
 10/5/99   602255   Bank One, Milwaukee, N.A.          Hamilin A/P Check                                338.53
 10/5/99   10200    Bax Global                         Lakeland A/P Check                               121.79
 10/5/99   602256   Bear Marketing, Inc.               Hamilin A/P Check                              6,444.89
 10/5/99   602257   Bob Dean Inc.                      Hamilin A/P Check                              4,319.20
 10/5/99   602258   Bowen, Jim                         Hamilin A/P Check                                 52.13
 10/5/99   632359   Bralin, Inc.                       Hamilin A/P Check                              1,056.26
 10/5/99   602260   Brenda Eckhardt                    Hamilin A/P Check                                  6.50
 10/5/99   602261   British Standards Inst Inc         Hamilin A/P Check                                236.71
 10/5/99   21355    Burlington Air Impor               AP Checks SRS                                    195.30
 10/5/99   21384    Cadillac Plastics Gr               AP Checks SRS                                    355.00
 10/5/99   21365    Camatron Sewing Mach               AP Checks SRS                                    455.47
10/05/99   WIRE     Camcar Textron                     A/P Lakeland Wires                             4,323.60
 10/5/99   21372    Camcar Textron                     AP Checks SRS                                    350.00
10/05/99   WIRE     Carpenter Technology               A/P Lakeland Wires                            38,624.44
 10/5/99   10201    Carrol Circuit Court Clerk         Lakeland A/P Check                               130.00
10/05/99   WIRE     Century Fasteners                  A/P Lakeland Wires                             9,330.00

Master Account 0999                                                                               Page 4 of 71
</TABLE>
<PAGE>

                               Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date    Check     Name                                    Description/Location                       Amount
  ----    -----     ----                                    --------------------                       ------

<S>       <C>       <C>                                     <C>                                    <C>
10/05/99  Wire      Ceridian Payroll Direct Deposit         Payroll                                 60,132.43
10/05/99  Wire      Ceridian Payroll Direct Deposit         Payroll                                 24,296.50
10/05/99  Wire      Ceridian Payroll Direct Deposit         Payroll                                 14,689.13
10/05/99  Wire      Ceridian Payroll Direct Deposit         Payroll                                  6,392.59
10/05/99  Wire      Checks Clearing                         Payroll                                 82,709.64
10/05/99  WIRE      Chemical Tech, Inc.                     A/P Lakeland Wires                         228.75
 10/5/99  602262    Chris Hamilton                          Hamilin A/P Check                          411.15
10/05/99  WIRE      Cincinnati, Inc.                        AP - SRS Wires                          12,527.00
 10/5/99  602263    Cinderella/Sheps Cleaning               Hamilin A/P Check                        1,573.85
 10/5/99  602264    Coakley, Boyd & Abbett, Inc.            Hamilin A/P Check                        4,921.17
 10/5/99  602265    Coakley, Boyd & Abbett, Inc.            Hamilin A/P Check                        1,265.19
 10/5/99  602266    Conrads Sentry Foods                    Hamilin A/P Check                          174.19
 10/5/99  21379     Cookeville Plating                      AP Checks SRS                            2,044.72
10/05/99  WIRE      Daytol Steel Service                    AP - SRS Wires                           5,790.00
 10/5/99  10202     Dean, Christopher M.                    Lakeland A/P Check                       5,400.00
 10/5/99  602267    Design Technology Sales                 Hamilin A/P Check                        3,072.29
 10/5/99  21357     Detroit Tubular Rive                    AP Checks SRS                            3,268.29
10/05/99  WIRE      Donaciano Olivares                      A/P Lakeland Wires                      15,000.00
 10/5/99  602268    Dun & Bradstreet                        Hamilin A/P Check                          749.26
10/05/99  WIRE      Dupont                                  AP - SRS Wires                          35,711.70
 10/5/99  21377     Duramatic                               AP Checks SRS                           79,000.00
 10/5/99  21358     El Paso Industrial Supplies             AP Checks SRS                           21,203.45
 10/5/99  21387     Elizabeth Webbing                       AP Checks SRS                            2,343.16
 10/5/99  10203     Empire Electronics                      Lakeland A/P Check                      17,698.88
10/05/99  WIRE      Engineered Plastic                      A/P Lakeland Wires                       9,412.17
 10/5/99  21366     Ewald Instruments                       AP Checks SRS                              240.62
 10/5/99  21356     Eyelematic Mfg. Co.,                    AP Checks SRS                            2,515.00
 10/5/99  21375     Felton Brush Incorpo                    AP Checks SRS                           14,254.10
 10/5/99  10204     Figley Die                              Lakeland A/P Check                         520.00
 10/5/99  21364     Fin Clair Corporatio                    AP Checks SRS                          200,000.00
 10/5/99  21363     Fishertech                              AP Checks SRS                            4,125.00
 10/5/99  21369     Flexible Metal Products                 AP Checks SRS                           37,000.00
 10/5/99  10205     Ford Motor Credit                       Lakeland A/P Check                          50.00
10/05/99  WIRE      Framatone Group                         A/P Lakeland Wires                       6,720.00
10/05/99  Wire      Gelco (Breed)                           Travel & Entertainment                     240.82
10/05/99  Wire      Gelco (SRS)                             Travel & Entertainment                     251.10
10/05/99  WIRE      Genesis Molding                         A/P Lakeland Wires                       2,755.22
 10/5/99  602269    Gfc Leasing Co.                         Hamilin A/P Check                        1,527.82
10/05/99  WIRE      Gibbs Wire and Steel                    AP - SRS Wires                          12,598.30
 10/5/99  602270    Gmac                                    Hamilin A/P Check                          516.38
 10/5/99  602271    Gosoeck. Robert                         Hamilin A/P Check                           68.54
 10/5/99  602272    Groh Associates                         Hamilin A/P Check                        2,930.59
 10/5/99  10206     Guang Hong                              Lakeland A/P Check                       3,200.00
 10/5/99  602273    Guru Karunakaran                        Hamilin A/P Check                          475.49
10/05/99  WIRE      Hamlin Tool and Machine                 AP - SRS Wires                          12,507.10
 10/5/99  10207     Herr Industrial Metals Co               Lakeland A/P Check                         475.49
 10/5/99  602274    Howard Precision Metals, Inc            Hamilin A/P Check                           24.50
10/05/99  WIRE      Hytech Spring                           AP - Hamlin Wires                        3,320.35
10/05/99  WIRE      Industrial Electrical                   A/P Lakeland Wires                      88,871.95
 10/5/99  21361     Industrial Metal Coating                AP Checks SRS                              200.00
 10/5/99  21371     International Paper                     AP Checks SRS                          150,000.00
 10/5/99  602275    Jefferson Cnty Human Resourc            Hamilin A/P Check                           44.00
 10/5/99  602276    Johnson Matthey                         Hamilin A/P Check                        4,007.20
10/05/99  WIRE      Kane Magnetics                          A/P Lakeland Wires                      62,491.08

Master Account 0999                                                                              Page 5 of 71
</TABLE>
<PAGE>

                               Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date    Check     Name                                    Description/Location                       Amount
  ----    -----     ----                                    --------------------                       ------
<S>       <C>       <C>                                     <C>                                    <C>
 10/5/99   602277   Kane Magnetics International            Hamilin A/P Check                        8,011.08
10/05/99     WIRE   Kauffmen Products                       AP - SRS Wires                         314,362.00
 10/5/99   602278   Keith Eirich                            Hamilin A/P Check                           17.95
 10/5/99   602279   Kevin Oconnor                           Hamilin A/P Check                           39.22
 10/5/99   602280   Kris Towhig                             Hamilin A/P Check                          103.16
 10/5/99    21373   L & L Products                          AP Checks SRS                            5,937.64
 10/5/99   602281   Laureen Niedfeldt                       Hamilin A/P Check                           26.04
 10/5/99   602282   Lee, Jill                               Hamilin A/P Check                           42.00
 10/5/99    10208   Lps International                       Lakeland A/P Check                         678.00
 10/5/99   602283   Ltd Technologies                        Hamilin A/P Check                        3,313.25
 10/5/99    10209   Mac Millan Bloedel Containers           Lakeland A/P Check                         176.00
 10/5/99   602284   Mace Tool LIc                           Hamilin A/P Check                        1,065.00
 10/5/99   602285   Main Auto Supply, Inc.                  Hamilin A/P Check                           21.78
 10/5/99   602286   Mark Lessner                            Hamilin A/P Check                            4.00
 10/5/99   602287   Mike Marasch                            Hamilin A/P Check                           31.40
 10/5/99    21368   Montgomery Rubber &                     AP Checks SRS                              338.60
 10/5/99   602288   Murry, Mike                             Hamilin A/P Check                        7,444.60
10/05/99     WIRE   National Metal Processing               AP - SRS Wires                          25,000.00
 10/5/99   602289   Naudain Assoc.lnc.                      Hamilin A/P Check                          698.10
 10/5/99    21386   Naumann Material Handling               AP Checks SRS                              570.00
10/05/99     WIRE   Nippon Carbide                          A/P Lakeland Wires                      32,027.60
10/05/99     WIRE   Nylock Fasteners                        AP - SRS Wires                           4,137.00
 10/5/99   602290   Office Technology Inc.                  Hamilin A/P Check                          400.00
10/05/99     WIRE   Otto Bock                               A/P Lakeland Wires                      91,089.60
 10/5/99    10210   Oxford Lumber                           Lakeland A/P Check                         188.68
10/05/99     WIRE   PD George                               A/P Lakeland Wires                         611.20
 10/5/99    10211   Perrnabond Int'L.                       Lakeland A/P Check                       1,642.30
10/05/99     WIRE   Pesa Labeling Systems                   A/P Lakeland Wires                       7,402.00
 10/5/99    21381   Picanol Of America                      AP Checks SRS                            3,780.87
 10/5/99   602291   Pizza Pit                               Hamilin A/P Check                           18.57
10/05/99     WIRE   PN Farrar Enterprises                   A/P Lakeland Wires                       7,080.00
10/05/99     WIRE   Polychase                               A/P Lakeland Wires                       4,750.00
 10/5/99   602292   Proforma Technigraphics                 Hamilin A/P Check                          656.67
 10/5/99    21362   Proto Gage Tool & Die, Inc.             AP Checks SRS                          105,200.00
 10/5/99   602293   R.K. Sales                              Hamilin A/P Check                        4,725.16
10/05/99     WIRE   Ramcel Engineering                      AP - SRS Wires                          26,196.80
10/05/99     WIRE   RB&W Metal Forming                      A/P Lakeland Wires                      18,000.00
 10/5/99   602294   Registration Fee Trust                  Hamilin A/P Check                           45.00
 10/5/99   602295   Renee Osborne                           Hamilin A/P Check                           80.54
 10/5/99   602296   Rettschlag, Jode                        Hamilin A/P Check                          336.48
 10/5/99   602297   Reyna. Charlotte                        Hamilin A/P Check                           19.85
 10/5/99   602298   Richard J Chiapete                      Hamilin A/P Check                           12.00
 10/5/99    21388   Rochester Tube Produ                    AP Checks SRS                            8,025.00
 1O/5/99   602299   Roi Systems, Inc.                       Hamilin A/P Check                        3,565.91
 10/5/99   602300   Rush & West                             Hamilin A/P Check                        3,177.96
 10/5/99   602301   Ruth Ingersoll                          Hamilin A/P Check                           71.61
 10/5/99   602302   Ruthann Moldenhauer                     Hamilin A/P Check                           50.27
 10/5/99    10212   Safety Kleen (Bartow) Inc.              Lakeland A/P Check                       6,216.00
 10/5/99    10213   Safety Shoe Distributors                Lakeland A/P Check                         580.72
 10/5/99   602303   Sales & Engineering Assoc.ln            Hamilin A/P Check                        2,734.95
 10/5/99   602304   Sarah Heussner                          Hamilin A/P Check                           61.74
 10/5/99   602305   Schoen, Tom                             Hamilin A/P Check                           10.39
 10/5/99   602306   Schwans Sales                           Hamilin A/P Check                          177.04
 10/5/99   602307   Sentry Floral Shop                      Hamilin A/P Check                           39.56

Master Account 0999                                                                              Page 6 of 71
</TABLE>
<PAGE>

                              Cash Disbursements
                  Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date    Check     Name                                    Description/Location                         Amount
  ----    -----     ----                                    --------------------                         ------

<S>       <C>       <C>                                     <C>                                    <C>
10/05/99  WIRE      Sherwin Williams                        A/P Lakeland Wires                        30,000.00
 10/5/99  602308    Shirley Hofer                           Hamilin A/P Check                             18.68
 10/5/99  602309    Simplex Time Recorder Co.               Hamilin A/P Check                            317.59
 10/5/99  21382     Sirco Rubber Company                    AP Checks SRS                                551.88
 10/5/99  21383     Sloan Fluid Accessor                    AP Checks SRS                              1,282.89
10/05/99  WIRE      Sofanou, Inc.                           A/P Lakeland Wires                         4,344.22
10/05/99  WIRE      Speedline Technologies, Inc.            A/P Lakeland Wires                           797.00
 10/5/99  21360     Star Mfg Co.                            AP Checks SRS                            200,000.00
 10/5/99  10214     Tampa Pallet                            Lakeland A/P Check                           445.50
 10/5/99  21367     Taumel Assembly Syst                    AP Checks SRS                                995.00
 10/5/99  21378     Tennessee Coatings                      AP Checks SRS                             70,000.00
 10/5/99  602311    Terry Radloff                           Hamilin A/P Check                             21.50
 10/5/99  602312    Texport Electronic Sales Co.            Hamilin A/P Check                          3,933.63
 10/5/99  21376     Time Controls, Inc                      AP Checks SRS                             41,767.40
 10/5/99  602313    Topel'S Lakeside Service                Hamilin A/P Check                             10.55
 10/5/99  10215     Trinary Systems Inc                     Lakeland A/P Check                         6,046.00
10/05/99  WIRE      Tri-Way Engineering                     A/P Lakeland Wires                        57,580.00
 10/5/99  602314    Tsr Wireless-Madison                    Hamilin A/P Check                             83.56
 10/5/99  602315    U.S. Cellular                           Hamilin A/P Check                             78.88
10/05/99  WIRE      Uni-Trade, Inc.                         A/P Lakeland Wires                           837.00
10/05/99  WIRE      US Filter                               A/P Lakeland Wires                        11,880.00
 10/5/99  602316    Vernexx                                 Hamilin A/P Check                          2,547.69
 10/5/99  602250    Void Check                              Hamilin A/P Check                              0.00
 10/5/99  602251    Void Check                              Hamilin A/P Check                              0.00
 10/5/99  602318    Wagenpfeil, Hans                        Hamilin A/P Check                             16.50
10/05/99  WIRE      Walker Wire                             A/P Lakeland Wires                         5,300.00
 10/5/99  602319    Wallace Electronic Sales, In            Hamilin A/P Check                          2,947.22
10/05/99  WIRE      Weiss-Aug                               A/P Lakeland Wires                        11,498.56
10/05/99  WIRE      Westbrook Mfg                           A/P Lakeland Wires                         1,593.40
 10/5/99  602320    Westrep                                 Hamilin A/P Check                            109.81
 10/5/99  10216     Xpedx - Tampa                           Lakeland A/P Check                           689.79
10/05/99  ABN-AMRO/Mexican Disbursement Acct                Transfer From Non-Debtor               1,527,835.25
10/05/99  Adjustment for Closed AP Accounts                                                               16.23
10/05/99  Adjustment for Closed AP Accounts                                                            1,524.16
 10/6/99  10217     Accent Business Products                Lakeland A/P Check                            37.10
10/06/99  WIRE      AlliedSignal, Inc.                      AP - SRS Wires                             9,272.50
 10/6/99  21394     Anderson Photo And Trophy               AP Checks SRS                                146.88
 10/6/99  602321    Application Equipment                   Hamilin A/P Check                            358.34
 10/6/99  10218     Argent Automotive Systems Inc           Lakeland A/P Check                        53,430.00
10/06/99  Wire      ASB - Salaried                          Employee Contribution                     19,410.95
10/06/99  Wire      ASB - Salaried                          PNC Bank - 401(k) Loan                     5,046.01
10/06/99  Wire      ASB - Salaried                          401 (k) Plan Match                         6,646.41
10/06/99  WIRE      Atlantic Tool and Die                   AP - SRS Wires                            15,346.37
10/06/99  WIRE      Autoliv Japan LTD                       A/P Lakeland Wires                         1,214.72
10/06/99  WIRE      BankAmerica                             Bank Fees                                    457,57
10/06/99  WIRE      Berger Sieba                            AP - SRS (FX - DEM)                       34,132.55
 10/6/99  10219     Blount County Courthouse                Lakeland A/P Check                            89.25
 10/6/99  21392     Bobier Tool Supply, Inc.                AP Checks SRS                                188.85
10/06/99  Wire      BTI                                     Employee Contribution                     73,311.09
10/06/99  Wire      BTI                                     PNC Bank - 401(k) Loan                    11,127.44
10/06/99  Wire      BTI                                     401 (k) Plan Match                        25,641.80
10/06/99  Wire      BTI - Hamlin                            Employee Contribution                     12,558.55
10/06/99  Wire      BTI - Hamlin                            PNC Bank - 401(k) Loan                       591.72
10/06/99  Wire      BTI - Hamlin                            401 (k) Plan Match                         4,357.73

Master Account 0999                                                                                Page 7 of 71
</TABLE>
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
Date                Check            Name                                Description/Location                    Amount
----                -----            ----                                ----------------------                  ------
<S>                 <C>              <C>                                 <C>                                  <C>
10/6/99             21389            Burlington Air Impor                AP Checks SRS                            56.76
10/06/99            WIRE             Camcar Textron                      AP - SRS Wires                       26,934.55
10/06/99            WIRE             Camcar Textron                      AP - SRS Wires                       10,270.73
10/06/99            Wire             Ceridian Payroll Direct Deposit     Payroll                             509,274.75
10/06/99            Wire             Ceridian Payroll Direct Deposit     Payroll                             118,488.62
10/06/99            Wire             Ceridian Payroll Direct Deposit     Payroll                              57,931.08
10/06/99            Wire             Ceridian Payroll Direct Deposit     Payroll                              35,204.50
10/06/99            Wire             Ceridian Payroll Direct Deposit     Payroll                              20,339.87
10/06/99            Wire             Ceridian Payroll Direct Deposit     Payroll                               9,396.69
10/06/99            Wire             Ceridian Payroll Direct Deposit     Payroll                               3,347.63
10/06/99            Wire             Ceridian Payroll Direct Deposit     Payroll                               1,640.11
10/06/99            Wire             Checks Clearing                     Payroll                              48,102.04
10/06/99            WIRE             Chester Precision Co                A/P Lakeland Wires                   64,033.20
10/06/99            WIRE             Cimtak                              A/P Lakeland Wires                  104,191.00
10/6/99             21390            Clariant                            AP Checks SRS                           475.00
10/6/99             10220            Clerk Of The Court                  Lakeland A/P Check                    3,256.19
10/6/99             21399            Coatings Removal Tech.              AP Checks SRS                         2,608.40
10/06/99            WIRE             Daytol Steel Service                AP - SRS Wires                       50,000.00
10/06/99            WIRE             Dynax                               A/P Lakeland Wires                   37,057.00
10/6/99             21401            Eclipse Mold, Incorp                AP Checks SRS                        40,483.34
10/6/99             10221            Educational Credit Mgmt             Lakeland A/P Check                       53.01
10/06/99            WIRE             Elliott Tape                        A/P Lakeland Wires                    3,183.84
10/06/99            WIRE             Ferro                               A/P Lakeland Wires                   17,526.00
10/06/99            Wire             Gelco (Breed)                       Travel & Entertainment                1,971.45
10/06/99            Wire             Gelco (SRS)                         Travel & Entertainment                2,888.49
10/06/99            WIRE             Gibbs Die Casting                   A/P Lakeland Wires                  675,000.00
10/6/99             10222            Graybar Electnc                     Lakeland A/P Check                       69.31
10/06/99            WIRE             Great West - Medical                BREED                                34,513.43
10/06/99            WIRE             Great West - Medical                BSRS                                  2,643.50
10/06/99            Wire             Great West - Medical                Hamlin, Inc.                         18,738.38
10/06/99            WIRE             Hamlin Tool and Machine             AP - SRS Wires                       10,174.99
10/6/99             10223            Has, Inc                            Lakeland A/P Check                   11,660.00
10/6/99             21402            Header Products                     AP Checks SRS                        33,485.87
10/06/99            WIRE             HM Company                          A/P Lakeland Wires                    4,161.40
10/6/99             602324           Hydrite Chemical Co                 Hamilin A/P Check                        34.95
10/6/99             21403            Integrated Mfg & Dis                AP Checks SRS                       151,445.34
10/06/99            WIRE             Kane Magnetics                      A/P Lakeland Wires                   12,451.32
10/6/99             10224            Lab Safety Supply                   Lakeland A/P Check                      602.81
10/6/99             602322           Lab Safety Supply                   Hamilin A/P Check                        67.67
10/06/99            WIRE             Manpower                            AP - Hamlin Wires                     8,000.00
10/6/99             21393            Maya Plastics. Inc.                 AP Checks SRS                         4,000.00
10/6/99             10225            Mc Gee Tire Stores                  Lakeland A/P Check                      287.72
10/6/99             21404            Micro Systems. Int.                 AP Checks SRS                           755.53
10/6/99             21396            Mis Computer Corporation            AP Checks SRS                           270.00
10/6/99             21397            Mold Rite Tool Inc.                 AP Checks SRS                        31,035.76
10/06/99            WIRE             Narricot Industries                 AP - SRS Wires                       13,758.48
10/06/99            WIRE             Oberg Industries                    A/P Lakeland Wires                   13,265.77
10/6/99             10226            Office Of Chapter 13 Trustee        Lakeland A/P Check                      633.20
10/06/99            WIRE             Perfection Spring Stamping          AP - SRS Wires                        1,223.10
10/06/99            WIRE             Piolax                              A/P Lakeland Wires                      701.12
10/6/99             21405            Pittsburgh Paint                    AP Checks SRS                         2,591.74
10/6/99             10227            Proto Gage Tool & Die               Lakeland A/P Check                   23,000.00
10/6/99             21398            Pumps, Compressors &                AP Checks SRS                         3,573.96
10/06/99            WIRE             Pyrotechnic                         A/P Lakeland Wires                   20,327.40

Master Account 0999                                                                                        Page 8 of 71
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                     Cash Disbursements
                                       Bank of America - Master Account #81889-10116
                                                     October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master account
wherefore,  to avoid duplicating these  transactions,  all disbursements tied to
the Master Account are shown below.

Date           Check     Name                                      Description/Location                          Amount
----           -----     ----                                      ----------------------                        ------
<S>            <C>       <C>                                       <C>                                        <C>
10/6/99        10228     Rb&W Logistics                            Lakeland A/P Check                            649.95
10/6/99        10229     Remedy Inteligent Staffing                Lakeland A/P Check                          5,760.00
10/06/99                 Returned Check                            Check Deposit Adjustment                      220.63
10/06/99       WIRE      Roadway Express                           A/P Lakeland Wires                          4,939.34
10/06/99       WIRE      Sonoco Products                           AP - SRS Wires                              2,800.00
10/6/99        21395     Southland Sign Supplies                   AP Checks SRS                                 235.60
10/6/99        21391     Southwestern Industries Inc               AP Checks SRS                                 404.67
10/6/99        10230     St. Petersburg Steel                      Lakeland A/P Check                            239.60
10/6/99        10231     Summit Machine Builders                   Lakeland A/P Check                            256.52
10/06/99       WIRE      Tenneco Package, Inc.                     A/P Lakeland Wires                         90,000.00
10/6/99        21400     Therm Alliance Co.                        AP Checks SRS                                 445.09
10/06/99       WIRE      Thomson Precision Ball                    A/P Lakeland Wires                         15,795.00
10/06/99       WIRE      Ticona                                    A/P Lakeland Wires                         59,807.80
10/06/99       WIRE      Tremont                                   A/P Lakeland Wires                         25,817.66
10/06/99       WIRE      TRW Automotive Electronics                A/P Lakeland Wires                         51,000.00
10/6/99        602323    Wright Brothers Paper Box Co              Hamilin A/P Check                             186.45
10/06/99       WIRE      Yazaki North America                      A/P Lakeland Wires                          1,729.92
10/06/99       WIRE      Yazaki North America                      AP - SRS Wires                             10,000.00
10/06/99       Adjustment for Closed AP Accounts                                                                 696.77
10/06/99       Adjustment for Closed AP Accounts                                                               1,154.95
10/07/99       WIRE      3M                                        AP - SRS Wires                              6,974.07
10/07/99       WIRE      A. Schulman                               A/P Lakeland Wires                        118,080.20
10/7/99        21415     A. Schulman Plastics                      AP Checks SRS                                 810.00
10/7/99        10232     Action Staffing                           Lakeland A/P Check                          1,716.80
10/7/99        552098    Actwu Southern Regl.                      AP Checks SRS                               1,094.82
10/7/99        552099    Advance Paperworks Inc.                   AP Checks SRS                                 375.00
10/07/99       WIRE      Aegis Technologies, Inc.                  A/P Lakeland Wires                         62,305.50
10/07/99       WIRE      AJ Automation                             AP - SRS Wires                             52,235.00
10/7/99        10233     Allen Circuit Court                       Lakeland A/P Check                             40.00
10/7/99        602325    American Freightways                      Hamilin A/P Check                              55.51
10/7/99        552100    Ameritech                                 AP Checks SRS                                  61.23
10/07/99       WIRE      Ampex Federal Credit Union                AP - SRS Wires                              1,245.31
10/7/99        21406     Apollo Chemical Corp                      AP Checks SRS                               4,506.60
10/7/99        10234     Applied Industrial Technology             Lakeland A/P Check                            327.22
10/7/99        552154    Assessment Systems Inc                    AP Checks SRS                                 415.00
10/07/99       WIRE      Atlantic Research                         A/P Lakeland Wires                        700,000.00
10/07/99       WIRE      Atlantic Tool and Die                     AP - SRS Wires                             22,449.88
10/7/99        552106    Automatic Spring Pro                      AP Checks SRS                              39,976.16
10/7/99        552107    Autosplice, Inc.                          AP Checks SRS                                 154.50
10/7/99        21408     Batson Yarn                               AP Checks SRS                               1,599.20
10/7/99        10235     Benefit One Of America                    Lakeland A/P Check                          2,801.00
10/7/99        10236     Bluecross & Blueshield Of Tx, Inc         Lakeland A/P Check                         18,332.71
10/7/99        10237     Bohne Spring Ind. Ltd.                    Lakeland A/P Check                          8,642.23
10/7/99        21419     Border States Electr                      AP Checks SRS                               1,425.88
10/7/99        552109    Butler County Circuit Court               AP Checks SRS                                 766.00
10/7/99        552110    Butler County Dept H                      AP Checks SRS                                 306.00
10/7/99        552160    C.B. Lay Customs Bro                      AP Checks SRS                               8,439.73
10/7/99        21412     Cadillac Plastics Gr                      AP Checks SRS                                 690.00
10/07/99       WIRE      Carpenter Technology                      A/P Lakeland Wires                         37,820.22
10/7/99        10238     Carrol Circuit Court Clerk                Lakeland A/P Check                            130.00
10/7/99        10239     Center/Child Support Receipt. Unit        Lakeland A/P Check                            403.86
10/7/99        552116    Central Child Support                     AP Checks SRS                                 774.27
10/7/99        21429     Central Kentucky Pro                      AP Checks SRS                              17,645.40
10/07/99       Wire      Ceridian Payroll Tax                      Payroll Tax                               288,052.35

Master Account 0999                                                                                        Page 9 of 7l
</TABLE>
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>

  Date     Check    Name                                       Description/Location                      Amount
  ----     -----    ----                                       --------------------                      ------
<S>        <C>      <C>                                        <C>                                   <C>
10/07/99   Wire     Ceridian Payroll Tax                       Payroll Tax                            72,365.11
10/07/99   Wire     Ceridian Payroll Tax                       Payroll Tax                            47,103.07
10/07/99   Wire     Ceridian Payroll Tax                       Payroll Tax                            27,338.93
10/07/99   Wire     Ceridian Payroll Tax                       Payroll Tax                            27,274.35
10/07/99   Wire     Ceridian Payroll Tax                       Payroll Tax                            23,748.05
10/07/99   Wire     Ceridian Payroll Tax                       Payroll Tax                             5,290.59
10/07/99   Wire     Ceridian Payroll Tax                       Payroll Tax                               909.36
10/07/99   Wire     Ceridian Payroll Tax                       Payroll Tax                               868.36
 10/7/99   552208   Chapter 13                                 AP Checks SRS                           1,020.67
 10/7/99   552118   Chapter 13 Trustee                         AP Checks SRS                             100.00
10/07/99   Wire     Checks Clearing                            Payroll                                17,176.46
 10/7/99   552123   Child Support Clerk                        AP Checks SRS                             400.00
 10/7/99   10240    Cleannghouse                               Lakeland A/P Check                        100.00
 10/7/99   10241    Clerk Of Circuit Court                     Lakeland A/P Check                      1,340.88
 10/7/99   10242    Clerk Of The Court                         Lakeland A/P Check                      3,324.49
 10/7/99   552120   Club Leconte                               AP Checks SRS                              73.00
 10/7/99   552121   Consumers Energy                           AP Checks SRS                              29.14
 10/7/99   21426    Contours Incorporated                      AP Checks SRS                          34,912.74
 10/7/99   552122   Cookevilie Plating                         AP Checks SRS                             541.36
 10/7/99   10243    Cuyanoga County                            Lakeland A/P Check                        214.74
 10/7/99   552124   Davis Hose & Supply                        AP Checks SRS                              19.20
 10/7/99   552125   Distinctive Maintenance Inc.               AP Checks SRS                             320.00
 10/7/99   10244    District Clerk'S Office                    Lakeland A/P Check                        350.00
 10/7/99   10245    District Clerk'S Office                    Lakeland A/P Check                        209.54
10/07/99   WIRE     Diversey Lever                             A/P Lakeland Wires                      8,804.40
 10/7/99   552199   Dixie Numerics Llc                         AP Checks SRS                             167.45
 10/7/99   21414    Dj Incorporated                            AP Checks SRS                         250,000.00
 10/7/99   21413    Dj Plastics                                AP Checks SRS                         250,000.00
 10/7/99   21423    Dsi Security Service                       AP Checks SRS                           8,348.74
 10/7/99   552126   Dudek And Bock Sprin                       AP Checks SRS                          13,009.75
 10/7/99   552131   El Paso Electric Co.                       AP Checks SRS                           1,720.83
 10/7/99   21422    El Paso Industrial Supplies                AP Checks SRS                           6,728.42
 10/7/99   10246    Electrical Mechanical Drives               Lakeland A/P Check                      1,860.84
10/07/99   WIRE     FedEx Cargo                                A/P Lakeland Wires                     42,000.00
 10/7/99   552135   Ferguson Inc.                              AP Checks SRS                           3,123.18
 10/7/99   552139   Fisher Dynamics                            AP Checks SRS                          19,368.72
 10/7/99   10247    Ford Motor Credit                          Lakeland A/P Check                         50.00
 10/7/99   552141   Fragomen, Del Rey & Bernsen                AP Checks SRS                             948.00
 10/7/99   552142   Free-Gate Fasteners                        AP Checks SRS                          11,020.99
 10/7/99   10248    Friend Of The Court                        Lakeland A/P Check                        193.50
 10/7/99   10249    Friend Of The Court                        Lakeland A/P Check                        425.50
 10/7/99   10250    Friend Of The Court                        Lakeland A/P Check                        241.50
 10/7/99   10251    Friend Of The Court                        Lakeland A/P Check                      1,201.50
 10/7/99   10252    Friend Of The Court                        Lakeland A/P Check                        229.50
 10/7/99   10253    Friend Of The Court                        Lakeland A/P Check                        613.00
 10/7/99   10254    Gaffin Environmental Services              Lakeland A/P Check                     11,950.00
10/07/99   Wire     Gelco (Breed)                              Travel & Entertainment                  2,600.99
10/07/99   Wire     Gelco (SRS)                                Travel & Entertainment                  1,169.02
 10/7/99   552143   General Labels                             AP Checks SRS                           2,877.40
 10/7/99   552144   General Sessions Court                     AP Checks SRS                             321.08
 10/7/99   552145   General Telephone So                       AP Checks SRS                              11.32
 10/7/99   602328   General Wire & Stamping Co                 Hamilin A/P Check                      24,721.67
 10/7/99   552146   Gerber Technology                          AP Checks SRS                             133.65
 10/7/99   21427    Gleneagle Textiles, Inc.                   AP Checks SRS                           1,952.50

Master Account 0999                                                                               Page l0 of 7l
</TABLE>
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31,1 999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
   Date         Check         Name                                    Description / Location                           Amount
   ----         -----         ----                                    ----------------------                           ------
   <S>          <C>           <C>                                     <C>                                          <C>
    10/7/99     10255         Gulf Controls                           Lakeland A/P Check                                93.61
    10/7/99     552150        H & L Tool                              AP Checks SRS                                     72.00
   10/07/99     WIRE          Hai Plating                             A/P Lakeland Wires                            16,190.30
   10/07/99     WIRE          Hamlin Tool and Machine                 AP - SRS Wires                                 8,076.64
    10/7/99     552152        Havels Inc                              AP Checks SRS                                    212.50
    10/7/99     10256         Health Alliance Plan                    Lakeland A/P Check                            43,874.55
    10/7/99     10257         Hisco Tx.                               Lakeland A/P Check                            30,248,88
    10/7/99     10258         Howard, Robert                          Lakeland A/P Check                             1,294.32
    10/7/99     21421         Industrial Technology Supply            AP Checks SRS                                  4,826.28
    10/7/99     10259         Interim Tech. Staffing Solutions        Lakeland A/P Check                             2,472.00
    10/7/99     10261         Internal Revenue Service                Lakeland A/P Check                                50.00
    10/7/99     552156        Jackson Spring & Man                    AP Checks SRS                                    773.56
    10/7/99     552170        Jakob Muller Of Amer                    AP Checks SRS                                    298.63
    10/7/99     552108        James A. Carroll                        AP Checks SRS                                    236.25
    10/7/99     10262         John Deere Heath Plan Inc               Lakeland A/P Check                           148,404.35
    10/7/99     10263         Jugar Electronics                       Lakeland A/P Check                               951.30
   10/07/99     WIRE          Kendall Electric, Inc.                  A/P Lakeland Wires                            14,065.65
    10/7/99     552157        Knox County 4Th Circuit Ct.             AP Checks SRS                                    211.05
    10/7/99     552158        Knox County Chancery Court              AP Checks SRS                                     68.25
    10/7/99     552159        Knox County Juvenile Court              AP Checks SRS                                    238.61
   10/07/99     WIRE          Koa Speer                               A/P Lakeland Wires                             5,487.50
   10/07/99     WIRE          Kreher Steel Co                         A/P Lakeland Wires                             3,000.00
    10/7/99     21435         Laidlaw Environmental                   AP Checks SRS                                  1,200.00
   10/07/99     WIRE          Legget Platt                            A/P Lakeland Wires                             2,808.60
    10/7/99     21428         Lenmar Chemical Company                 AP Checks SRS                                 12,375.00
    10/7/99     552162        Lucent Technologies                     AP Checks SRS                                    396.50
   10/07/99     WIRE          MAB Industries                          A/P Lakeland Wires                             1,484.00
    10/7/99     10264         Macmillan Bloedel Containers            Lakeland A/P Check                            11,439.81
    10/7/99     552165        Mcmaster Carr Supply                    AP Checks SRS                                    924.05
    10/7/99     552166        Metal Express                           AP Checks SRS                                    223.03
   10/07/99     WIRE          Methode Electronics                     A/P Lakeland Wires                           284,644.96
    10/7/99     1026S         Milton J. Wood Co.                      Lakeland A/P Check                             5,500.00
    10/7/99     552168        Mind Matters Seminars                   AP Checks SRS                                     60.00
    10/7/99     552169        Motion Industries                       AP Checks SRS                                    867.86
   10/07/99     WIRE          Muelier Brass                           A/P Lakeland Wires                            76,952.69
    10/7/99     21425         New Bedford Thread                      AP Checks SRS                                  2,860.00
    10/7/99     552173        New Dimension. Inc.                     AP Checks SRS                                  3,565.20
    10/7/99     10266         Newark Electronics/FI                   Lakeland A/P Check                               151.83
    10/7/99     552174        North Coast Rivet                       AP Checks SRS                                  1,250.77
    10/7/99     21410         Northern Diecast Cor                    AP Checks SRS                                159,817.70
    10/7/99     10267         Northern Diecast Corp                   Lakeland A/P Check                            50,022.01
    10/7/99     10268         Office Of The Atty General              Lakeland A/P Check                               198.00
    10/7/99     21434         Olymco Incorporated                     AP Checks SRS                                  1,608.00
    10/7/99     21433         Orbitform Inc.                          AP Checks SRS                                  1,747.00
   10/07/99     WIRE          Ornl Federal Credit Union               AP - SRS Wires                                 8,471.90
    10/7/99     10269         P & R Fasteners                         Lakeland A/P Check                               491.40
    10/7/99     21430         Packaging Services Of Tn                AP Checks SRS                                 60,000.00
    10/7/99     21431         Pax Machine Works, I                    AP Checks SRS                                 75,352.86
   10/07/99     WIRE          PD George Co                            AP - Hamlin Wires                              4,022.25
    10/7/99     552176        Perfection Powder Co                    AP Checks SRS                                  1,386.00
    10/7/99     21411         Perfection Services                     AP Checks SRS                                  1,083.00
    10/7/99     552178        Peterson Manufacturi                    AP Checks SRS                                  2,488.70
    10/7/99     552179        Pinton Engineering                      AP Checks SRS                                    768.00
   10/07/99     WIRE          PLS                                     A/P Lakeland Wires                           400,000.00


Master Account      0999                                                                                        Page 11 of 71
</TABLE>
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date    Check    Name                                     Description/Location                        Amount
  ----    -----    ----                                     --------------------                        ------
<S>       <C>      <C>                                      <C>                                     <C>
 10/7/99  10270    Pnc Bank                                 Lakeland A/P Check                       22,924.64
 10/7/99  552180   Polymer Menscnen                         AP Checks SRS                             2,263.42
 10/7/99  10271    Potts, Kathleen                          Lakeland A/P Check                          500.00
 10/7/99  552182   Primex Plastics Corp                     AP Checks SRS                            11,355.44
 10/7/99  552183   Prologis Trust                           AP Checks SRS                            12,820.45
 10/7/99  552185   Qad, Inc. Americas R                     AP Checks SRS                           179,470.67
 10/7/99  552187   Randy'S Bobcat Excavating                AP Checks SRS                               300.00
 10/7/99  21424    Rb&W Corporation                         AP Checks SRS                             1,078.89
10/07/99  WIRE     Reed Switch Developments                 AP - Hamlin Wires                         2,765.62
 10/7/99  552186   Ref Alabama. Inc.                        AP Checks SRS                             6,601.93
 10/7/99  552189   Regal Steel Company                      AP Checks SRS                            12,367.75
 10/7/99  21407    Regency Plastics, Inc.                   AP Checks SRS                           400,000.00
 10/7/99  602327   Reid Tool Supply                         Hamilin A/P Check                            56.58
10/07/99           Returned Check                           Check Deposit Adjustment                  9,195.00
 10/7/99  10272    Rita Temporaries                         Lakeland A/P Check                          518.90
 10/7/99  21416    Robert A Denton Inc                      AP Checks SRS                             3,146.20
 10/7/99  552195   Sandvik Steel - Scri                     AP Checks SRS                            15,625.97
 10/7/99  552196   Sandvik Steel - Wire                     AP Checks SRS                               450.84
 10/7/99  10273    Selectcare                               Lakeland A/P Check                       72,105.38
 10/7/99  21418    Sound Packaging. Llc                     AP Checks SRS                             5,096.00
 10/7/99  21417    Southwestern Automation                  AP Checks SRS                             3,979,45
10/07/99  WIRE     Stevens Co                               A/P Lakeland Wires                       37,800.00
 10/7/99  552202   Sullivan County General                  AP Checks SRS                               176.67
10/07/99  Wire     SunTrust                                 Flex Spending                            10,000.00
 10/7/99  10274    Superior Credit Serv                     Lakeland A/P Check                           78.53
 10/7/99  21409    Superior Plastics                        AP Checks SRS                             4,070.40
 10/7/99  10275    Tarrant County                           Lakeland A/P Check                          230.77
10/07/99  WIRE     TCT Stainless Steel                      AP - SRS Wires                           54,714.99
 10/7/99  10276    Texas Guaranteed Student                 Lakeland A/P Check                          154.00
10/07/99  WIRE     The Berquist Co.                         A/P Lakeland Wires                        1,686.00
 10/7/99  10277    The J.D. Allen Group                     Lakeland A/P Check                        3,419.00
10/07/99  WIRE     Truline, inc.                            AP - Hamlin Wires                         5,462.00
 10/7/99  552205   U.S. Department Of Education             AP Checks SRS                               110.97
 10/7/99  552206   Ultraform Industries                     AP Checks SRS                             2,283.53
 10/7/99  10278    Unifirst Corporation                     Lakeland A/P Check                          175.06
10/07/99  WIRE     Unisource Canada                         A/P Lakeland Wires                       40,237.50
 10/7/99  552207   United Way Of Greater Knox               AP Checks SRS                                80.40
 10/7/99  10279    Unum                                     Lakeland A/P Check                       17,256.15
 10/7/99  21420    Varosa Company                           AP Checks SRS                             2,228.10
 10/7/99  10260    Void                                     Lakeland A/P Check                            0.00
 10/7/99  552201   W Merritt Structural                     AP Checks SRS                               390.00
 10/7/99  602325   Wright Brotners Paper Box Co             Hamilin A/P Check                         4,000.00
 10/7/99  10280    Wssr                                     Lakeland A/P Check                          291.31
 10/7/99  552211   Xpedx                                    AP Checks SRS                             5,483.23
 10/7/99  21432    Yellow Freight System                    AP Checks SRS                             1,258.70
10/08/99  WIRE     A.l. Credit Corp                         A/P Lakeland Wires                      170,631.13
 10/8/99  10282    Aa Electric                              Lakeland A/P Check                          176.21
 10/8/99  10283    Aaa Industrial Supply                    Lakeland A/P Check                           58.53
 10/8/99  10284    Acabados Ideal                           Lakeland A/P Check                        7,390.43
 10/8/99  10285    Ace Bolt & Screw Co.                     Lakeland A/P Check                           28.15
 10/8/99  10287    Acs Industries, Inc.                     Lakeland A/P Check                       24,078.38
 10/8/99  10416    Action Welding Supply, Inc.              Lakeland A/P Check                        2,015.92
 10/8/99  10288    Aep                                      Lakeland A/P Check                        1,174.29
 10/8/99  10289    Air Centers Of Florida, Inc.             Lakeland A/P Check                        1,121.90

Master Account 0909                                                                              Page 12 of 71
</TABLE>
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date      Check   Name                                 Description/Location                           Amount
  ----      -----   ----                                 --------------------                           ------
<S>         <C>     <C>                                  <C>                                        <C>
 10/8/99    21457   Alabama Power                        AP Checks SRS                               11,222.52
 10/8/99    10291   Alcatel Vacuum Prod                  Lakeland A/P Check                             456.00
10/08/99    WIRE    Alcoa Fujikura, LTD                  AP - SRS Wires                             250,000.00
 10/8/99    10292   Alexanderwork, Inc.                  Lakeland A/P Check                             174.54
10/08/99    WIRE    Alpha Gary                           A/P Lakeland Wires                          10,730.50
 10/8/99    10293   Alphagraphics                        Lakeland A/P Check                             578.76
 10/8/99    21442   American Electronic                  AP Checks SRS                               41,910.00
 10/8/99    10417   American Freightways                 Lakeland A/P Check                             384.65
 10/9/99    602329  American Freightways                 Hamilin A/P Check                              225.51
 10/8/99    10295   Ameritech                            Lakeland A/P Check                             318.19
 10/8/99    10296   Amp, Inc.                            Lakeland A/P Check                           2,767.35
 10/8/99    10432   Applied Industrial Technology        Lakeland A/P Check                             245.24
 10/8/99    602342  Aramark Uniform Services             Hamilin A/P Check                              309.15
10/08/99    WIRE    ArrowHead Industrial                 A/P Lakeland Wires                          14,601.88
 10/8/99    10297   Ashland Chemical                     Lakeland A/P Check                           2,730.00
 10/8/99    10298   Astro Molding Co.                    Lakeland A/P Check                           8,676.50
 10/8/99    10299   At&T                                 Lakeland A/P Check                           1,542.73
 11/8/99    10300   Atlantic Electronics                 Lakeland A/P Check                             380.08
10/08/99    WIRE    Atlantic Research                    A/P Lakeland Wires                         300,000.00
10/08/99    WIRE    Atlantic Tool and Die                AP - SRS Wires                              42,356.91
 10/8/99    602343  Atty Frank J. Endejan                Hamilin A/P Check                              103.04
 10/8/99    10301   Autoliv Asp Inc                      Lakeland A/P Check                          59,472.00
 10/8/99    10302   Automatic Data Processing            Lakeland A/P Check                           1,737.28
 10/8/99    10303   Automatic Spring Prod.               Lakeland A/P Check                             310.00
10/08/99    WIRE    Avery                                A/P Lakeland Wires                          25,500.00
 10/8/99    10418   Bartec Us Corp                       Lakeland A/P Check                           1,473.43
 10/8/89    10315   Bell South                           Lakeland A/P Check                           6,091.70
 10/8/99    10306   Bohne Spring Ind. Ltd.               Lakeland A/P Check                           1,813.90
 10/8/99    602344  Braas Company                        Hamilin A/P Check                              127.85
 10/8/99    10308   Bridgestone Apm Co                   Lakeland A/P Check                          15,086.00
 10/8/99    10309   Briggs Weaver                        Lakeland A/P Check                             935.00
 10/8/99    21440   Brior Auto Parts                     AP Checks SRS                                  500.00
 10/8/99    10311   Buccaneer Blueprint                  Lakeland A/P Check                             321.18
 10/8/99    21436   Burlington Air Impor                 AP Checks-SRS                                   56.28
 10/8/99    10312   C & H Distributors, Inc.             Lakeland A/P Check                             299.92
10/08/99    WIRE    Camcar Textron                       A/P Lakeland Wires                           2,776.80
 10/8/99    10419   Carden Industrial Group              Lakeland A/P Check                             797.50
 10/8/99    10313   Cellnet                              Lakeland A/P Check                             152.45
10/08/99    WIRE    Century Fasteners                    A/P Lakeland Wires                           9,330.00
 10/8/99    10316   Certified Calibrations Inc.          Lakeland A/P Check                             156.00
 10/8/99    602345  Chapter 13 Trustee                   Hamilin A/P Check                               62.00
10/08/99    Wire    Checks Clearing                      Payroll                                     15,788.66
10/08/99    WIRE    Chemical Products Corp               A/P Lakeland Wires                           4,015.00
 10/8/99    10317   Circuit Controls Corp                Lakeland A/P Check                             235.44
 10/8/99    602346  City Of Lake Mills                   Hamilin A/P Check                              472.19
 10/8/99    10318   Cms Hartzell                         Lakeland A/P Check                          16,908.48
 10/8/99    10319   Cole-Parmer Instrument Co.           Lakeland A/P Check                             107.73
 10/8/99    10320   Computer Sales Intl                  Lakeland A/P Check                             211.97
10/08/99    WIRE    Comtrex                              A/P Lakeland Wires                           1,914.10
 10/8/99    10321   Consolidated Plastics Company        Lakeland A/P Check                             281.82
 10/8/99    10420   Cook Spring                          Lakeland A/P Check                             764.00
 10/8/99    10322   Copper State Bolt Co                 Lakeland A/P Check                             565.20
 10/8/99    10323   Corporate Express Imaging            Lakeland A/P Check                             924.00
 10/8/99    10324   Covinglon Box                        Lakeland A/P Check                           2,587.20
Master Account 0999                                                                              Page 13 of 71
</TABLE>
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
   Date       Check   Name                                     Description / Location                         Amount
   ----       -----   ----                                     ----------------------                         ------
   <S>        <C>     <C>                                      <C>                                         <C>
    10/8/99   602347  Cpn Corp                                 Hamilin A/P Check                            1,088.55
    10/8/99   10325   Crowley Tool Company                     Lakeland A/P Check                             291.30
    10/8/99   10326   Cuyanoga Steel & Wire                    Lakeland A/P Check                           1,947.01
   10/08/99   WIRE    Dale Electronics                         A/P Lakeland Wires                           2,700.00
   10/08/99   WIRE    Dale Electronics                         AP - Hamlin Wires                            2,420.00
    10/8/99   10327   Davenport Machine                        Lakeland A/P Check                             345.50
    10/8/99   602348  Deaken Technical Sales                   Hamilin A/P Check                            1,524.16
    10/8/99   10328   Deli Delicacies                          Lakeland A/P Check                              87.58
    10/8/99   10329   Delphi Packard                           Lakeland A/P Check                          13,013.10
    10/8/99   10331   Dexter Safety & Industrial Products      Lakeland A/P Check                           5,770.70
    10/8/99   21441   Dianne'S Carpet Clea                     AP Checks SRS                                1,776.10
    10/8/99   10332   Dixie Tool Co.                           Lakeland A/P Check                              13.50
   10/08/99   WIRE    Dixon Tool Co                            A/P Lakeland Wires                         120,345.00
    10/8/99   10333   Dlf Container                            Lakeland A/P Check                           8,778.00
    10/8/99   10334   Donbar Service Corp                      Lakeland A/P Check                          11,600.00
    10/8/99   10335   Drawform (ltw)                           Lakeland A/P Check                           8,183.97
    10/8/99   10336   Dsi Sewing Machine Supplies              Lakeland A/P Check                             508.00
    10/8/99   21456   Dynacast Canada Inc.                     AP Checks SRS                               16,767.19
    10/8/99   21453   Dynacast Inc.                            AP Checks SRS                                8,000.00
    10/8/99   21454   Dynacast, Inc.                           AP Checks SRS                               61,274.88
    10/8/99   21443   Eclipse Mold, Incorp                     AP Checks SRS                              128,050.00
    10/8/99   10338   Electrical Mechanical Drives             Lakeland A/P Check                           1,488.00
    10/8/99   10339   Ellsworth Adhesives Systems              Lakeland A/P Check                           1,110.20
    10/8/99   10433   Emj Industrial                           Lakeland A/P Check                           3,193.25
   10/08/99   WIRE    Engelhard                                AP - Hamlin Wires                           41,711.63
   10/08/99   WIRE    Epic Resins                              A/P Lakeland Wires                             607.60
   10/08/99   WIRE    Esec                                     A/P Lakeland Wires                           7,790.40
    10/8/99   10340   Essex Specialty Prod. Inc                Lakeland A/P Check                             738.72
    10/8/99   602349  Exacto Spring                            Hamilin A/P Check                           10,964.16
    10/8/99   602351  Flambeau Micro Co                        Hamilin A/P Check                           38,287.43
    10/8/99   10341   Florida Flag & Pennant                   Lakeland A/P Check                             134.67
    10/8/99   10342   Four Points Hotel                        Lakeland A/P Check                             156.20
    10/8/99   10343   Fredenck Barone                          Lakeland A/P Check                             783.80
    10/8/99   10421   Fusoni, Sa De Cv                         Lakeland A/P Check                          57,600.00
    10/8/99   10344   G.E. Plastics                            Lakeland A/P Check                          24,750.00
    10/8/99   10345   Gaiser Tool Company                      Lakeland A/P Check                           1,353.00
    10/8/99   21458   Gary Jennings Welding                    AP Checks SRS                                3,296.00
   10/08/99   Wire    Gelco (Breed)                            Travel & Entertainment                       1,202.70
   10/08/99   Wire    Gelco (SRS)                              Travel & Entertainment                       3,963.23
   10/08/99   WIRE    Gibbs Wire and Steel                     AP - SRS Wires                              29,172.00
    10/8/99   21451   Gleneagle Textiles, Inc.                 AP Checks SRS                                  950.00
    10/8/99   10346   Global Industrial                        Lakeland A/P Check                              42.35
    10/8/99   10422   Git Office Plus                          Lakeland A/P Check                           1,121.48
    10/8/99   10347   Goshen Rubber Co                         Lakeland A/P Check                           1,576.00
    10/8/99   10348   Grainger, Inc. - FI                      Lakeland A/P Check                             276.87
   10/08/99   WIRE    Greer Steel Co                           AP - SRS Wires                               3,977.52
    10/8/99   10349   Greif Bros. Corporation                  Lakeland A/P Check                           6,416.00
    10/8/99   10350   Gte North                                Lakeland A/P Check                          10,888.44
    10/8/99   10434   Gulf Controls                            Lakeland A/P Check                               7.99
   10/08/99   WIRE    Hamlin Tool and Machine                  AP - SRS Wires                               8,536.85
   10/08/99   WIRE    Hasco Components                         A/P Lakeland Wires                          28,400.00
   10/08/99   WIRE    Hitachi Metals                           AP - Hamlin Wires                           26,075.50
    10/8/99   10352   Ii Vi Worldwide Inc                      Lakeland A/P Check                           4,208.25
    10/8/99   10353   Industrial Elec Wire & Cable             Lakeland A/P Check                           8,517.50

Master Account 0999                                                                                    Page 14 of 71
</TABLE>
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

 Note: The Debtors Master Account is tied to various Zero-Balance Accounts,
     which fund disbursements. The Debtor records these disbursements in the
     Master account, wherefore, to avoid duplicating these transactions, all
     disbursements tied to the Master Account are shown below.

<TABLE>
<CAPTION>
   Date      Check    Name                                     Description / Location                        Amount
   ----      -----    ----                                     ----------------------                        ------
   <S>       <C>      <C>                                      <C>                                        <C>
    10/8/99   10354   Industrial Paper & Pkg C/O Kel-San       Lakeland A/P Check                          3,845.61
    10/8/99   10355   Industrial Strainer Company              Lakeland A/P Check                            132.20
    10/8/99   21444   Industrial Technology Supply             AP Checks SRS                               1,089.85
    10/8/99   10356   Instron Corp                             Lakeland A/P Check                          2,210.90
    10/8/99   10423   Internal Revenue Service                 Lakeland A/P Check                             75.00
    10/8/99   10435   Internal Revenue Service                 Lakeland A/P Check                             25.00
    10/8/99   10358   International Products Corp              Lakeland A/P Check                            318.81
   10/08/99   WIRE    Interpal S.A. de C.V.                    A/P Lakeland Wires                          2,420.00
    10/8/99   10360   Janitorial Ind. Maint. Supplie           Lakeland A/P Check                             49.39
    10/8/99   10361   Jay Cee Sales & Rivet                    Lakeland A/P Check                            832.50
    10/8/99   602352  John Litscher                            Hamilin A/P Check                           1,620.95
    10/8/99   602373  Johnstone Supply                         Hamilin A/P Check                             952.88
    10/8/99   10362   Judd Wire Inc                            Lakeland A/P Check                          1,554.84
    10/8/99   10363   Kentex                                   Lakeland A/P Check                            493.05
    10/8/99   21450   Knoxville Blueprint                      AP Checks SRS                                 119.44
    10/8/99   10364   Krayden, Inc.                            Lakeland A/P Check                          1,149.50
    10/8/99   10365   Lab Safety Supply                        Lakeland A/P Check                            145.50
    10/8/99   10436   Lab Safety Supply                        Lakeland A/P Check                            158.15
    10/8/99   10366   Laser Fab Inc                            Lakeland A/P Check                          1,963.75
    10/8/99   10367   Lds Vacuum Products, Inc.                Lakeland A/P Check                          1,747.53
    10/8/99   21439   Lee Electric                             AP Checks SRS                                 772.06
    10/8/99   10437   Lnp Engineering Plastics                 Lakeland A/P Check                         14,156.00
    10/8/99   10368   Macmillan Bloedel Containers             Lakeland A/P Check                          2,254.56
    10/8/99   622353  Markgraf Collection Agency               Hamilin A/P Check                              25.00
    10/8/99   10369   Master America Corp                      Lakeland A/P Check                          2,757.00
    10/8/99   10424   Mayco Plastics Inc                       Lakeland A/P Check                        110,000.00
    10/8/99   10370   Mc Master Carr                           Lakeland A/P Check                            274.87
    10/8/99   10371   Mcm Electronics                          Lakeland A/P Check                             26.76
    10/8/99   10372   Melco                                    Lakeland A/P Check                            127.50
   10/08/99   WIRE    Metal Impact                             A/P Lakeland Wires                         26,000.00
    10/8/99   10373   Micro-Line Associates                    Lakeland A/P Check                          5,460.00
    10/8/99   10374   Mim Industries                           Lakeland A/P Check                          2,219.50
   10/08/99   WIRE    MOMO Spa                                 A/P Lakeland Wires                         98,356.32
    10/8/99   602354  Mongue & Witt S.C.                       Hamilin A/P Check                              30.00
    10/8/99   602355  Monona Plumbing & Fire Prote             Hamilin A/P Check                           2,825.00
    10/8/99   10375   Mountz                                   Lakeland A/P Check                          1,726.52
    10/8/99   10376   Msc Industrial Supply Co                 Lakeland A/P Check                          1,108.81
    10/8/99   10377   Msc Industrial Supply Co Inc             Lakeland A/P Check                            106.53
    10/8/99   602356  Naudain South                            Hamilin A/P Check                           1,339.49
    10/8/99   10378   New Process Fibre Co                     Lakeland A/P Check                            135.00
    10/8/99   10438   Newark Electronics/FI                    Lakeland A/P Check                             44.30
   10/08/99   WIRE    Nippon Electronic Glass                  AP - Hamlin Wires                         110,576.38
    10/8/99   10380   Northern Diecast Corp                    Lakeland A/P Check                          7,961.64
    10/8/99   602357  Northern Precision Casting C             Hamilin A/P Check                           2,100.00
    10/8/99   10381   Nss Industries                           Lakeland A/P Check                          5,245.43
   10/08/99   WIRE    OEA                                      A/P Lakeland Wires                         78,812.83
   10/08/99   WIRE    OEA                                      AP - SRS Wires                            112,923.72
    10/8/99   10382   Oil Patch Fuel And Supply Inc.           Lakeland A/P Check                          1,214.40
    10/8/99   10425   Oil Patch Fuel And Supply Inc.           Lakeland A/P Check                          3,745.12
    10/8/99   10426   Onsite Commercial Staffing               Lakeland A/P Check                          2,687.93
    10/8/99   10383   Package Design & Mfg.                    Lakeland A/P Check                          1,382.40
    10/8/99   21452   Packaging Corp. Of A                     AP Checks SRS                               1,071.40
   10/08/99   WIRE    Par Industries                           A/P Lakeland Wires                         20,510.39
   10/08/99   WIRE    Pasubio Spa                              A/P Lakeland Wires                        301,212.20

Master Account 0999                                                                                   Page 15 of 71
</TABLE>
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31,1 999

 Note: The Debtors Master Account is tied to various Zero-Balance Accounts,
     which fund disbursements. The Debtor records these disbursements in the
     Master account, wherefore, to avoid duplicating these transactions, all
     disbursements tied to the Master Account are shown below.


<TABLE>
<CAPTION>
   Date       Check   Name                                    Description / Location                         Amount
   ----       -----   ----                                    ----------------------                         ------
   <S>        <C>    <C>                                      <C>                                         <C>
    10/8/99   10427   Penn Engineering                         Lakeland A/P Check                           2,397.00
    10/8/99   21455   Penn Engineering & Mfg                   AP Checks SRS                                5,495.75
    10/8/99   10384   Perkin Elmer Llc                         Lakeland A/P Check                             693.22
    10/8/99   21447   Picanol Of America                       AP Checks SRS                                7,255.09
    10/8/99   602358  Pieper Power                             Hamilin A/P Check                            3,282.63
    10/8/99   602359  Placon Corporation                       Hamilin A/P Check                            1,533.51
    10/8/99   10385   Plasticolors Inc                         Lakeland A/P Check                           8,381.10
    10/8/99   10386   Postage By Phone                         Lakeland A/P Check                           1,000.00
    10/8/99   21446   Precision Industries                     AP Checks SRS                              316,087.50
    10/8/99   602360  Proforma Technigraphics                  Hamilin A/P Check                            4,854.48
    10/8/99   10387   Progressive Moulded Prod                 Lakeland A/P Check                          38,088.00
    10/8/99   10388   Proto-Cutter Inc.                        Lakeland A/P Check                           1,777.25
    10/8/99   10389   Publix                                   Lakeland A/P Check                           1,364.81
    10/8/99   10390   Pyramid Technologies, Inc.               Lakeland A/P Check                           2,688.44
    10/8/99   10391   Quality Spring Products                  Lakeland A/P Check                             178.50
    10/8/99   10392   Reeves International                     Lakeland A/P Check                          18,114.72
    10/8/99   10393   Rem Electronics Supply                   Lakeland A/P Check                             552.25
    10/8/99   21438   Rio Grande Plastic Products              AP Checks SRS                               50,000.00
   10/08/99   WIRE    Roadway Express                          A/P Lakeland Wires                           4,922.96
    10/8/99   21448   Rogers Southeastern Lub                  AP Checks SRS                                  384.00
   10/08/99   WIRE    RWC, Inc.                                A/P Lakeland Wires                          60,000.00
    10/8/99   10428   Safety Kleen (Bartow) Inc.               Lakeland A/P Check                          12,876.00
    10/8/99   10394   Sandusky Vinyl Prod. Corp.               Lakeland A/P Check                           2,584.34
   10/08/99   WIRE    Sarcol                                   A/P Lakeland Wires                          88,130.00
    10/8/99   602361  Servicemaster                            Hamilin A/P Check                            2,550.00
    10/8/99   10395   Servolift L.L.C.                         Lakeland A/P Check                             921.00
    10/8/99   10396   Sherry Laboratories                      Lakeland A/P Check                             310.00
   10/08/99   WIRE    Shipley Ronal                            AP - Hamlin Wires                              897.50
    10/8/99   602362  Simeth, E.L. Co, Inc                     Hamilin A/P Check                               31.38
   10/08/99   WIRE    Spiveco                                  A/P Lakeland Wires                           3,105.00
    10/8/99   10398   State Of Alabama                         Lakeland A/P Check                           2,609.34
    10/8/99   10399   State Of Tennessee                       Lakeland A/P Check                           9,512.63
    10/8/99   10429   Suburban Propane                         Lakeland A/P Check                           1,000.00
    10/8/99   602363  Subway                                   Hamilin A/P Check                               75.97
    10/8/99   10401   Sunnymax Maintenance Products Inc        Lakeland A/P Check                              70.90
    10/8/99   602364  Superior Services-Ft Atkinso             Hamilin A/P Check                              196.33
    10/8/99   10402   T.P. Molding Inc                         Lakeland A/P Check                           9,799.00
    10/8/99   602365  Tammy Holzapfel                          Hamilin A/P Check                            1,620.95
    10/8/99   10439   Tampa Pallet                             Lakeland A/P Check                             445.50
   10/06/99   WIRE    Technic, Inc                             AP - Hamlin Wires                          120,173.45
    10/8/99   602366  Techstaff, Inc.                          Hamilin A/P Check                            4,020.00
    10/8/99   21449   Terry Machine                            AP Checks SRS                                7,498.12
   10/08/99   WIRE    Test SRL                                 A/P Lakeland Wires                              86.00
    10/8/99   10404   Tia, Inc                                 Lakeland A/P Check                             180.32
    10/8/99   10405   Ticona Llc                               Lakeland A/P Check                          18,889.47
    10/8/99   10406   Trinary Systems Inc                      Lakeland A/P Check                           4,036.80
    10/8/99   10407   Trw Automotive Elec Group                Lakeland A/P Check                          17,607.20
    10/8/99   10408   Trw Steering Wheel Systems               Lakeland A/P Check                          19,216.74
    10/8/99   10409   Trw-Fastener Div.                        Lakeland A/P Check                             619.28
    10/8/99   602367  Tsr Wireless-Madison                     Hamilin A/P Check                              251.09
    10/8/99   602368  U.S. Chamber Maps, Inc.                  Hamilin A/P Check                              310.00
    10/8/99   10410   Unifirst Corporation                     Lakeland A/P Check                             525.18
    10/8/99   10411   Unique Molded Products                   Lakeland A/P Check                           2,247.40
    10/8/99   10412   United Technologies Automotive           Lakeland A/P Check                             516.24


Master Account 0999                                                                                    Page 16 of 71
</TABLE>
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>

 Date      Check       Name                                       Description / Location                       Amount
 ----      -----       ----                                       ----------------------                       ------
<S>           <C>                                              <C>                                            <C>
 10/8/99   10413       United Technologies Automotive             Lakeland A/P Check                        44,226.00
 10/8/99   10430       Unitrade                                   Lakeland A/P Check                           864.00
10/08/99   WIRE        Venture                                    A/P Lakeland Wires                        59,999.66
 10/8/99   10414       Venture                                    Lakeland A/P Check                        59,999.66
 10/8/99   21445       Venture Industries                         AP Checks SRS                            108,925.00
 10/8/99   10281       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10286       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10290       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10294       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10304       Void                                       Lakeland A/P Check                             0.00
 10/6/99   10307       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10310       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10314       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10315       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10330       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10337       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10351       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10357       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10359       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10379       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10397       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10400       Void                                       Lakeland A/P Check                             0.00
 10/8/99   10403       Void                                       Lakeland A/P Check                             0.00
 10/8/99   602331      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   602332      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   602333      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   602334      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   602335      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   602336      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   602337      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   602338      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   602339      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   602340      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   602341      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   602350      Void Check                                 Hamilin A/P Check                              0.00
 10/8/99   10415       Vwr Scientific                             Lakeland A/P Check                           295.66
 10/8/99   10431       Wiegel Tool Works Inc                      Lakeland A/P Check                         2,800.20
 10/8/99   602369      William Chatterton, Trustee                Hamilin A/P Check                             17.00
 10/8/99   602370      Wisconsin Electric Power Co.               Hamilin A/P Check                              5.84
 10/8/99   602371      Wisconsin Sctf                             Hamilin A/P Check                          1,244.14
 10/8/99   602330      Xpedx                                      Hamilin A/P Check                            199.20
 10/8/99   10440       Yellow Freight                             Lakeland A/P Check                         1,344.57
10/08/99   BREED Automotive LP                                    Transfer from Debtor                       3,400.00
10/08/99   HS Technik                                             Transfer From Non-Debtor                 459,771.02
10/08/99   Adjustment for Closed AP Accounts                                                                 1,609.05
10/11/99   21471       Aaa Cooper Transportation                  AP Checks SRS                                140.70
10/11/99   10441       Adams Air & Hydraulics Inc.                Lakeland A/P Check                            65.27
10/11/99   10442       Aerotek, Inc.                              Lakeland A/P Check                        25,100.00
10/11/99   10443       Alro Metals (Steel Div.)                   Lakeland A/P Check                           288.49
10/11/99   602375      American Freightways                       Hamilin A/P Check                            296.97
10/11/99   21461       Apca Finishers, Inc                        AP Checks SRS                              8,991.95
10/11/99   10444       Applied Industrial Technology              Lakeland A/P Check                           271.36
10/11/99   21476       Aramada Rubber Manufa                      AP Checks SRS                              2,000.00
10/11/99   21463       Arizona Pneumatic                          AP Checks SRS                              1,551.00

Master Account 0999                                                                                     Page 17 of 71
</TABLE>
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999
Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date       Check     Name                                  Description / Location                         Amount
    ----       -----     ----                                  ----------------------                         ------
    <S>        <C>       <C>                                   <C>                                        <C>
    10/11/99    10445    Automotive Hall Of Fame               Lakeland A/P Check                           5,700.00
    10/11/99    10446    Bax Global                            Lakeland A/P Check                             240.91
    10/11/99    10447    Bi-Link Florida                       Lakeland A/P Check                             498.50
    10/11/99    21464    Border States Electr                  AP Checks SRS                                  273.00
    10/11/99    10448    Buehler, Ltd.                         Lakeland A/P Check                             841.50
    10/11/99    21474    Catalina Components. Inc.             AP Checks SRS                               11,975.00
    10/11/99    602378   Cole-Parmer Instrument Co.            Hamilin A/P Check                              237.77
    10/11/99    10449    Columbia Ind. Sales                   Lakeland A/P Check                           1,876.95
    10/11/99    10450    Conney Safety Products                Lakeland A/P Check                              62.73
    10/11/99    10451    Dixie Tool Co.                        Lakeland A/P Check                             341.50
    10/11/99    10452    Dixon Tool Company                    Lakeland A/P Check                          97,400.00
    10/11/99    21469    Efector, Inc.                         AP Checks SRS                                  558.03
    10/11/99    10453    Five Star Staffing                    Lakeland A/P Check                          23,910.83
    10/11/99    10454    G.M.F. Industries                     Lakeland A/P Check                             165.36
    10/11/99    10455    Gerry'S Culligan Water Co.            Lakeland A/P Check                             439.00
    10/11/99    10456    Ges Exposition Services               Lakeland A/P Check                           1,120.50
    10/11/99    21462    Greenway Chemical Co                  AP Checks SRS                                1,040.50
    10/11/99    10457    Gulf Industrial Sales                 Lakeland A/P Check                             380.00
    10/11/99    21467    Heatbath Corporation                  AP Checks SRS                                  287.66
    10/11/99    10458    Hurta, Deborah                        Lakeland A/P Check                             616.50
    10/11/99    622379   Hydrite Chemical Co                   Hamilin A/P Check                            4,100.00
    10/11/99    21475    Jefferson Plastic Company             AP Checks SRS                               27,340.22
    10/11/99    21477    King Industrial                       AP Checks SRS                                7,774.05
    10/11/99    10459    Lab Safety Supply                     Lakeland A/P Check                             219.28
    10/11/99    21466    Labeltronix                           AP Checks SRS                                1,867.91
    10/11/99    21479    Lps International                     AP Checks SRS                                  475.00
    10/11/99    10460    M & Q Plastic Products                Lakeland A/P Check                           5,059.20
    10/11/99    10461    Magnetic Shield Division              Lakeland A/P Check                             315.00
    10/11/99    21470    Mc Tank Transport                     AP Checks SRS                                1,361.00
    10/11/99    602376   Miro Tool & Mfg., Inc.                Hamilin A/P Check                            8,160.00
    10/11/99    10462    Natoli Engineering Co. Inc            Lakeland A/P Check                             357.50
    10/11/99    21465    Naumann Material Handling             AP Checks SRS                                1,917.10
    10/11/99    10463    Newark Electronics                    Lakeland A/P Check                              54.33
    10/11/99    10473    Newark Electronics                    Lakeland A/P Check                              16.35
    10/11/99    602377   Newark Electronics                    Hamilin A/P Check                              103.18
    10/11/99    10464    Pesa Labeling Systems                 Lakeland A/P Check                           5,089.80
    10/11/99    21480    Primex Plastics Corp                  AP Checks SRS                                9,600.00
    10/11/99    10465    Psi Software, Inc.                    Lakeland A/P Check                           2,165.00
    10/11/99    10466    Registration Control System           Lakeland A/P Check                             184.03
    10/11/99    602380   Riverwest Engineering & Desi          Hamilin A/P Check                              394.50
    10/11/99    10467    Roadway Express Inc.                  Lakeland A/P Check                             153.20
    10/11/99    21482    Roe Stamp                             AP Checks SRS                                   36.89
    10/11/99    21483    Sanborn Wire Product                  AP Checks SRS                                  707.00
    10/11/99    21460    Sloan Fluid Accessor                  AP Checks SRS                                  254.09
    10/11/99    21468    Southwestern Automation               AP Checks SRS                                  246.61
    10/11/99    10468    State Of Alabama                      Lakeland A/P Check                           5,066.03
    10/11/99    10469    Summit Technical Services             Lakeland A/P Check                           1,440.00
    10/11/99    21459    Thomson Precision Ba                  AP Checks SRS                               35,000.00
    10/11/99    10470    Trade Show Electrical                 Lakeland A/P Check                             611.50
    10/11/99    10471    Valley Solvents & Chemicals           Lakeland A/P Check                             392.87
    10/11/99    21478    Warren Electric Company               AP Checks SRS                                1,857.77
    10/11/99    21481    Whittar Steel                         AP Checks SRS                              290,000.00
    10/11/99    10472    Xpedx - Tampa                         Lakeland A/P Check                             331.99
    10/11/99    21472    Yellow Freight System                 AP Checks SRS                                  155.21
</TABLE>

Master Account 0999                                                Page 18 of 7l
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999
Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date      Check    Name                                    Description / Location          Amount
    ----      -----    ----                                    ----------------------          ------
    <S>       <C>      <C>                                      <C>                            <C>
    10/12/99   WIRE    3M                                       AP - SRS Wires                   5,232.60
    10/12/99   WIRE    Ace Packaging                            A/P Lakeland Wires               2,695.80
    10/12199   21487   Acheson Colloids                         AP Checks SRS                   17,528.00
    10/12/99   Wire    ADP Payroll Tax                          Payroll Tax                     45,973.53
    10/12/99   Wire    ADP Payroll Tax                          Payroll Tax                     76,921.64
    10/12/99   10489   Airgas Safety Inc                        Lakeland A/P Check                 344.02
    10/12/99   WIRE    AlliedSignal, Inc.                       AP - SRS Wires                 607,650.00
    10/12/99   10490   American Electro Products                Lakeland A/P Check               6,233.95
    10/12/99   602382  American Freightways                     Hamilin A/P Check                  246.46
    10/12/99   10474   American Heritage Life Insurance         Lakeland A/P Check              22,632.23
    10/12/99   10491   Anacreon                                 Lakeland A/P Check               6,952.50
    10/12/99   10492   Angel San Inocencio                      Lakeland A/P Check               5,510.00
    10/12/99   WIRE    Ashland Chemical                         A/P Lakeland Wires              46,232.90
    10/12/99   WIRE    Atlantic Research                        A/P Lakeland Wires             700,000.00
    10/12/99   WIRE    Atlantic Tool and Die                    AP - SRS Wires                  34,016.22
    10/12/99   WIRE    Atlantic Tool and Die                    AP - SRS Wires                  27,371.30
    10/12/99   10486   Autolabe                                 Lakeland A/P Check              11,145.00
    10/12/99   10475   Automatic Data Processing                Lakeland A/P Check              13,724.78
    10/12/99   10494   Autosplice Inc.                          Lakeland A/P Check               2,714.74
    10/12/99   21491   Batson Yarn                              AP Checks SRS                      842.59
    10/12/99   10476   Bax Global                               Lakeland A/P Check                 190.00
    10/12/99   602406  Braas Company                            Hamilin A/P Check                  225.10
    10/12/99   602407  Bralin, Inc.                             Hamilin A/P Check                1,056.26
    10/12/99   10477   Bright Finishing Inc                     Lakeland A/P Check               1,583.67
    10/12/99   10498   Bsrs Restraint Systems Gmbh              Lakeland A/P Check              11,000.00
    10/12/99   WIRE    Camcar Textron                           AP - SRS Wires                   2,722.50
    10/12/99   21486   Cardell Corporation                      AP Checks SRS                   18,000.00
    10/12/99   10478   Central Governmental Depository          Lakeland A/P Check                 120.63
    10/12/99   21484   Central Kentucky Pro                     AP Checks SRS                    8,623.86
    10/12/99   10499   Ceridian                                 Lakeland A/P Check               4,375.66
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                        631,983.10
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                         94,341.30
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                         90,646.85
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                         69,057.17
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                         51,112.02
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                         49,767.28
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                         24,141.11
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                         19,782.22
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                         17,082.32
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                         14,865.06
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                          5,646.24
    10/12/99   Wire    Ceridian Payroll Direct Deposit          Payroll                          3,345.05
    10/12/99   Wire    Checks Clearing                          Payroll                        282,932.82
    10/12/99   602408  Cinderella/Sheps Cleaning                Hamilin A/P Check                1,573.85
    10/12/99   602409  Clark Office Supply Co                   Hamilin A/P Check                  775.20
    10/12/99   21493   Contours Incorporated                    AP Checks SRS                   26,673.91
    10/12/99   WIRE    CTC Engineering                          A/P Lakeland Wires              50,000.00
    10/12/99   WIRE    Cuinba                                   A/P Lakeland Wires             335,310.59
    10/12/99   10502   Dexter Auto. Materials                   Lakeland A/P Check               5,647.25
    10/12/99   WIRE    DIGI-KEY                                 A/P Lakeland Wires               9,700.00
    10/12/99   602410  Diversified Personnel Servic             Hamilin A/P Check                3,125.60
    10/12/99   WIRE    Dixon Tool Co                            A/P Lakeland Wires             835,300.00
    10/12/99   WIRE    Dupont                                   AP - SRS Wires                  33,611.70
    10/12/99   10507   Eagle Alloys                             Lakeland A/P Check               7,270.30
</TABLE>

Master Account 0999                                                Page 19 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999
Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date       Check    Name                                     Description / Location                         Amount
    ----       -----    ----                                     ----------------------                         ------
<S>           <C>       <C>                                      <C>                                       <C>
10/12/99       10508    Electro Chemical                         Lakeland A/P Check                             567.16
10/12/99       10479    Electro Lab. 2. Inc.                     Lakeland A/P Check                             250.00
10/12/99      602411    Electronic Scientific Eng. L             Hamilin A/P Check                            2,679.11
10/12/99       10509    Elektrisola Inc.                         Lakeland A/P Check                           4,784.39
10/12/99       10510    Ellsworth Adhesives Systems              Lakeland A/P Check                           2,173.86
10/12/99       10511    Emj Industrial                           Lakeland A/P Check                             238.52
10/12/99        WIRE    Entec Engineered                         A/P Lakeland Wires                          18,429.62
10/12/99      602412    Ernthone-Omi                             Hamilin A/P Check                            6,759.33
10/12/99       10512    Exacto Spring                            Lakeland A/P Check                             600.00
10/12/99       10514    Felco Office Systems                     Lakeland A/P Check                             270.63
10/12/99      602413    Flambeau Micro Co                        Hamilin A/P Check                           25,988.45
10/12/99       21489    Framatome Connectors Interlo             AP Checks SRS                               11,933.08
10/12/99       10516    Ge Capital Modular Space                 Lakeland A/P Check                              20.60
10/12/99       10517    Ge Information Services                  Lakeland A/P Check                             100.00
10/12/99        WIRE    GE Plastics                              A/P Lakeland Wires                          38,830.00
10/12/99        Wire    Gelco (Breed)                            Travel & Entertainment                         601.52
10/12/99        Wire    Gelco (SRS)                              Travel & Entertainment                         402.54
10/12/99        WIRE    Genesis Molding                          A/P Lakeland Wires                           3,478.02
10/12/99      602414    Gerald Welch                             Hamilin A/P Check                              185.00
10/12/99        WIRE    Gibbs Wire and Steel                     AP - SRS Wires                              15,512.71
10/12/99       10518    Glk. Inc                                 Lakeland A/P Check                              57.24
10/12/99      602415    Gordon Flesch Co Inc                     Hamilin A/P Check                              455.35
10/12/99       10522    Hai (Howard-Ayusa)                       Lakeland A/P Check                          23,497.87
10/12/99        WIRE    Hamlin Tool and Machine                  AP - SRS Wires                              72,567.20
10/12/99       10523    Hardinge Brothers. Inc.                  Lakeland A/P Check                           1,161.20
10/12/99       10524    Highland Mfg.Co. (Itw)                   Lakeland A/P Check                             720.88
10/12/99       10540    Huck Jacobson - Medira                   Lakeland A/P Check                             267.85
10/12/99       10525    Hughes Supply                            Lakeland A/P Check                              16.45
10/12/99       10526    Hull Corporation                         Lakeland A/P Check                           6,703.37
10/12/99       10528    Hydraulic & Pneumatic Eng.               Lakeland A/P Check                           3,193.85
10/12/99        WIRE    Industrial Electric                      A/P Lakeland Wires                          30,989.80
10/12/99       21492    Integrity Steel Co.                      AP Checks SRS                                   58.00
10/12/99      602416    Interntl/Magnaproducts                   Hamilin A/P Check                               95.85
10/12/99        WIRE    ITW Deltar Tekfast                       AP - SRS Wires                               8,000.00
10/12/99        WIRE    Kane Magnetics                           A/P Lakeland Wires                           4,150.44
10/12/99        WIRE    Kane Magnetics                           AP - Hamlin Wires                           62,491.08
10/12/99       21497    Kel-San Products Com                     AP Checks SRS                               15,000.00
10/12/99       21490    Key Plastics                             AP Checks SRS                               20,000.00
10/12/99      602417    Liebovich Steel & Aluminum C             Hamilin A/P Check                               76.88
10/12/99       10535    Los Cedvos Apartments                    Lakeland A/P Check                             405.00
10/12/99      602418    Manpower                                 Hamilin A/P Check                            2,110.35
10/12/99        WIRE    Mcallen Bolt Screw                       A/P Lakeland Wires                             616.00
10/12/99        WIRE    Metal Coatings                           AP - SRS Wires                               8,268.00
10/12/99        WIRE    Micro-Line Assoc.                        A/P Lakeland Wires                           5,460.00
10/12/99       10480    Milacron Inc                             Lakeland A/P Check                             930.00
10/12/99       21495    Mim Industries                           AP Checks SRS                              295,185.00
10/12/99       10481    National Standard                        Lakeland A/P Check                           6,000.00
10/12/99        WIRE    Nedwick Steel Co                         AP - SRS Wires                             125,000.00
10/12/99        WIRE    Nylock Fasteners                         AP - SRS Wires                               6,205.50
10/12/99        WIRE    OEA                                      A/P Lakeland Wires                          17,940.37
10/12/99       21488    Orbitform Inc.                           AP Checks SRS                                1,042.00
10/12/99        WIRE    PD George                                A/P Lakeland Wires                         104,928.05
10/12/99       21494    Pioneer Std Electronics                  AP Checks SRS                               69,433.92
10/12/99        WIRE    Powdertek, Inc.                          A/P Lakeland Wires                           2,593.30
</TABLE>

Master Account 0999                                                Page 20 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999
Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
   Date      Check      Name                                     Description / Location                         Amount
   ----      -----      ----                                     ----------------------                         ------
<S>         <C>        <C>                                      <C>                                        <C>
10/12/99    WIRE       Pressac, Inc                             A/P Lakeland Wires                           7,306.00
10/12/99    602383     Price Engineering Co., Inc.              Hamilin A/P Check                              736.26
10/12/99    602419     Proforma Technigraphics                  Hamilin A/P Check                              787.99
10/12/99    WIRE       RB&W Metal Forming Division              A/P Lakeland Wires                          28,000.00
10/12/99    WIRE       Roadway Express                          A/P Lakeland Wires                           1,195.60
10/12/99    10482      Roadway Express Inc.                     Lakeland A/P Check                           1,296.15
10/12/99    WIRE       Romanoff                                 A/P Lakeland Wires                           1,066.00
10/12/99    602423     Safeco Life Insurance Compan             Hamilin A/P Check                           19,588.24
10/12/99    602420     Scott Rotary Seals Inc.                  Hamilin A/P Check                            3,681.30
10/12/99    602421     Servicemaster                            Hamilin A/P Check                            8,900.00
10/12/99    WIRE       SFS Stadler                              AP - SRS Wires                             196,913.30
10/12/99    10546      Southern Union Gas                       Lakeland A/P Check                              25.17
10/12/99    10547      Spectrum Solutions                       Lakeland NP Check                            6,096.00
10/12/99    Wire       SunTrust                                 Flex Spending                                2,565.66
10/12/99    WIRE       Target Container                         A/P Lakeland Wires                          20,000.00
10/12/99    602422     Technic Inc                              Hamilin A/P Check                            1,215.00
10/12/99    WIRE       Ticona                                   A/P Lakeland Wires                           9,214.81
10/12/99    WIRE       TJ Snow Company                          AP - SRS Wires                                 772.50
10/12/99    10556      Tox Pressotechnik                        Lakeland A/P Check                           2,185.00
10/12/99    21496      Toyota Tsusho America                    AP Checks SRS                               10,157.49
10/12/99    WIRE       Truline. inc.                            A/P Lakeland Wires                           2,591.40
10/12/99    WIRE       TRW Automotive                           A/P Lakeland Wires                         110,000.00
10/12/99    10483      Uline                                    Lakeland A/P Check                             161.19
10/12/99    10484      Value Options                            Lakeland A/P Check                             274.48
10/12/99    10560      Vertec Mfg. Corp.                        Lakeland A/P Check                          15,667.50
10/12/99    10487      Void                                     Lakeland A/P Check                               0.00
10/12/99    10488      Void                                     Lakeland A/P Check                               0.00
10/12/99    10493      Void                                     Lakeland A/P Check                               0.00
10/12/99    10495      Void                                     Lakeland A/P Check                               0.00
10/12/99    10496      Void                                     Lakeland A/P Check                               0.00
10/12/99    10497      Void                                     Lakeland A/P Check                               0.00
10/12/99    10500      Void                                     Lakeland A/P Check                               0.00
10/12/99    10501      Void                                     Lakeland A/P Check                               0.00
10/12/99    10503      Void                                     Lakeland A/P Check                               0.00
10/12/99    10504      Void                                     Lakeland A/P Check                               0.00
10/12/99    10505      Void                                     Lakeland A/P Check                               0.00
10/12/99    10506      Void                                     Lakeland A/P Check                               0.00
10/12/99    10513      Void                                     Lakeland A/P Check                               0.00
10/12/99    10515      Void                                     Lakeland A/P Check                               0.00
10/12/99    10519      Void                                     Lakeland A/P Check                               0.00
10/12/99    10520      Void                                     Lakeland A/P Check                               0.00
10/12/99    10521      Void                                     Lakeland A/P Check                               0.00
10/12/99    10527      Void                                     Lakeland A/P Check                               0.00
10/12/99    10529      Void                                     Lakeland A/P Check                               0.00
10/12/99    10530      Void                                     Lakeland A/P Check                               0.00
10/12/99    10531      Void                                     Lakeland A/P Check                               0.00
10/12/99    10532      Void                                     Lakeland A/P Check                               0.00
10/12/99    10533      Void                                     Lakeland A/P Check                               0.00
10/12/99    10534      Void                                     Lakeland A/P Check                               0.00
10/12/99    10536      Void                                     Lakeland A/P Check                               0.00
10/12/99    10537      Void                                     Lakeland A/P Check                               0.00
10/12/99    10538      Void                                     Lakeland A/P Check                               0.00
10/12/99    10539      Void                                     Lakeland A/P Check                               0.00
10/12/99    10541      Void                                     Lakeland A/P Check                               0.00
</TABLE>

Master Account 0999                                                Page 21 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999
Note: The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date      Check      Name                          Description / Location         Amount
    ----      -----      ----                          ----------------------         ------
<S>          <C>         <C>                           <C>                            <C>
10/12/99      10542      Void                          Lakeland A/P Check               0.00
10/12/99      10543      Void                          Lakeland A/P Check               0.00
10/12/99      10544      Void                          Lakeland A/P Check               0.00
10/12/99      10545      Void                          Lakeland A/P Check               0.00
10/12/99      10548      Void                          Lakeland A/P Check               0.00
10/12/99      10549      Void                          Lakeland A/P Check               0.00
10/12/99      10550      Void                          Lakeland A/P Check               0.00
10/12/99      11551      Void                          Lakeland A/P Check               0.00
10/12/99      10552      Void                          Lakeland A/P Check               0.00
10/12/99      10553      Void                          Lakeland A/P Check               0.00
10/12/99      10554      Void                          Lakeland A/P Check               0.00
10/12/99      10555      Void                          Lakeland A/P Check               0.00
10/12/99      10557      Void                          Lakeland A/P Check               0.00
10/12/99      10558      Void                          Lakeland A/P Check               0.00
10/12/99      10559      Void                          Lakeland A/P Check               0.00
10/12/99      10561      Void                          Lakeland A/P Check               0.00
10/12/99      10563      Void                          Lakeland A/P Check               0.00
10/12/99      10564      Void                          Lakeland A/P Check               0.00
10/12/99     602372      Void Check                    Hamilin A/P Check                0.00
10/12/99     602374      Void Check                    Hamilin A/P Check                0.00
10/12/99     602381      Void Check                    Hamilin A/P Check                0.00
10/12/99     602385      Void Check                    Hamilin A/P Check                0.00
10/12/99     602386      Void Check                    Hamilin A/P Check                0.00
10/12/99     602387      Void Check                    Hamilin A/P Check                0.00
10/12/99     602388      Void Check                    Hamilin A/P Check                0.00
10/12/99     602389      Void Check                    Hamilin A/P Check                0.00
10/12/99     602390      Void Check                    Hamilin A/P Check                0.00
10/12/99     602391      Void Check                    Hamilin A/P Check                0.00
10/12/99     602392      Void Check                    Hamilin A/P Check                0.00
10/12/99     602393      Void Check                    Hamilin A/P Check                0.00
10/12/99     602394      Void Check                    Hamilin A/P Check                0.00
10/12/99     602395      Void Check                    Hamilin A/P Check                0.00
10/12/99     602396      Void Check                    Hamilin A/P Check                0.00
10/12/99     602397      Void Check                    Hamilin A/P Check                0.00
10/12/99     602398      Void Check                    Hamilin A/P Check                0.00
10/12/99     602399      Void Check                    Hamilin A/P Check                0.00
10/12/99     602400      Void Check                    Hamilin A/P Check                0.00
10/12/99     602401      Void Check                    Hamilin A/P Check                0.00
10/12/99     602402      Void Check                    Hamilin A/P Check                0.00
10/12/99     602403      Void Check                    Hamilin A/P Check                0.00
10/12/99     602404      Void Check                    Hamilin A/P Check                0.00
10/12/99     602405      Void Check                    Hamilin A/P Check                0.00
10/12/99      10562      Vwr Scientific                Lakeland A/P Check             554.02
10/12/99      10485      Wright Brothers Paper Box Co. Lakeland A/P Check             620.27
10/12/99       WIRE      Yazaki North America          A/P Lakeland Wires           9,791.28
10/12/99     602384      Zuerns Lumber Co              Hamilin A/P Check              738.07
10/12/99     ABN-AMRO/ Mexican Disbursement Acct       Transfer to Non-Debtor   2,477,680.66
10/12/99     Adjustment for Closed AP Accounts                                        900.00
10/13/99      10565      Aa Electric                   Lakeland A/P Check           1,046.87
10/13/99     602430      Airgas Lyons, Inc.            Hamilin A/P Check            1,076.78
10/13/99       WIRE      American Express              A/P Lakeland Wires          35,000.00
10/13/99     602424      American Freightways          Hamilin A/P Check              107.07
10/13/99       WIRE      Ampex Federal Credit Union    AP - SRS Wires               1,316.18
10/13/99      10566      Anacreon                      Lakeland A/P Check           5,865.00
</TABLE>

Master Account 0999                                              Page 22 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date        Check     Name                                     Description / Location                         Amount
    ----        -----     ----                                     ----------------------                         ------
    <S>         <C>       <C>                                      <C>                                        <C>
    10/13/99    10567     Angel San Inocencio                      Lakeland A/P Check                           6,365.00
    10/13/99    10568     Anixter Brothers                         Lakeland A/P Check                               1.36
    10/13/99    WIRE      Ashland Chemical                         A/P Lakeland Wires                           2,850.00
    10/13/99    10569     Blount County Courthouse                 Lakeland A/P Check                              89.25
    10/13/99    21511     Bradford Industries                      AP Checks SRS                               84,927.05
    10/13/99    Wire      BTI - Hamlin                             Employee Contribution                        5,995.22
    10/13/99    Wire      BTI - Hamlin                             PNC Bank - 401(k) Loan                         591.72
    10/13/99    Wire      BTI - Hamlin                             401 (k) Plan Match                           2,330.80
    10/13/99    10570     Buehler, Ltd.                            Lakeland A/P Check                              80.00
    10/13/99    10571     Cambridge Stamping Inc                   Lakeland A/P Check                           2,027.20
    10/13/99    WIRE      Camcar Textron                           A/P Lakeland Wires                           7,970.50
    10/13/99    WIRE      Carpenter Technology                     A/P Lakeland Wires                          20,788.12
    10/13/99    WIRE      Carpenter Technology                     AP - Hamlin Wires                           14,246.82
    10/13/99    602428    Ccx Con-Way Central Express              Hamilin A/P Check                               54.09
    10/13/99    WIRE      Central Transport                        A/P Lakeland Wires                           3,362.23
    10/13/99    Wire      Ceridian Payroll Direct Deposit          Payroll                                     19,181.49
    10/13/99    Wire      Checks Clearing                          Payroll                                    111,813.39
    10/13/99    21519     Chicago Fineblanking                     AP Checks SRS                              350,000.00
    10/13/99    21517     Clariant                                 AP Checks SRS                                1,068.00
    10/13/99    10572     Collazzo, Charles                        Lakeland A/P Check                           3,000.00
    10/13/99    10573     Commissioner Of Patents & Trdmrks        Lakeland A/P Check                          20,000.00
    10/13/99    21501     Continental Midland,                     AP Checks SRS                               75,000.00
    10/13/99    21502     Data Media                               AP Checks SRS                                  460.00
    10/13/99    21524     Data Media                               AP Checks SRS                                   26.00
    10/13/99    10574     Educational Credit Mgmt                  Lakeland A/P Check                              50.27
    10/13/99    21505     Efector, Inc.                            AP Checks SRS                                1,167.26
    10/13/99    21514     Electrocal                               AP Checks SRS                               48,203.61
    10/13/99    WIRE      Elliot Tape                              A/P Lakeland Wires                           2,946.24
    10/13/99    21523     Emhart Fastener Grou                     AP Checks SRS                                1,242.50
    10/13/99    WIRE      Engineered Plastic                       A/P Lakeland Wires                           4,459.00
    10/13/99    21520     Epic Components                          AP Checks SRS                                3,725.00
    10/13/99    10575     European Patent Office                   Lakeland A/P Check                          20,000.00
    10/13/99    WIRE      Farboil Co                               A/P Lakeland Wires                          16,621.83
    10/13/99    WIRE      Ferro                                    A/P Lakelapd Wires                          43,357.70
    10/13/99    10576     Fortune Personnel Consult.               Lakeland A/P Check                          11,400.00
    10/13/99    10577     Friend Of The Court                      Lakeland A/P Check                           2,398.51
    10/13/99    10578     Friend Of The Court                      Lakeland A/P Check                             229.50
    10/13/99    10579     Friend Of The Court                      Lakeland A/P Check                           2,265.47
    10/13/99    Wire      Gelco (SRS)                              Travel & Entertainment                       2,270.23
    10/13/99    Wire      Gelco (SRS)                              Travel & Entertainment                       1,215.21
    10/13/99    21516     Gilco Incorporated                       AP Checks SRS                                8,968.15
    10/13/99    WIRE      Great West - Medical                     BREED                                      610,468.79
    10/13/99    WIRE      Great West - Medical                     BREED                                       98,810.80
    10/13/99    WIRE      Great West - Medical                     BSRS                                         8,863.71
    10/13/99    Wire      Great West - Medical                     Hamlin, Inc.                                13,139.61
    10/13/99    WIRE      Greening Donald                          A/P Lakeland Wires                           9,841.55
    10/13/99    WIRE      Greer Steel Co                           AP - SRS Wires                               3,977.52
    10/13/99    10580     Gwendolyn M.Kearney                      Lakeland A/P Check                             211.00
    10/13/99    21510     Header Products                          AP Checks SRS                               37,686.54
    10/13/99    WIRE      Highland                                 A/P Lakeland Wires                         100,000.00
    10/13/99    10581     Hisco Tx.                                Lakeland A/P Check                           7,034.88
    10/13/99    602426    Hytech Spring And Machine                Hamilin A/P Check                            5,663.91
    10/13/99    602425    Imprint Enterprises Inc                  Hamilin A/P Check                               88.50
    10/13/99    21508     Integrated Mfg & Dis                     AP Checks SRS                                3,341.27
</TABLE>


Master Account  0999                                              Page 23 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999
Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date        Check    Name                                         Description / Location                         Amount
    ----        -----    ----                                         ----------------------                         ------
    <S>         <C>      <C>                                          <C>                                         <C>
    10/13/99    WIRE     Kelsan, Inc.                                 A/P Lakeland Wires                           10,000.00
    10/13/99    21512    Labels Plus                                  AP Checks SRS                                    36.41
    10/13/99    21507    Landreth Engineering                         AP Checks SRS                                   704.97
    10/13/99    21506    Lang Fasteners                               AP Checks SRS                                 5,447.14
    10/13/99    602427   Marling Lumber                               Hamilin A/P Check                             1,867.24
    10/13/99    21518    Middleton Oil Co                             AP Checks SRS                                    55.13
    10/13/99    21509    Mike'S Lawn Care Service                     AP Checks SRS                                 4,450.00
    10/13/99    21515    National Metal Processing                    AP Checks SRS                                15,000.00
    10/13/99    10582    Office Of Chapter 13 Trustee                 Lakeland A/P Check                              199.33
    10/13/99    WIRE     Oml Federal Credit Union                     AP - SRS Wires                                8,108.82
    10/13/99    10583    Oxford Lumber                                Lakeland A/P Check                              280.48
    10/13/99    21499    Packaging Services Of Tn                     AP Checks SRS                                 6,998.40
    10/13/99    10584    Patricia G Richards                          Lakeland A/P Check                              675.85
    10/13/99    WIRE     PLS                                          A/P Lakeland Wires                          800,000.00
    10/13/99    21522    Pop Fasteners Divisi                         AP Checks SRS                                   459.60
    10/13/99    WIRE     Progressive Moulded Products                 A/P Lakeland Wires                          100,000.00
    10/13/99    21521    Proto Gage Tool & Die, Inc.                  AP Checks SRS                               430,950.00
    10/13/99    21503    Purchased Parts Grou                         AP Checks SRS                                 3,809.50
    10/13/99    10585    Purification Technologies                    Lakeland A/P Check                              780.00
    10/13/99    WIRE     Ramcel Engineering Co                        A/P Lakeland Wires                           18,100.00
    10/13/99    10586    Rieger, Jarett                               Lakeland A/P Check                              525.00
    10/13/99    21500    Sprinter Marking Inc                         AP Checks SRS                                 1,814.50
    10/13/99    21513    The Johnson Rubber D                         AP Checks SRS                                   642.28
    10/13/99    21504    The Palnut Company                           AP Checks SRS                                 6,000.00
    10/13/99    10587    Transamerica Insurance                       Lakeland A/P Check                          166,822.37
    10/13/99    10588    Treasurer Of Virginia                        Lakeland A/P Check                              592.00
    10/13/99    WIRE     TRW, Inc.                                    AP - SRS Wires                               20,985.56
    10/13/99    10589    Tsac                                         Lakeland A/P Check                              203.12
    10/13/99    10590    United States Bankruptcy Court Chap          Lakeland A/P Check                              633.20
    10/13/99    WIRE     Weiss-Aug                                    A/P Lakeland Wires                           31,581.23
    10/13/99    WIRE     WestBrook MFG                                A/P Lakeland Wires                            1,593.40
    10/13/99    21498    Yellow Freight System                        AP Checks SRS                                   847.70
    10/13/99    BREED    Korea                                        Transfer to Non-Debtor                       34,000.00
    10/13/99    BREED    UK                                           Transfer to Non-Debtor                      62,985.00
    10/13/99             Great West - Medical                         USS - BSS                                     3,609.49
    10/14/99    21537    A & J Automation Inc                         AP Checks SRS                                   768.00
    10/14/99    552212   A & W Office Supply                          AP Checks SRS                                 1,038.33
    10/14/99    552214   Absopure Water Co.                           AP Checks SRS                                    17.25
    10/14/99    552216   Accurate Machining                           AP Checks SRS                                 1,189.00
    10/14/99    552217   Actwu Southern Regl.                         AP Checks SRS                                 1,153.22
    10/14/99    552219   Advance Paperworks Inc.                      AP Checks SRS                                 4,797.00
    10/14/99    552220   Advanced Bag                                 AP Checks SRS                                   952.50
    10/14/99    WIRE     Aegis                                        A/P Lakeland Wires                           62,269.00
    10/14/99    552221   Age Industries                               AP Checks SRS                                   614.13
    10/14/99    602435   Airgas Lyons, Inc.                           Hamilin A/P Check                               113.52
    10/14/99    552222   Alabama Power                                AP Checks SRS                                     3.63
    10/14/99    21561    Alkar Steel Corporation                      AP Checks SRS                                   530.58
    10/14/99    552223   All City Heating & A                         AP Checks SRS                                   801.10
    10/14/99    552218   All Lines Leasing                            AP Checks SRS                                   233.65
    10/14/99    21543    Allied Electronics                           AP Checks SRS                                   794.82
    10/14/99    552226   Almont Screw Product                         AP Checks SRS                                 3,060.00
    10/14/99    WIRE     Alpha Gary                                   A/P Lakeland Wires                            3,679.50
    10/14/99    602431   American Freightways                         Hamilin A/P Check                               353.57
    10/14/99    21550    American Turned Products                     AP Checks SRS                               125,000.00
</TABLE>

Master Account 0999                                              Page 24 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date       Check    Name                                        Description / Location                         Amount
    ----       -----    ----                                        ----------------------                         ------
    <S>        <C>      <C>                                         <C>                                        <C>
    10/14/99   552228   Ameritech                                   AP Checks SRS                                  188.12
    10/14/99   WIRE     Amphenol Corp                               A/P Lakeland Wires                           1,526.33
    10/14/99   552232   Arch Communications                         AP Checks SRS                                  890.31
    10/14/99   21547    Arizona Refrigeration                       AP Checks SRS                                  364.73
    10/14/99   552235   Asr Transport, Inc.                         AP Checks SRS                                  451.50
    10/14/99   WIRE     Associated Spring                           AP - SRS Wires                               5,460.00
    10/14/99   21534    Astro Enterprises                           AP Checks SRS                                  941.66
    10/14/99   WIRE     Atlantic Research                           A/P Lakeland Wires                         700,000.00
    10/14/99   WIRE     Atlantic Tool and Die                       AP - SRS Wires                             300,000.00
    10/14/99   WIRE     Atlantic Tool and Die                       AP - SRS Wires                              32,088.66
    10/14/99   552238   Automatic Spring Pro                        AP Checks SRS                               43,245.56
    10/14/99   21536    Barrera Supply Compa                        AP Checks SRS                                  141.50
    10/14/99   552239   Bell South                                  AP Checks SRS                                4,234.71
    10/14/99   WIRE     Bergqueist Co                               A/P Lakeland Wires                           1,686.00
    10/14/99   552240   Berns Landscaping Svcs, Inc.                AP Checks SRS                                  620.00
    10/14/99   552241   Blind Connection                            AP Checks SRS                                  283.72
    10/14/99   552243   Boggan Hill, Inc.                           AP Checks SRS                                4,238.40
    10/14/99   21542    Border States Electr                        AP Checks SRS                               21,049.42
    10/14/99   21567    Burlington Air Expre                        AP Checks SRS                                2,220.19
    10/14/99   552329   C.B. Lay Customs Bro                        AP Checks SRS                                4,433.50
    10/14/99   21532    Cam Corporation                             AP Checks SRS                                  400.43
    10/14/99   WIRE     Camcar Textron                              AP - SRS Wires                              26,287.03
    10/14/99   WIRE     Camcar Textron                              AP - SRS Wires                              10,324.11
    10/14/99   21562    Capstan / Pacific                           AP Checks SRS                              160,000.00
    10/14/99   21540    Catalina Components, Inc.                   AP Checks SRS                                4,679.57
    10/14/99   602432   Ccx Con-Way Central Express                 Hamilin A/P Check                               54.09
    10/14/99   552254   Central Child Support                       AP Checks SRS                                  774.27
    10/14/99   Wire     Ceridian Payroll Tax                        Payroll Tax                                368,478.47
    10/14/99   Wire     Ceridian Payroll Tax                        Payroll Tax                                 86,377.85
    10/14/99   Wire     Ceridian Payroll Tax                        Payroll Tax                                 65,668.40
    10/14/99   Wire     Ceridian Payroll Tax                        Payroll Tax                                 45,686.85
    10/14/99   Wire     Ceridian Payroll Tax                        Payroll Tax                                 44,824.67
    10/14/99   Wire     Ceridian Payroll Tax                        Payroll Tax                                 30,168.75
    10/14/99   Wire     Ceridian Payroll Tax                        Payroll Tax                                23,058.197
    10/14/99   Wire     Ceridian Payroll Tax                        Payroll Tax                                 14,287.15
    10/14/99   Wire     Ceridian Payroll Tax                        Payroll Tax                                  9,652.70
    10/14/99   Wire     Ceridian Payroll Tax                        Payroll Tax                                  4,084.86
    10/14/99   552395   Chapter 13                                  AP Checks SRS                                1,157.00
    10/14/99   Wire     Checks Clearing                             Payroll                                     62,293.72
    10/14/99   WIRE     Christenberry Trucking                      A/P Lakeland Wires                          88,115.30
    10/14/99   552257   Cintas Corporation                          AP Checks SRS                                  376.60
    10/14/99   552258   Circuit Controls Corporation                AP Checks SRS                                  274.17
    10/14/99   552294   Clarklift Of Detroit, Inc                   AP Checks SRS                                  589.80
    10/14/99   552260   Cmm Technology Inc                          AP Checks SRS                                  101.30
    10/14/99   552261   Computer Sales International                AP Checks SRS                               24,668.00
    10/14/99   552263   Consumers Energy                            AP Checks SRS                                   25.52
    10/14/99   552266   Control Equipment                           AP Checks SRS                                  523.00
    10/14/99   552343   Corpay Solutions, Inc.                      AP Checks SRS                                5,848.17
    10/14/99   21555    Crompton & Knowles C                        AP Checks SRS                                1,536.00
    10/14/99   552267   Cumberland Clarklift                        AP Checks SRS                                  324.28
    10/14/99   21531    D & G Dyes, Inc.                            AP Checks SRS                                2,904.00
    10/14/99   21526    Data Media                                  AP Checks SRS                                  366.32
    10/14/99   WIRE     Daytol Steel Service                        AP - SRS Wires                              36,500.00
    10/14/99   552270   Detroit Edison                              AP Checks SRS                                1,866.69
</TABLE>

Master Account 0999                                              Page 25 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date     Check       Name                                  Description / Location                    Amount
    ----     -----       ----                                  ----------------------                    ------
   <S>       <C>         <C>                                  <C>                                       <C>
   10/14/99  21544       Dieugenio Tool Center                 AP Checks SRS                                3,569.10
   10/14/99  552273      Dudek And Bock Sprin                  AP Checks SRS                               14,002.14
   10/14/99  552278      Duromatic                             AP Checks SRS                               25,750.51
   10/14/99  552279      Dust Tex Services                     AP Checks SRS                                   99.75
   10/14/99  21566       Eclipse Mold, Incorp                  AP Checks SRS                               46,416.67
   10/14/99  21553       Emhart Industries. I                  AP Checks SRS                                  376.86
   10/14/99  552285      Enterprise Oil Company                AP Checks SRS                                1,260.00
   10/14/99  552288      Ferguson Inc.                         AP Checks SRS                                1,708.60
   10/14/99  21528       Fisher Corp                           AP Checks SRS                              200,000.00
   10/14/99  552291      Fisher Dynamics                       AP Checks SRS                               22,596.84
   10/14/99  552292      Fisher Scientific Co                  AP Checks SRS                                  111.90
   10/14/99  21549       Flexible Metal Products               AP Checks SRS                              200,000.00
   10/14/99  552295      Forsythe Mcarthur                     AP Checks SRS                                4,725.00
   10/14/99  WIRE        Framatone                             A/P Lakeland Wires                           8,895.00
   10/14/99  552296      Free-Gate Fasteners                   AP Checks SRS                               11,333.85
   10/14/99  552298      Ge Capital                            AP Checks SRS                                  176.31
   10/14/99  552299      Ge Capital Fleet Services             AP Checks SRS                               15,836.33
   10/14/99  Wire        Gelco (Breed)                         Travel & Entertainment                       5,255.37
   10/14/99  Wire        Gelco (SRS)                           Travel & Entertainment                       2,551.65
   10/14/99  552300      General Labels                        AP Checks SRS                               12,747.54
   10/14/99  552301      General Sessions Court                AP Checks SRS                                  119.33
   10/14/99  552302      General Telephone So                  AP Checks SRS                                2,282.10
   10/14/99  552303      Gerber Technology                     AP Checks SRS                                  310.10
   10/14/99  552307      Global Technology Assoc Ltd.          AP Checks SRS                                5,344.92
   10/14/99  552310      H & L Tool                            AP Checks SRS                                  413.76
   10/14/99  WIRE        Hamlin Tool and Machine               AP - SRS Wires                              52,350.18
   10/14/99  552313      Henderson Glass                       AP Checks SRS                                1,043.18
   10/14/99  WIRE        Hitachi Metals                        A/P Lakeland Wires                          57,216.80
   10/14/99  552314      Holston Gases Inc.                    AP Checks SRS                                  169.10
   10/14/99  552315      Hr Direct                             AP Checks SRS                                   60.75
   10/14/99  WIRE        Hyland Machine                        A/P Lakeland Wires                          40,000.00
   10/14/99  552316      I & J Fisnar Inc.                     AP Checks SRS                                1,228.30
   10/14/99  21554       Instrument Control T                  AP Checks SRS                                  600.00
   10/14/99  21527       Integrated Mfg & Dis                  AP Checks SRS                               75,000.00
   10/14/99  552318      Jackson Spring & Man                  AP Checks SRS                                  220.00
   10/14/99  552338      Jakob Muller Of Amer                  AP Checks SRS                                1,252.96
   10/14/99  552242      James A. Carroll                      AP Checks SRS                                  236.25
   10/14/99  WIRE        Kantus Corp                           AP - SRS Wires                             120,000.00
   10/14/99  552401      Kenneth M. Williams                   AP Checks SRS                               11,653.00
   10/14/99  552320      Kern-Liebers Usa Inc                  AP Checks SRS                                  267.00
   10/14/99  21545       Keyence Corp.                         AP Checks SRS                                5,859.20
   10/14/99  21568       King Industrial                       AP Checks SRS                                1,122.60
   10/14/99  552323      Knox County Chancery Court            AP Checks SRS                                  136.50
   10/14/99  552324      Knox County Juvenile Court            AP Checks SRS                                  238.61
   10/14/99  552326      Knoxville Utilities                   AP Checks SRS                                  935.40
   10/14/99  WIRE        Koa Speer                             A/P Lakeland Wires                           8,629.70
   10/14/99  552328      Lannex Management                     AP Checks SRS                                4,904.00
   10/14/99  21565       Lindberg                              AP Checks SRS                                  347.00
   10/14/99  552331      Lucent Technologies                   AP Checks SRS                                  732.72
   10/14/99  WIRE        M.A.B Industries                      A/P Lakeland Wires                           2,370.40
   10/14/99  21563       Magna Metal Finishin                  AP Checks SRS                               90,000.00
   10/14/99  WIRE        Mcallen Bolt Screw                    A/P Lakeland Wires                          14,324.00
   10/14/99  WIRE        Metal Coatings                        AP - SRS Wires                              11,990.00
   10/14/99  552335      Mfp Technology Servi                  AP Checks SRS                                1,246.56
</TABLE>

Master Account 0999                                                Page 26 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date      Check      Name                                 Description / Location               Amount
    ----      -----      ----                                 ----------------------               ------
   <S>        <C>        <C>                                  <C>                              <C>
   10/14/99     21548    Minarik Electric                     AP Checks SRS                        865.16
   10/14/99    552337    Motion Industries                    AP Checks SRS                      2,021.48
   10/14/99     21525    Msx International In                 AP Checks SRS                     37,003.65
   10/14/99     21557    Naumann Material Handling            AP Checks SRS                      6,198.82
   10/14/99      WIRE    Nippon Electronic Glass              AP - Hamlin Wires                  7,962.62
   10/14/99    552341    North Coast Rivet                    AP Checks SRS                      2,914.85
   10/14/99     21559    Northern Diecast Cor                 AP Checks SRS                    138,153.60
   10/14/99      WIRE    Oberg Industries                     A/P Lakeland Wires                 3,987.36
   10/14/99    552344    Occupational Health Systems          AP Checks SRS                        445.00
   10/14/99    552346    Organic Products Co                  AP Checks SRS                        114.80
   10/14/99      WIRE    P.N. Farrar                          A/P Lakeland Wires                 7,080.00
   10/14/99    552347    Painters Supply & Eq                 AP Checks SRS                         56.80
   10/14/99      WIRE    Pasubio Spa                          A/P Lakeland Wires                12,429.57
   10/14/99     21533    Pax Machine Works, I                 AP Checks SRS                     73,906.15
   10/14/99     21564    Penn Fibre                           AP Checks SRS                     10,000.00
   10/14/99    552350    Perfection Powder Co                 AP Checks SRS                      1,026.00
   10/14/99      WIRE    Perfection Spring Stamping           AP - SRS Wires                     1,494.70
   10/14/99     21551    Picanol Of America                   AP Checks SRS                      2,524.38
   10/14/99    552353    Pitney Bowes Inc                     AP Checks SRS                        145.44
   10/14/99    552355    Polymer Menschen                     AP Checks SRS                      1,027.42
   10/14/99    602434    Precision Industrial                 Hamilin A/P Check                    114.00
   10/14/99    552358    Premier Laboratory                   AP Checks SRS                     17,302.00
   10/14/99    552360    Progressive Stamping                 AP Checks SRS                        222.70
   10/14/99    552361    Prologis Trust                       AP Checks SRS                     21,508.01
   10/14/99     21539    Quasar                               AP Checks SRS                     19,775.00
   10/14/99    552365    Ref Alabama. Inc.                    AP Checks SRS                      2,741.17
   10/14/99    552366    Regal Steel Company                  AP Checks SRS                      7,115.30
   10/14/99     21535    Rubber & Gasket Co.                  AP Checks SRS                        511.20
   10/14/99      WIRE    RWC. Inc.                            A/P Lakeland Wires                60,000.00
   10/14/99      WIRE    Sandusky. LTD                        A/P Lakeland Wires                 7,261.40
   10/14/99    552370    Sandvik Steel - Spri                 AP Checks SRS                      7,453.35
   10/14/99    552371    Sanwa Business Credit Corp           AP Checks SRS                      1,884.28
   10/14/99    552375    Seltek                               AP Checks SRS                         96.00
   10/14/99     21546    Southwestern Automation              AP Checks SRS                        581.89
   10/14/99    552377    Specialty Metals                     AP Checks SRS                        841.60
   10/14/99      WIRE    Spiveco                              A/P Lakeland Wires                 2,797.29
   10/14/99    552380    Sullivan County General              AP Checks SRS                        202.13
   10/14/99    552381    Sunsource/Air-Dreco                  AP Checks SRS                        312.07
   10/14/99     21530    Taumel Assembly Syst                 AP Checks SRS                     50,382.15
   10/14/99      WIRE    Thomson Precision                    A/P Lakeland Wires                15,797.01
   10/14/99     21541    Trekk Equipment Grou                 AP Checks SRS                        987.50
   10/14/99      WIRE    Tremont                              A/P Lakeland Wires                73,240.00
   10/14/99    552386    Tri-County Communica                 AP Checks SRS                        624.00
   10/14/99     21560    Trident Automotive, Inc.             AP Checks SRS                     12,443.10
   10/14/99      WIRE    Truline, Inc.                        A/P Lakeland Wires                 3,109.68
   10/14/99    552387    Tucson Container Cor                 AP Checks SRS                        330.20
   10/14/99    552388    Tucson Hydraulics                    AP Checks SRS                        291.92
   10/14/99    552389    U.S. Department Of Education         AP Checks SRS                        111.60
   10/14/99    552390    Ultraform Industries                 AP Checks SRS                      5,563.39
   10/14/99    552391    Unigraphics Solutions                AP Checks SRS                      1,018.68
   10/14/99     21529    Unique Molded Produc                 AP Checks SRS                    176,466.72
   10/14/99    552392    Unique Molded Produc                 AP Checks SRS                         29.28
   10/14/99    552393    United Testing Systems               AP Checks SRS                        321.22
   10/14/99    552394    United Way Of Greater Knox           AP Checks SRS                         80.65
</TABLE>

Master Account   0999                                             Page 27 of 71


<PAGE>

                              Cash Disbursements
                  Bank of America-Master Account #81889-10116
                               October 1-31, 1999

Note:    The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date         Check       Name                           Description / Location                 Amount
    ----         -----       ----                           ----------------------                 ------
    <S>          <C>         <C>                            <C>                                  <C>
    10/14/99     21552       Valley Lubricants              AP Checks SRS                          492.00
    10/14/99     552396      Venture Industries             AP Checks SRS                        1,453.58
    10/14/99     552397      Vemay Laboratories             AP Checks SRS                          337.11
    10/14/99     10591       Void                           Lakeland A/P Check                       0.00
    10/14/99     10592       Void                           Lakeland A/P Check                       0.00
    10/14/99     10593       Void                           Lakeland A/P Check                       0.00
    10/14/99     10594       Void                           Lakeland A/P Check                       0.00
    10/14/99     10595       Void                           Lakeland A/P Check                       0.00
    10/14/99     10596       Void                           Lakeland A/P Check                       0.00
    10/14/99     10597       Void                           Lakeland A/P Check                       0.00
    10/14/99     10598       Void                           Lakeland A/P Check                       0.00
    10/14/99     10599       Void                           Lakeland A/P Check                       0.00
    10/14/99     10600       Void                           Lakeland A/P Check                       0.00
    10/14/99     10601       Void                           Lakeland A/P Check                       0.00
    10/14/99     10602       Void                           Lakeland A/P Check                       0.00
    10/14/99     10603       Void                           Lakeland A/P Check                       0.00
    10/14/99     10604       Void                           Lakeland A/P Check                       0.00
    10/14/99     10605       Void                           Lakeland A/P Check                       0.00
    10/14/99     10606       Void                           Lakeland A/P Check                       0.00
    10/14/99     10607       Void                           Lakeland A/P Check                       0.00
    10/14/99     10608       Void                           Lakeland A/P Check                       0.00
    10/14/99     10609       Void                           Lakeland A/P Check                       0.00
    10/14/99     10610       Void                           Lakeland A/P Check                       0.00
    10/14/99     10611       Void                           Lakeland A/P Check                       0.00
    10/14/99     10612       Void                           Lakeland A/P Check                       0.00
    10/14/99     10613       Void                           Lakeland A/P Check                       0.00
    10/14/99     10614       Void                           Lakeland A/P Check                       0.00
    10/14/99     10615       Void                           Lakeland A/P Check                       0.00
    10/14/99     10616       Void                           Lakeland A/P Check                       0.00
    10/14/99     10617       Void                           Lakeland A/P Check                       0.00
    10/14/99     10618       Void                           Lakeland A/P Check                       0.00
    10/14/99     10619       Void                           Lakeland A/P Check                       0.00
    10/14/99     10620       Void                           Lakeland A/P Check                       0.00
    10/14/99     10621       Void                           Lakeland A/P Check                       0.00
    10/14/99     10622       Void                           Lakeland A/P Check                       0.00
    10/14/99     10623       Void                           Lakeland A/P Check                       0.00
    10/14/99     10624       Void                           Lakeland A/P Check                       0.00
    10/14/99     10625       Void                           Lakeland A/P Check                       0.00
    10/14/99     10626       Void                           Lakeland A/P Check                       0.00
    10/14/99     10627       Void                           Lakeland A/P Check                       0.00
    10/14/99     10628       Void                           Lakeland A/P Check                       0.00
    10/14/99     10629       Void                           Lakeland A/P Check                       0.00
    10/14/99     10630       Void                           Lakeland A/P Check                       0.00
    10/14/99     10631       Void                           Lakeland A/P Check                       0.00
    10/14/99     10632       Void                           Lakeland A/P Check                       0.00
    10/14/99     10633       Void                           Lakeland A/P Check                       0.00
    10/14/99     10634       Void                           Lakeland A/P Check                       0.00
    10/14/99     10635       Void                           Lakeland A/P Check                       0.00
    10/14/99     10636       Void                           Lakeland A/P Check                       0.00
    10/14/99     10637       Void                           Lakeland A/P Check                       0.00
    10/14/99     10638       Void                           Lakeland A/P Check                       0.00
    10/14/99     10639       Void                           Lakeland A/P Check                       0.00
    10/14/99     10640       Void                           Lakeland A/P Check                       0.00
    10/14/99     10641       Void                           Lakeland A/P Check                       0.00
</TABLE>
Master Account 0999                                                Page 28 of 71

<PAGE>

<TABLE>
<CAPTION>
                               Cash Disbursements

                  Bank ot America - Master Account #81889-10116

                                October 141,1 999

Note:    The Debtors Master Account is tied to various Zero-Balance Accounts,
     which fund disbursements. The Debtor records these disbursements

in the Master account,  wherefore, to avoid duplIcating these transactions,  all
disbursements tied to the Master Account are shown below.

    Date      Check          Name       Description / Location          Amount
    ----      -----          ----       ----------------------          ------
<S>           <C>            <C>        <C>                             <C>
10/14199      10642          Void       Lakeland NP Check                 0.00
10/14/99      10643          Void       Lakeland NP Check                 0.00
10/14/99      10644          Void       Lakeland NP Check                 0.00
10/14193      10645          Void       Lakeland NP Check                 0.00
10/14/99      10646          Void       Lakeland NP Check                 0.00
10/14199      10647          Void       Lakeland NP Check                 0.00
10/14199      10648          Void       Lakeland NP Check                 0.00
10/14/99      10649          Void       Lakeland NP Check                 0.00
10/14/99      10650          Void       Lakeland NP Check                 0.00
10/14/99      10651          Void       Lakeland NP Check                 0.00
10/14/99      10652          Void       Lakeland NP Check                 0.00
10/14/99      10653          Void       Lakeland NP Check                 0.00
10/14/99      10654          Void       Lakeland NP Check                 0.00
10/14/99      10655          Void       Lakeland NP Check                 0.00
10/14/99      10656          Void       Lakeland NP Check                 0.00
10/14/99      10657          Void       Lakeland NP Check                 0.00
10/14/99      10658          Void       Lakeland NP Check                 0.00
10/14/99      10659          Void       Lakeland NP Check                 0.00
10/14/99      10660          Void       Lakeland NP Check                 0.00
10/14/99      10661          Void       Lakeland NP Check                 0.00
10/14/99      10662          Void       Lakeland NP Check                 0.00
10/14/99      10663          Void       Lakeland NP Check                 0.00
10/14/99      10664          Void       Lakeland NP Check                 0.00
10/14/99      10665          Void       Lakeland NP Check                 0.00
10/14/99      10666          Void       Lakeland NP Check                 0.00
10/14/99      10667          Void       Lakeland NP Check                 0.00
10/14/99      10668          Void       Lakeland NP Check                 0.00
10/14/99      10669          Void       Lakeland NP Check                 0.00
10/14/99      10670          Void       Lakeland NP Check                 0.00
10/14/99      10671          Void       Lakeland NP Check                 0.00
10/14/99      10672          Void       Lakeland NP Check                 0.00
10/14/99      10673          Void       Lakeland NP Check                 0.00
10/14/99      10674          Void       Lakeland NP Check                 0.00
10/14/99      10675          Void       Lakeland A/P Check                0.00
10/14/99      10676          Void       Lakeland NP Check                 0.00
10/14/99      10677          Void       Lakeland A/P Check                0.00
10/14/99      10678          Void       Lakeland NP Check                 0.00
10/14/99      10679          Void       Lakeland NP Check                 0.00
10/14/99      10680          Void       Lakeland NP Check                 0.00
10/14/99      10681          Void       Lakeland NP Check                 0.00
10/14/99      10682          Void       Lakeland NP Check                 0.00
10/14/99      10683          Void       Lakeland NP Check                 0.00
10/14/99      10684          Void       Lakeland NP Check                 0.00
10/14/99      10685          Void       Lakeland NP Check                 0.00
 0/14/99      10686          Void       Lakeland NP Check                 0.00
10/14199      10687          Void       Lakeland NP Check                 0.00
10/14199      10688          Void       Lakeland NP Check                 0.00
10/14/99      10689          Void       Lakeland NP Check                 0.00
                                        Lakeland NP Check                 0 00
10/14199      10690          Void

10/14199      10691          Void       Lakeland NP Check                 0.00
10/14199      10692          Void       Lakeland NP Check                 0.00
10/14/99      10693          Void       Lakeland NP Check                 0.00
10/14/99      10694          Void       Lakeland NP Check                 0.00
10/14199      10695          Void       Lakeland NP Check                 0.00
Master Account 0999                                                Page 29 of 71
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 141,1 999

Note:    The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

    Date         Check    Name                             Description / Location                    Amount
    ----         -----    ----                             ----------------------                    ------
    <S>          <C>      <C>                              <C>                                   <C>
    10/14/99     10696    Void                             Lakeland A/P Check                          0.00
    10/14/99     10697    Void                             Lakeland A/P Check                          0.00
    10/14/99     10698    Void                             Lakeland NP Check                           0.00
    10/14/99     10699    Void                             Lakeland NP Check                           0.00
    10/14/99     10700    Void                             Lakeland NP Check                           0.00
    10/14/99     10701    Void                             Lakeland NP Check                           0.00
    10/14/99     10702    Void                             Lakeland NP Check                           0.00
    10/14/99     10703    Void                             Lakeland NP Check                           0.00
    10/14/99     10704    Void                             Lakeland NP Check                           0.00
    10/14/99     10706    Void                             Lakeland NP Check                           0.00
    10/14/99     10706    Void                             Lakeland NP Check                           0.00
    10/14/99     10707    Void                             Lakeland NP Check                           0.00
    10/14/99     10708    Void                             Lakeland NP Check                           0.00
    10/14/99     10709    Void                             Lakeland NP Check                           0.00
    10/14/99     10710    Void                             Lakeland A/P Check                          0.00
    10/14/99     10711    Void                             Lakeland NP Check                           0.00
    10/14/99     10712    Void                             Lakeland NP Check                           0.00
    10/14/99     10713    Void                             Lakeland NP Check                           0.00
    10/14/99     10714    Void                             Lakeland NP Check                           0.00
    10/14/99     10715    Void                             Lakeland NP Check                           0.00
    10/14/99     10716    Void                             Lakeland NP Check                           0.00
    10/14/99     10717    Void                             Lakeland NP Check                           0.00
    10/14/99     10718    Void                             Lakeland NP Check                           0.00
    10/14/99     10719    Void                             Lakeland NP Check                           0.00
    10/14/99     10720    Void                             Lakeland NP Check                           0.00
    10/14/99     10721    Void                             Lakeland NP Check                           0.00
    10/14/99     10722    Void                             Lakeland NP Check                           0.00
    10/14/99     10723    Void                             Lakeland NP Check                           0.00
    10/14/99     10724    Void                             Lakeland NP Check                           0.00
    10/14/99     10725    Void                             Lakeland NP Check                           0.00
    10/14/99     10726    Void                             Lakeland A/P Check                          0.00
    10/14/99     10727    Void                             Lakeland NP Check                           0.00
    10/14/99     10728    Void                             Lakeland NP Check                           0.00
    10/14/99     10729    Void                             Lakeland NP Check                           0.00
    10/14/99     10730    Void                             Lakeland NP Check                           0.00
    10/14/99     21556    W W Grainger, Inc.               AP Checks SRS                           1,055.16
    10/14/99     21538    Warren Electric Company          AP Checks SRS                           2,663.25
    10/14/99     552398   Waste Reduction & Re             AP Checks SRS                             563.00
    10/14/99     552399   West Coast Plastics              AP Checks SRS                             616.25
    10/14/99     552402   Wim Enterprises                  AP Checks SRS                             660.00
    10/14/99     552403   Xpedx                            AP Checks SRS                             330.07
    10/15/99     WIRE     Acme Machine Automatics          NP Lakeland Wires                       7,500.00
    10/15/99     10731    Action Welding Supply, Inc.      Lakeland NP Check                       2,832.85
    10/15/99     WIRE     Alcoa Fujikura, LTD              AP - SRS Wires                        250,000.00
    10/15/99     10736    Airo Metals (Steel Div.)         Lakeland NP Check                       2,096.68
    10/15/99     602436   American Freightways             Hamilin NP Check                           48.50
    10/15/99     602443   Ma Digit Group                   Hamilin NP Check                          192.00
    10/15/99     10737    Anacreon                         Lakeland NP Check                       7,110.00
    10/15/99     21591    Applied lndustrial               AP Checks SRS                             286.50
    10/15/99     602444   Aramark Uniform Services         Hamilin NP Check                          461.28
    10/15/99     10772    Artos                            Lakeland NP Check                      10,177.00
    10/15/99     WIRE     Ashimori Industry Co.            AP - SRS Wires                          2,000.00
    10/15/99     WIRE     Ashland Chemical                 NP Lakeland Wires                      74,500.82
    10/15/99     21597    Ashland Chemical Corn            AP Checks SRS                             192.00
</TABLE>

Master Account 0999                                                Page 30 of 71

<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31,1999

  Note: The Debtors Master Account is tied to various Zero-Balance Accounts,
  which fund disbursements. The Debtor records these disbursements in the Master
  account wherefore, to avoid duplicating these transactions, all disbursements
  tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date       Check   Name                                     Description / Location                       Amount
  ----       -----   ----                                     ----------------------                       ------
<S>        <C>      <C>                                     <C>                                          <C>
10/15/99     WIRE    Associated Spring                        AP - SRS Wires                              26,277.50
10/15/99     602445  At&T                                     Hamilin NP Check                             3,918.99
10/15/99     10732   Atlantic Electronics                     Lakeland NP Check                              145.97
10/15/99     602446  Arty Frank J. Enoeian                    Hamilin NP Check                               109.48
10/15/99     21596   Autosplice, Inc.                         AP Checks SRS                                5,000.00
10/15/99     602447  Balasubramanian Ramachandran             Hamilin NP Check                               850.27
10/15/99     10773   Bax Global                               Lakeland NP Check                               98.76
10/15/99     602448  Bear Marketing, Inc.                     Hamilin NP Check                             5,697.97
10/15/99     WIRE    Berger Sieba                             AP - SRS (FX - DEM)                          25499.04
10/15/99     WIRE    Berger Sieba                             AP - SRS (FX - DEM)                          19938.67
10/15/99     602449  Bob Dean Inc.                            Hamilin NP Check                             4,326.25
10/15/99     21588   Boroer States Elect                      AP Checks SRS                                4,546.22
10/15/99     10774   Bradford Industries                      Lakeland NP Check                           76,414.11
10/15/99     21576   Bundy Corporation                        AP Checks SRS                                1,879.14
10/15/99     21569   Burlington Air Import                    AP Checks SRS                                   16.00
10/15/99     602450  C & H Distnbutors                        Hamilin NP Check                                97.18
10/15/99     10775   Capsonic Group. nc.                      Lakeland NP Check                           11,412.22
10/15/99     21571   Carton-Bates Co                          AP Checks SRS                                1,185.00
10/15/99     10738   Center/Child Support Receipt Unit        Lakeland NP Check                              343.99
10/15/99     10767   Central Child Support Receipt Unit       Lakeland NP Check                              259.00
10/15/99     WIRE    Century Fasteners                        NP Lakeland Wires                            9,330.00
10/15/99     602451  Chaney Systems. Inc.                     Hamilin NP Check                               325.00
10/15/99     602452  Chapter 13 Trustee                       Hamilin NP Check                                62.00
10/15/99     Wire    Checks Clearing                          Payroll                                     65,347.70
10/15/99     WIRE    Cherry Electrical                        AP - SRS Wires                             150,000.00
10/15/99     602453  Cinderella/Sheps Cleaning                Hamilin NP Check                             1,631.03
10/15/99     21599   Circuit Controls Corporation             AP Checks SRS                                2,000.00
10/15/99     10739   City Of Farmington Hills                 Lakeland NP Check                              515.00
10/15/99     10740   Clearinghouse                            Lakeland NP Check                              996.50
10/15/99     602454  Coakley, Boyd & Abbett, Inc.             Hamilin NP Check                             7,342.82
10/15/99     602455  Coakley, Boyd & Abbett, Inc.             Hamilin NP Check                             2,046.37
10/15/99     21575   Columbia Marking Too                     AP Checks SRS                                  199.25
10/15/99     602456  Columbus Chemical Ind Inc                Hamilin NP Check                               875.48
10/15/99     10741   Cook Spnng                               Lakeland NP Check                              375.00
10/15/99     21579   Cook'S Pest Control                      AP Checks SRS                                  130.00
10/15/99     21583   Crompton & Knowies C                     AP Checks SRS                                1,406.00
10/15/99     21598   0 & G Dyes. Inc.                         AP Checks SRS                                5,599.00
10/15/99     602457  Deaken Technical Sales                   Hamilin NP Check                             1,233.45
10/15/99     10746   Denise Everett-Petty Cash                Lakeland NP Check                              640.17
10/15/99     602458  Design Technology Sales                  Hamilin NP Check                             2,797.38
10/15/99     10742   Dexter Electronics Matenals Div.,        Lakeland NP Check                            6,633.25
10/15/99     10743   District Clerk's Office                  Lakeland NP Check                               53.34
10/15/99     602459  Diversified Personnel Servic             Hamilin NP Check                             3,979.54
10/15/99     21573   Dooley Chemical Company                  AP Checks SRS                                8,424.00
10/15/99     WIRE    Eagle Ottawa Leather Co                  NP Lakeland Wires                           36,000.00
10/15/99     WIRE    Eaton Corp                               AP - SRS Wires                              27,700.00
10/15/99     21592   Eclipse Mold, lncorp                     AP Checks SRS                              115,108.00
10/15/99     10744   El Paso District Clerk                   Lakeland NP Check                              208.12
10/15/99     602460  Electramark Inc.                         Hamilin NP Check                             1,613.43
10/15/99     10745   Electrical Mechanical Drives             Lakeland NP Check                               35.07
10/15/99     10776   Fci Automotive Group                     Lakeland NP Check                            3,956.86
10/15/99     10747   Figley Die                               Lakeland NP Check                              520.00
10/15/99     21595   Fishercast                               AP Checks SRS                               12,800.00
10/15/99     10748   Five Star Staffing                       Lakeland NP Check                           23,198.94
</TABLE>

Master Account 0999                                                Page 31 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31,1999

  Note: The Debtors Master Account is tied to various Zero-Balance Accounts,
  which fund disbursements. The Debtor records these disbursements in the Master
  account wherefore, to avoid duplicating these transactions, all disbursements
  tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date        Check     Name                                   Description / Location                       Amount
  ----        -----     ----                                   ----------------------                       ------
<S>         <C>        <C>                                     <C>                                          <C>
10/15/99      602461    Flambeau Micro Co                        Hamilin NP Check                             6,383.85
10/15/99      10749     Florida Dept. Labor/Div Unemployment     Lakeland NP Check                           65,587.79
10/15/99      10750     Florida Legal Assistants, Inc.           Lakeland NP Check                               60.00
10/15/99      10751     Friend Of The Court                      Lakeland NP Check                              261.63
10/15/99      10752     Friend Of The Court                      Lakeland NP Check                              267.59
10/15/99      10753     Friend Of The Court                      Lakeland NP Check                            1,139.85
10/15/99      10754     Friend Of The Court                      Lakeland NP Check                            1,039.47
10/15/99      10755     Friend Of The Court                      Lakeland NP Check                              650.55
10/15/99      10777     Friend Of The Court                      Lakeland NP Check                              193.50
10/15/99      Wire      Gelco (Breed)                            Travel & Entertainment                         402.11
10/15/99      Wire      Gelco (SRS)                              Travel & Entertainment                       2,505.58
10/15/99      10756     General Controls                         Lakeland NP Check                            4,014.70
10/15/99      10733     Graybar Electric                         Lakeland NP Check                            2,757.37
10/15/99      602462    Groh Associates                          Hamilin NP Check                             3,395.00
10/15/99      602463    Gte North                                Hamilin NP Check                               932.68
10/15/99      602496    GZa Geo Environmental Inc                Hamilin NP Check                             1,213.00
10/15/99      WIRE      Hamlin Tool and Machine                  AP - SRS Wires                               7,044.49
10/15/99      602464    Hankuk Sangsa Company                    Hamilin NP Check                               342.00
10/15/99      WIRE      HM Company                               NP Lakeland Wires                            1,834.83
10/15/99      10778     Hydraulic & Pneumatic Eng.               Lakeland NP Check                            5,413.42
10/15/99      602438    Hydrite Chemical Co                      Hamilin NP Check                               439.95
10/15/99      602498    Hytech Spnng And Machine                 Hamilin NP Check                             3,818 40
10/15/99      602465    Indigo Elect Ltd                         Hamilin NP Check                             2,020.76
10/15/99      WIRE      ITW Drawform                             NP Lakeland Wires                          150,000.00
10/15/99      WIRE      Jackson Tube                             NP Lakeland Wires                           44,000.00
10/15/99      602466    Jefferson Cnty Human Resource            Hamilin NP Check                               100.00
10/15/99      21585     Kamax - G B Dupont                       AP Checks SRS                                6,446.52
10/15/99      10779     King Industrial                          Lakeland NP Check                              773.99
10/15/99      21587     Komax Corporation                        AP Checks SRS                                  242.72
10/15/99      21593     Lenmar Chemical Company                  AP Checks SRS                               12,375.00
10/15/99      602497    Leybold Materials Inc                    Hamilin NP Check                            12,390.00
10/15/99      10780     Lincoln Mathews                          Lakeland NP Check                            1,200.00
10/15/99      602467    Loeder Oil Co                            Hamilin NP Check                               118.94
10/15/99      602468    Ltd Technologies                         Hamilin NP Check                               356.50
10/15/99      10734    M & S Spnng Co. Inc                       Lakeland NP Check                           14,500.00
10/15/99      WIRE     Maderas Procesadas                        NP Lakeland Wires                           30,000.00
10/15/99      602469   Manpower                                  Hamilin NP Check                             3,853.96
10/15/99      602470   Markgraf Collection Agency                Hamilin NP Check                                25.00
10/15/99      602471   Mary Anne Weidenfeller                    Hamilin NP Check                                50.00
10/15/99      10781    Mayco Plastics Inc                        Lakeland NP Check                          125,000.00
10/15/99      10757    Mcarthur Termite And Pest Control         Lakeland NP Check                              426.65
10/15/99      602472   Mci Telecommunications                    Hamilin NP Check                             2,545.14
10/15/99      WIRE     Metal Impact                              NP Lakeland Wires                           50,000.00
10/15/99      602473   Mexicana De Electronica Ind               Hamilin NP Check                             1,323.10
10/15/99      602474   Mongue & Witt S.C.                        Hamilin NP Check                                30.00
10/15/99      21574    Morgan Lumber Sales                       AP Checks SRS                               20,877.10
10/15/99      602439   Motion Industries                         Hamilin NP Check                               428.53
10/15/99      602475   Msc Industrial Supply Co                  Hamilin NP Check                               205.78
10/15/99      21590    National Metal Processing                 AP Checks SRS                               15,000.00
10/15/99      10758    Natoli Engineering Co. Inc                Lakeland NP Check                                 935
10/15/99      602476   Naudain Assoolno.                         Hamilin NP Check                               985.14
10/15/99      602477   Naudain South                             Hamilin NP Check                             1,115.74
10/15/99      602476   Norrell                                   Hamilin NP Check                            11,557.61
10/15/99      10782    Northem Diecast Corp                      Lakeland NP Check                           92,104.68
</TABLE>

Master Account 0999                                                Page 32 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31,1999

  Note: The Debtors Master Account is tied to various Zero-Balance Accounts,
  which fund disbursements. The Debtor records these disbursements in the Master
  account wherefore, to avoid duplicating these transactions, all disbursements
  tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date      Check     Name                                     Description / Location                       Amount
  ----      -----     ----                                     ----------------------                       ------
<S>       <C>        <C>                                     <C>                                          <C>
10/15/99    10759     Otto Bock                                Lakeland A/P Check                          43,092.00
10/15/99    WIRE      Pasubio Spa                              A/P Lakeland Wires                         418,339.90
10/15/99    WIRE      PD George                                AP - Hamlin Wires                            4,405.10
10/15/99    10760     Phyllis Bracher, Trustee                 Lakeland NP Check                              250.00
10/15/99    10783     Pitney Bowes                             Lakeland NP Check                              300.00
10/15/99    10761     Plastic Process Equip.                   Lakeland NP Check                              530.06
10/15/99    21572     Ppg-Chemfil Corp                         AP Checks SRS                                1,271.60
10/15/99    10784     Praine Technology Group                  Lakeland NP Check                           28,196.08
10/15/99    602479    Pridham Electronics                      Hamilin NP Check                               111.60
10/15/99    10762     Pro Rad, Inc                             Lakeland NP Check                            6,030.00
10/15/99    21580     Productivity Improvement Ctr             AP Checks SRS                                3,190.00
10/15/99    602480    Proforma Technigraphics                  Hamilin A/P Check                              763.56
10/15/99    602481    Rand Worldwide                           Hamilin NP Check                             3,216.00
10/15/99    10763     Ratonal Industrial Ltd                   Lakeland NP Check                            5,472.00
10/15/99    10764     Registry Of The Court                    Lakeland NP Check                              113.00
10/15/99    WIRE      Renolds Renolds                          NP Lakeland Wires                            9,120.00
10/15/99    10785     Reska Spline Products Inc                Lakeland NP Check                            6,352.00
10/15/99    WIRE      River City Plastics                      NP Lakeland Wires                              659.75
10/15/99    21578     Rochester Tube Produ                     AP Checks SRS                               24,075.00
10/15/99    21581     Rubber & Gasket Co.                      AP Checks SRS                                  797.92
10/15/99    602482    Rubin & Dombaum                          Hamilin NP Check                             1,420.00
10/15/99    602483    Rush & West                              Hamilin NP Check                             3,647.35
10/15/99    602484    Sales & Engineering AssocIn              Hamilin NP Check                             2,347.97
10/15/99    21584     Sanbom Wire Product                      AP Checks SRS                                  787.00
10/15/99    10765     Sigma Systems Inc                        Lakeland NP Check                            3,657.00
10/15/99    21589     Southeast Plastics C                     AP Checks SRS                               56,775.50
10/15/99    10766     Spectrum Solutions                       Lakeland NP Check                            5,208.00
10/15/99    WiRE      Stevens Co                               NP Lakeland Wires                            3,900.00
10/15/99    10786     Surtidora Ind. Regiomontana              Lakeland NP Check                           20,000.00
10/15/99    602485    Techstaff, Inc.                          Hamilin NP Check                             4,020.00
10/15/99    WIRE      Tenneco Packaging                        NP Lakeland Wires                           75,000.00
10/15/99    602486    Texport Electronic Sales Co.             Hamilin A/P Check                            5,086.59
10/15/99    602437    The P.D. George Company                  Hamilin NP Check                             4,022.50
10/15/99    21600     Toshiba Machine Co Of                    AP Checks SRS                                1,500.00
10/15/99    10768     Trinary Systems Inc                      Lakeland NP Check                            4,836.80
10/15/99    WIRE      TRW Automotive                           NP Lakeland Wires                           50,302.00
10/15/99    602487    U.S. Cellular                            Hamilin NP Check                               335.75
10/15/99    10769     Uline                                    Lakeland NP Check                              324.76
10/15/99    21594     Unisource, Inc.                          AP Checks SRS                                  490.51
10/15/99    10770     Uni-Wash, Inc.                           Lakeland NP Check                            2,049.00
10/15/99    21582     Valley Lubncants                         AP Checks SRS                                  492.00
10/15/99    21577     Varosa Company                           AP Checks SRS                                1,844.70
10/15/99    602488    Vernexx                                  Hamilin A/P Check                            1,963.32
10/15/99    602429    Void Check                               Hamilin NP Check                                 0.00
10/15/99    602433    Void Check                               Hamilin NP Check                                 0.00
10/15/99    602440    Void Check                               Hamilin NP Check                                 0.00
10/15/99    602441    Void Check                               Hamilin NP Check                                 0.00
10/15/99    602442    Void Check                               Hamilin NP Check                                 0.00
10/15/99    602489    Wallace Electronic Sales, In             Hamilin NP Check                             3,840.60
10/15/99    10787     Weeks, Clyde 0.                          Lakeland NP Check                            1,750.00
10/15/99    602490    Westrep                                  Hamilin NP Check                               548.49
10/15/99    WIRE      Whitlam Label Co                         NP Lakeland Wires                           I ,773.60
10/15/99    10771     Wiegel Tool Works Inc                    Lakeland NP Check                            1,579.48
10/15/99    602491    William ChattertonTrustee                Hamilin A/P Check                               17.00
</TABLE>

Master Account 09999                                              Page 33 of 71
<PAGE>

                               Cash Disbursements
                  Bank of America - Master Account #81889-10116
                                October 1-31,1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date      Check    Name                                  Description / Location         Amount
  ----      -----    ----                                  ----------------------         ------
<S>         <C>      <C>                                   <C>                         <C>
10/15/99    602492   Wisconsin Electric Power Co.          Hamilin NP Check                183.26
10/15/99    602493   Wisconsin Industrial Truck            Hamilin NP Check                111.03
10/15/99    602494   Wisconsin Sctf                        Hamilin NP Check                334.41
10/15/99    602495   Wright Vending                        Hamilin NP Check                 37.98
10/15/99     10735   Yellow Freight                        Lakeland NP Check             4,177.85
10/15/99    BREED Automotive LP                            Transfer from Debtor          5,000.00
10/15/99    Adjustment for Closed AP Accounts                                              192.49
10/15/99    Adjustment for Closed AP Accounts                                            1,518.90
10/18/99    552404   Absopure Water Co.                    AP Checks SRS                     8.67
10/18/99     10801   Action Welding Supply, Inc.           Lakeland NP Check               584.06
10/18/99     10788   Adams Air & Hydraulics Inc.           Lakeland NP Check             1,027.09
10/18/99    552405   Adecco Employment Services            AP Checks SRS                 4,932.13
10/18/99     10821   Adecco Inc                            Lakeland NP Check             9,995.75
10/18/99    Wire     ADP Payroll Tax                       Payroll Tax                  41,013.05
10/18/99    Wire     ADP Payroll Tax                       Payroll Tax                  76,254.73
10/18/99     10822   Adt Security Systems                  Lakeland NP Check               350.26
10/18/99    552406   Advanced Bag                          AP Checks SRS                 1,587.50
10/18/99     10820   A-Jax Company. Inc.                   Lakeland NP Check                27.92
10/18/99     10789   Alro Metals (Steel Div.)              Lakeland NP Check               400.21
10/18/99     10802   Alro Metals (Steel Div.)              Lakeland NP Check             1,657.46
10/18/99     21609   Alro Steel Corporation                AP Checks SRS                   430.92
10/18/99    602501   Alvan Motor Freight Inc.              Hamilin NP Check                111.70
10/18/99    602504   American Freightways                  Hamilin NP Check                107.07
10/18/99    552407   American Office Prod                  AP Checks SRS                   273.66
10/18/99     10824   Ameritech                             Lakeland NP Check               776.89
10/18/99    552409   Ameritech                             AP Checks SRS                    77.56
10/18199    552411   Anderson County Chan                  AP Checks SRS                   341.16
10/18/99     21607   Applied Industrial Technolog          AP Checks SRS                 2,158.60
10/18/99    552412   Arbill Glove & Safety Prod            AP Checks SRS                 1,206.80
10/18/99     21616   Aristocrat Stamping                   AP Checks SRS               100,000.00
10/18/99    602502   Ashby Cross Co. Inc.                  Hamilin A/P Check               738.10
10/18/99     10825   At&T                                  Lakeland NP Check               107.77
10/18/99     10826   At&T Easy Link Services               Lakeland NP Check                13.00
10/18/99    WIRE     Atlantic Research                     NP Lakeland Wires           700,000.00
10/18/99     10827   Automatic Data Processing             Lakeland A/P Check            2,315.67
10/18/99    552414   Automatic Spring Pro                  AP Checks SRS                 2,402.77
10/18/99    WIRE     Averitt Express                       NP Lakeland Wires                45.95
10/18/99    WIRE     Aztec Wire                            NP Lakeland Wires             9,464.00
10/18/99     10828   Bell Atlantic - Nj                    Lakeland NP Check               296.79
10/18/99     10829   Bell South                            Lakeland NP Check             2,003.60
10/18/99     10803   Bemies Photo                          Lakeland NP Check               417.22
10/18/99    552415   Bems Landscaping Svcs, Inc.           AP Checks SRS                   155.00
10/18/99     10790   Boats Express Corp                    Lakeland NP Check               596.00
10/18/99     10830   Border Tech Enterprises               Lakeland NP Check               633.26
10/18/99     10832   British Standards Institution, Inc.   Lakeland A/P Check            2,250.00
10/18/99    WIRE     Camcar Textron                        AP - SRS Wires                4,500.00
10/18/99     10804   Cardell Corporation                   Lakeland NP Check             2,266.42
10/18/99     10836   Centennial Wireless                   Lakeland A/P Check              112.45
10/18/99    WIRE     Central Transport                     NP Lakeland Wires             9,848.46
10/18/99     10837   Ceridian                              Lakeland NP Check             3,957.18
10/18/99    WIRE     Charter Electronics                   NP Lakeland Wires             5,697.50
10/18/99    Wire     Checks Clearing                       Payroll                     410,336.51
10/18/99     10838   Cintas Corporation                    Lakeland NP Check             1,263.87
10/18/99    552425   Citicorp Del-Lease. Inc.              AP Checks SRS                 2,314.34

Master Account 0999                                                                  Page34 of 7l
</TABLE>
<PAGE>

                               Cash Disbursements
                  Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date    Check    Name                             Description / Location                Amount
    ----    -----    ----                             ----------------------                ------
<S>         <C>      <C>                              <C>                               <C>
10/18/99     10839   Citrus Club                      Lakeland NP Check                     392.59
10/18/99    602499   Columbus Chemical Ind Inc        Hamilin NP Check                      238.68
10/18/99    552426   Computer Sales Intenational      AP Checks SRS                      24,229.00
10/18/99    552427   Computer Sales International     AP Checks SRS                      33,875.13
10/18/99    552428   Computer Sales Intl.             AP Checks SRS                       1,685.00
10/18/99    552429   Consolidated Freightways         AP Checks SRS                          46.00
10/18/99     21604   Copper Welding Compo             AP Checks SRS                         441.88
10/18/99     21618   Crompton & Knowles C             AP Checks SRS                       1,406.00
10/18/99    WIRE     CTC Engineering                  NP Lakeland Wires                  50,000.00
10/18/99    WIRE     Cueros Industrializados          NP Lakeland Wires                 139,988.80
10/18/99    552431   Cumberland Clarklift             AP Checks SRS                       4,884.21
10/18/99    552432   Customer Service Electric        AP Checks SRS                         793.21
10/18/99    552434   Dop Warehouse                    AP Checks SRS                       9,001.66
10/18/99     10842   Dlf Container                    Lakeland NP Check                   2,194.50
10/18/99    552436   Dsi Security Service             AP Checks SRS                       1,948.74
10/18/99     10791   Dsi Sewing Machine Supplies      Lakeland NP Check                   1,685.82
10/18199    552437   Dudek And Bock Spnn              AP Checks SRS                       5,055.25
10/18/99    WIRE     Dupont                           AP - SRS Wires                     42,011.70
10/18/99     21615   Dynacast Canada Inc.             AP Checks SRS                      11,297.69
10/18/99     21614   E&S Industrial Produ             AP Checks SRS                       4,902.00
10/18/99    552442   Effective Training Inc.          AP Checks SRS                       6,806.00
10/18/99     10843   Ellsworth Adhesives Systems      Lakeland NP Check                   1,704.60
10/18/99    552443   Emhart Industries, I             AP Checks SRS                         376.86
10/18/99    WIRE     Engineered Plastic               NP Lakeland Wires                   9,664.58
10/18/99     10605   Engineering Specialties Inc      Lakeland NP Check                   7,185.40
10/18/99     21608   Enterprise Paint & I             AP Checks SRS                       5,029.70
10/18/99     10806   Excell Tool Service              Lakeland NP Check                   2,752.00
10/18/99     10844   Ferro Corporation                Lakeland NP Check                   4,089.46
10/18/99     10845   Fisher Corp                      Lakeland NP Check                   3,614.34
10/18/99    552448   Free-Gate Fasteners              AP Checks SRS                       9,626.80
10/18/99    552449   Fv-Services                      AP Checks SRS                       1,225.36
10/18199    552450   Ge Information Servi             AP Checks SRS                          64.79
10/18/99    Wire     Gelco (Breed)                    Travel & Entertainment              3,818.18
10/18/99    Wire     Gelco (SRS)                      Travel & Entertainment              1,512.34
10/18/99     10847   Gelco Information Network        Lakeland NP Check                   3,342.18
10/18/99    552451   Gerber Garment Technology        AP Checks SRS                         950.00
10/18/99     10848   Grasslands Golf & Country Club   Lakeland NP Check                     100.70
10/18/99     10807   Graybar Electric                 Lakeland NP Check                      95.90
10/18/99    WIRE     Greening Donald                  NP Lakeland Wires                   9,841.55
10/18/99     10850   Gte North                        Lakeland NP Check                      65.50
10/18/99     10792   Gulf Controls                    Lakeland NP Check                     379.11
10/18/99    552455   H & L Tool                       AP Checks SRS                         648.00
10/18/99    552456   H.L. Yoh Company Lb              AP Checks SRS                       4,266.30
10/18/99     10851   Hai (Howard-Ayusa)               Lakeland NP Check                   3,882.14
10/18/99    WIRE     Hamlin Tool and Machine          AP - SRS Wires                     15,907.62
10/18/99    552459   Hewlett Packard                  AP Checks SRS                       1,191.00
10/18/99     10808   Hurta, Deborah                   Lakeland NP Check                     513.00
10/18/99    602503   Hydrite Chemical Co              Hamilin NP Check                      314.00
10/18/99     21606   Indenboard Systems I             AP Checks SRS                          80.00
10/18/99     10853   Ink Well                         Lakeland NP Check                      36.04
10/18/99     21619   Instrument Control T             AP Checks SRS                         600.00
10/18/99     10793   Intergroup Of Arizona            Lakeland NP Check                  13,957.64
10/18/99    552470   Jakob Muller Of Amer             AP Checks SRS                       2,618.75
10/18/99    WIRE     Kane Magnetics                   AP - Hamlin Wires                   8,011.08

Master Account 0999                                                                  Page 35 of 71
</TABLE>
<PAGE>

                               Cash Disbursements
                  Bank of America - Master Account #81889-10116
                                October 1-31,1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date    Check    Name                             Description / Location          Amount
    ----    -----    ----                             ----------------------          ------
<S>         <C>      <C>                              <C>                         <C>
10/18/99     10794   Lds Vacuum Products, Inc.        Lakeland NP Check             5,476.20
10/18/99     10809   Leader Plating On Plastic        Lakeland A/P Check              150.00
10/18/99     10810   Leoco (Usa) Corp.                Lakeland NP Check             9,446.00
10/18/99    602505   Leybold Materials Inc            Hamilin NP Check            324,110.64
10/18/99     10811   Uno Systems                      Lakeland NP Check               317.40
10/18/99    552462   Lucent Technologies              AP Checks SRS                 3,930.96
10/18/99     10855   Macmillan Bloedel Containers     Lakeland NP Check               359.10
10/18/99     21617   Magid Glove & Safety             AP Checks SRS                   500.00
10/18/99     10795   Magnetic Shield Division         Lakeland NP Check             3,330.00
10/18/99     21601   Maya Plastics, Inc.              AP Checks SRS                10,000.00
10/18/99     10856   Mayco Plastics Inc               Lakeland NP Check             41692.49
10/18/99     10857   Mci Telecommunications           Lakeland NP Check                63.40
10/18/99    552463   Mci Telecommunications           AP Checks SRS                     6.68
10/18/99    552464   Mci Telecommunications           AP Checks SRS                    17.30
10/18/99    WIRE     Methode                          NP Lakeland Wires           317,670.05
10/18/99    WIRE     Micro-Line Assoc.                NP Lakeland Wires             5,460.00
10/18/99    552469   Msx Intemational In              AP Checks SRS                 1,930.01
10/18/99     10812   Neuco Distributors               Lakeland NP Check               375.00
10/18/99    552473   Oakland Office Equipment Plu     AP Checks SRS                    62.18
10/18/99     10796   Onsite Commercial Staffing       Lakeland A/P Check            1,379.58
10/18/99     10813   Otto Bock                        Lakeland NP Check            48,437.52
10/18/99     10860   Par Industries                   Lakeland NP Check            41,292.16
10/18/99    552476   Peterson Manufacturi             AP Checks SRS                   656.36
10/18/99    WIRE     Petro Extrusion Technologies     AP - SRS Wires                9,201.00
10/18/99    552477   Pinton Engineering               AP Checks SRS                 1,920.00
10/18/99     10819   Poly Coatings Of The South       Lakeland NP Check             2,868.40
10/18/99    WIRE     Powdertek, Inc.                  NP Lakeland Wires            18,913.69
10/18/99    WIRE     Powdertek, Inc.                  NP Lakeland Wires             1,365.93
10/18/99     21605   Ppg Industries Inc               AP Checks SRS                   216.00
10/18/99    602500   Price Engineering Co., Inc.      Hamilin NP Check                372.02
10/18/99    552481   Regal Steel Company              AP Checks SRS                 7,764.54
10/18/99     10797   Roadway Express Inc.             Lakeland NP Check               131.21
10/18/99     21612   Roadway Express. Inc.            AP Checks SRS                   164.78
10/18/99    WIRE     Rocky Mountain Plastics          AP - SRS Wires              300,000.00
10/18/99    552484   Sandvik Steel - Spri             AP Checks SRS                   414.00
10/18/99    WIRE     Siemens                          AP - SRS Wires                5,515.50
10/18/99     21603   Sonoco Products Comp             AP Checks SRS                 1,738.59
10/18/99    552486   Specialty Metals                 AP Checks SRS                    54.43
10/18/99     10864   Spoto'S Flowers & Gifts          Lakeland NP Check                42.40
10/18/99     10814   State Fire Marshall              Lakeland NP Check               938.00
10/18/99     10815   Suncoast Heat Treat Inc.         Lakeland NP Check               103.40
10/18/99    WIRE     Sungwoo Corp                     AP - SRS Wires                2,375.75
10/18/99     21613   Superior Plastics                AP Checks SRS                   407.04
10/18/99     10865   Tampa Pallet                     Lakeland NP Check               445.50
10/18/99    552493   The University Of Te             AP Checks SRS                  88,5.00
10/18/99     10817   Tox Pressotechnik                Lakeland NP Check             1,349.00
10/18/99    WIRE     TRW, Inc.                        AP - SRS Wires                7,900.00
10/18/99    552490   Ultraform Industries             AP Checks SRS                 1,224.00
10/18/99     10867   Unifirst Corporation             Lakeland A/P Check              175.06
10/18/99    WIRE     Unisourse TX                     NP Lakeland Wires             7,776.00
10/18/99    552494   Venture Industries               AP Checks SRS                16,555.60
10/18/99     10868   Vertec Mfg. Corp.                Lakeland NP Check            83,981.35
10/18/99     10816   Void                             Lakeland NP Check                 0.00
10/18/99     10823   Void                             Lakeland NP Check                 0.00

Master Account 0999                                                                          Page 36 of 71
</TABLE>
<PAGE>

                               Cash Disbursements
                  Bank of America - Master Account #81889-10116
                               October 1.31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date      Check    Name                               Description / Location                Amount
  ----      -----    ----                               ----------------------                ------
<S>         <C>      <C>                                <C>                             <C>
10/18/99     10831   Void                               Lakeland NP Check                       0.00
10/18/99     10833   Void                               Lakeland NP Check                       0.00
10/18/99     10834   Void                               Lakeland NP Check                       0.00
10/18/99     10835   Void                               Lakeland NP Check                       0.00
10/18/99     10840   Void                               Lakeland NP Check                       0.00
10/18/99     10841   Void                               Lakeland NP Check                       0.00
10/18/99     10846   Void                               Lakeland NP Check                       0.00
10/18/99     10849   Void                               Lakeland NP Check                       0.00
10/18/99     10852   Void                               Lakeland A/P Check                      0.00
10/18/99     10854   Void                               Lakeland NP Check                       0.00
10/18/99     10858   Void                               Lakeland A/P Check                      0.00
10/18/99     10859   Void                               Lakeland NP Check                       0.00
10/18/99     10861   Void                               Lakeland NP Check                       0.00
10/18/99     10862   Void                               Lakeland A/P Check                      0.00
10/18/99     10863   Void                               Lakeland NP Check                       0.00
10/18/99     10866   Void                               Lakeland NP Check                       0.00
10/18/99     10871   Void                               Lakeland A/P Check                      0.00
10/18/99    552492   Waste Management                   AP Checks SRS                         516.00
10/18/99     10799   Watkins Motor Lines, inc.          Lakeland NP Check                     135.00
10/18/99     10869   Weeks, Clyde 0.                    LakLeland A/P Check                   500.00
10/18/99     10870   West Coast Golf Cars               Lakeland NP Check                     379.61
10/18/99     21602   Whittar Steel                      AP Checks SRS                     230,000.00
10/18/99     10818   Wiegel Tool Works Inc              Lakeland NP Check                   4,173.00
10/18199     10798   Woods, Brad                        Lakeland NP Check                      46.68
10/18/99    552496   Xpedx                              AP Checks SRS                         330.49
10/18/99     10800   Xpedx - Tampa                      Lakeland NP Check                   2,178.20
10/18/99    BREED    Steering Systems                   Transfer to Debtor              1,471,710.40
10/18/99    BREED    China                              Transfer to Non-Debtor             30,660.00
10/18/99    BREED    China                              Transfer to Non-Debtor              8,628.00
10/18/99    Adjustment for Closed AP Accounts                                                  77.00
10/18/99    Adjustment for Closed AP Accounts                                               1,158.76
10/19/99    WIRE     3M                                 AP - SRS Wires                      9,164.40
10/19/99     10872   Action Staffing                    Lakeland NP Check                   1,674.15
10/19/99    602510   Airgas Lyons. Inc.                 Hamilin NP Check                      345.62
10/19/99     21639   Alkar Steel Corporation            AP Checks-SRS                       1,142.50
10/19/99    WIRE     AlliedSignal, Inc.                 AP-SRS Wires                      676,225.00
10/19/99    602507   American Freightways               Hamilin NP Check                      191.07
10/19/99     10877   Anacreon                           Lakeland NP Check                  11,184.00
10/19/99     10878   Angel San Inocencio                Lakeland NP Check                   4,940.00
10/19/99    WIRE     Barium Chemicals                   NP Lakeland Wires                   3,195.50
10/19/99     10879   Bax Global                         Lakeland NP Check                     200.72
10/19/99    602509   Beste Sci-Glass                     Hamilin NP Check                     360.00
10/19/99    WIRE     BSRS GMBH                          NP Lakeland Wires                  11,000.00
10/19/99    Wire     BTI                                Employee Contribution               3,706.77
10/19/99    Wire     BTI                                401 (k) Plan Match                  1,588.62
10/19/99     10880   Cardell Corporation                Lakeland NP Check                  13,779.84
10/19/99     10881   Centra, Inc.                       Lakeland A/P Check                    709.84
10/19/99    Wire     Ceridian Payroll Direct Deposit    Payroll                            22,819.16
10/19199    Wire     Ceridian Payroll Direct Deposit    Payroll                            15,280.06
10/19/99    Wire     Ceridian Payroll Direct Deposit    Payroll                             5,596.87
10/19/99    Wire     Checks Clearing                    Payroll                            72,635.47
10/19/99    WIRE     Chemco                             NP Lakeland Wires                   2,888.89
10/19/99     10882   Compusystems                       Lakeland A/P Check                  5,508.00
10/19/99    WIRE     Contrex                            NP Lakeland Wires                   3,872.00

Master Account 0999                                                                  Page 37 of 71
</TABLE>
<PAGE>

                               Cash Disbursements
                  Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note:  The Debtors Master Account Is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date      Check    Name                                     Description 1 Location               Amount
  ----      -----    ----                                     ----------------------               ------
<S>         <C>      <C>                                      <C>                            <C>
10/19/99     10883   Dexter Auto. Materials                   Lakeland A/P Check                  34,064.69
10/19/99     21622   Dickson Associates                       AP Checks SRS                        2,047.00
10/19/99     10884   District Clerk'S Office                  Lakeland NP Check                      350.00
10/19/99     21630   Dj Incorporated                          AP Checks SRS                      250,000.00
10/19/99     21631   Dj Plastics                              AP Checks SRS                      250,000.00
10/19/99     21636   Eagle Usa                                AP Checks SRS                          410.57
10/19/99     10899   Electrical Mechanical Drives             Lakeland NP Check                      262.66
10/19/99     10885   Environmental Resource Assoc.            Lakeland NP Check                      140.70
10/19/99     10886   Florida Dept. Labor/Div Unemployment     Lakeland NP Check                    1,608.45
10/19/99     21625   Forest City Technologiesino              AP Checks SRS                          450.00
10/19/99     10887   Gaiser Tool Company                      Lakeland NP Check                      833.48
10/19/99     10888   Gallaher & Associates                    Lakeland A/P Check                   2,187.50
10/19/99    WIRE     GE Plastics                              NP Lakeland Wires                    5,852.00
10/19/99    Wire     Gelco (Breed)                            Travel & Entertainment                 655.33
10/19/99    Wire     Gelco (SRS)                              Travel & Entertainment                 599.31
10/19/99    WIRE     Genesis Molding                          NP Lakeland Wires                    3,869.32
10/19/99    WIRE     Gibbs Wire and Steel                     AP - SRS Wires                       4,800.00
10/19/99     21635   Gilco Incorporated                       AP Checks SRS                       34,644.24
10/19/99     10873   Glt Office Plus                          Lakeland A/P Check                   2,221.91
10/19/99    WIRE     Great West - Medical                     BREED                              136,005.67
10/19/99    WIRE     Great West - Medical                     BREED                               60,377.62
10/19/99    WIRE     Great West- Medical                      BSRS                                 4,033.46
10/19/99    Wire     Great West - Medical                     Hamlin, Inc.                        28,407.27
10/19/99     10889   Great Westem Inorganics                  Lakeland NP Check                   20,910.00
10/19/99     10890   Guang Hong                               Lakeland NP Check                    6,632.65
10/19/99    WIRE     Hamlin Tool and Machine                  AP - SRS Wires                      55,929.24
10/19/99     10874   Hardinge Brothers, Inc.                  Lakeland NP Check                      140.10
10/19/99    WIRE     Hasco Components                         NP Lakeland Wires                   56,800.00
10/19/99     21637   Header Products                          AP Checks SRS                        3,831.20
10/19199     21629   Horizon Steel Co. Of                     AP Checks SRS                        2,615.00
10/19199     21640   Horizon Steel Co. Of                     AP Checks SRS                        9,843.00
10/19199    WIRE     Industrial Electric                      NP Lakeland Wires                    2,341.20
10/19199     21632   K And K Stamping                         AP Checks SRS                          216.20
10/19199     10893   Keith Napier                             Lakeland NP Check                    6,005.22
10/19199     10891   Kelly Services, Inc. (Fl)                Lakeland NP Check                    1,012.13
10/19199     10875   Laser Power Optics                       Lakeland NP Check                    2,146.00
10/19199     21638   Lea And Sachs Inc.                       AP Checks SRS                          402.10
10/19199     21634   Lunar Industries, Inc.                   AP Checks SRS                        1,000.00
10/19199     21623   MA. Hanna Resin Dis                      AP Checks SRS                           86.00
10/19199     10892   Martin Engineering Michigan              Lakeland NP Check                      840.00
10/19199     WIRE    Mueller Brass                            NP Lakeland Wires                   80,358.00
10/19199     10894   Newark Electronics/Fl                    Lakeland NP Check                      257.80
10/19199     10900   Newark Electronics/Fl                    Lakeland NP Check                      138.88
10/19199     21633   Nextel                                   AP Checks SRS                          404.14
10/19199    WIRE     Nylock Fasteners                         AP - SRS Wires                       4,930.60
10/19199     10895   Parker Seal (Jbl Div.)                   Lakeland NP Check                    3,209.04
10/19199    WIRE     Pasubio Spa                              NP Lakeland Wires                    5,898.88
10/19199     10896   Peoplesoft                               Lakeland NP Check                   14,263.35
10/19199    WIRE     Polymerland                              NP Lakeland Wires                    5,764.00
10/19199     21628   Rb&W Corporation                         AP Checks SRS                        2,377.62
10119/99    602511   Riverwest Engineering & Desi             Hamilin NP Check                     3,550.50
10/19199    WIRE     SFS Stadler                              AP - SRS Wires                      30,296.15
10/19199     10897   Sigma Systems Inc                        Lakeland NP Check                    2,898.00
10/19199     10898   Spectrum Solutions                       Lakeland NP Check                    2,480.00

Master Account 0999                                                                          Page 38 of 71
</TABLE>
<PAGE>

                               Cash Disbursements
                  Bank of America - Master Account #81889-10116
                                October 1-31,1999

Note: The Debtors Master Account is tied to vanous Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date      Check    Name                                       Description / Location           Amount
  ----      -----    ----                                       ----------------------           ------
<S>         <C>      <C>                                        <C>                        <C>
10/19199     21626   T&G Identification Systems                 AP Checks SRS                    747.53
10/19199     21627   Thomas Reprographics                       AP Checks SRS                     95.60
10/19199    WIRE     Trueline, Inc                              NP Lakeland Wires              3,109.68
10/1 9199   WIRE     Truline, Inc. -                            AP - Hamlin Wires              5,462.00
10/19199    602506   Unisource Worldwide                        Hamilin NP Check                 315.09
10/19199    WIRE     US Filter                                  NP Lakeland Wires             25,000.00
10/19199     10876   Void                                       Lakeland A/P Check                 0.00
10/1 9199   WIRE     Weight Test Solutions                      NP Lakeland Wires              4,384.42
10/1 9199   WIRE     Weiss-Aug                                  NP Lakeland Wires             27,770.57
10/19199    ABN-AMRO/ Mexican Disbursement Acct                 Transfer From Non-Debtor   1,407,757.91
10/19199    Great West - Medical                                USS - BSS                     21,114.13
10/20199     10924   Aa Electric                                Lakeland NP Check                651.58
10/20/99     10905   Able 0 Rings                               Lakeland NP Check              1,564.00
10/20199     10925   Adams Air & Hydraulics Inc.                Lakeland A/P Check                64.22
10/20199     10922   Advanced Excelsior                         Lakeland NP Check                315.84
10/20199    602516   Airgas Lyons, Inc.                         Hamilin NP Check                 677.33
10/20199     21644   Alkar Steel Corporation                    AP Checks SRS                    632.50
10/20/99     21654   All Fasteners Direct                       AP Checks SRS                    575.48
10/20199     10926   Airo Metals (Steel Div.)                   Lakeland NP Check                 98.73
10/20199     10904   American Freightways                       Lakeland A/P Check               490.05
10/20199     10907   American Freighrways                       Lakeland NP Check                215.95
10/20199    602512   American Freightways                       Hamilin NP Check                 106.96
10/20199    WIRE     Ampex Federal Credit Union                 AP - SRS Wires                 1,278.73
10/20199    Wire     ASB - nonunion                             Employee Contribution          9,431,25
10/20199    Wire     ASB - nonunion                             Employee Contribution          8,421.06
10/20199    Wire     ASB nonunion                               Employee Contribution          8,784.90
10/20199    Wire     ASB - nonunion                             PNC Bank - 401(k) Loan           934.04
10/20199    Wire     ASB - nonunion                             PNC Bank -401(k) Loan            948.42
10/20199    Wire     ASS - nonunion                             PNC Bank - 401(k) Loan           952.96
10/20199    Wire     ASB - nonunion                             401 (k) Plan Match             3,897.31
10/20199    Wire     ASB - nonunion                             401(k) Plan Match              3,501.90
10/20199    Wire     ASB - nonunion                             401 (k) Plan Match             3,654.80
10/20199     10908    Astro Molding Co                          Lakeland NP Check             49,087.30
10/20199    WIRE     Atlantic Research                          NP Lakeland Wires            700,000.00
10/20199     21658   Autosplice, Inc.                           AP Checks SRS                    350.00
10/20/99     10934   Battery Usa                                Lakeland NP Check                327.54
10/20199     10927   Bax Giobal                                 Lakeland NP Check                179.66
10/20199     21655   Bear Corn                                  AP Checks SRS                    111.55
10/20199     21661   Bergen Cable Technology, Inc               AP Checks SRS                 45,587.83
10/20199     10928   Blount County Courthouse                   Lakeland A/P Check                89.25
10/20199     10923   Bradford Industries                        Lakeland NP Check            133,261.60
10/20199     21662   Bron Tapes Of Tucson                       AP Checks SRS                    565.44
10/20199    Wire     BTI                                        Employee Contribution         66,028.64
10/20199    Wire     BTI                                        PNC Bank - 401(k) Loan        10,981.55
10/20199    Wire     BTI                                        401 (k) Plan Match            23,188.70
10/20199    Wire     BTI - Hamlin                               Employee Contribution         11,745.06
10/20199    Wire     BTI - Hamlin                               Bank - 401(k) Loan               591.72
10/20199    Wire     BTI - Hamlin                               401 (k) Plan Match             4,158.07
10/20199    Wire     BTU - union                                Employee Contribution          3,595.48
10/20199    Wire     BTU - union                                Employee Contribution          3,457.29
10/20199    Wire     BTU - union                                Employee Contribution          3,423.41
10/20199    Wire     BTU - union                                PNC Bank - 401(k) Loan           147.06
10/20199    Wire     BTU - union                                PNC Bank - 401(k) Loan           152.64
10/20/99    Wire     BTU - union                                PNC Bank - 401(k) Loan           152.64

Master Account 0999                                                                          Page 39 of 71
</TABLE>

<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account Is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date       Check     Name                                      Description I Location                         Amount
  ----       -----     ----                                      ----------------------                         ------
<S>          <C>       <C>                                       <C>                                        <C>
10/20/99      Wire     BTU - union                               401(k) Plan Match                            1,499.40
10/20/99      Wire     BTU - union                               401(k) Plan Match                            1,423.33
10/20/99      Wire     BTU - union                               401(k) Plan Match                            1,409.30
10/20/99     602514    Burlington Air Express                    Hamilin NP Check                               255.15
10/20/99      WIRE     Camcar Textron                            AP - SRS Wires                              41,729.85
10/20/99      WIRE     Camcar Textron                            AP - SRS Wires                               4,426.63
10/20/99      10909    Century Fasteners                         Lakeland NP Check                            9,330.00
10/20/99      Wire     Ceridian Payroll Direct Deposit           Payroll                                    495,411.71
10/20/99      Wire     Ceridian Payroll Direct Deposit           Payroll                                    123,584.26
10/20/99      Wire     Ceridian Payroll Direct Deposit           Payroll                                     57,962.69
10/20/99      Wire     Ceridian Payroll Direct Deposit           Payroll                                     56,893.28
10/20/99      Wire     Cendian Payroll Direct Deposit            Payroll                                     32,479.61
10/20/99      Wire     Ceridian Payroll Direct Deposit           Payroll                                     20,186.61
10/20/99      Wire     Cendian Payroll Direct Deposit            Payroll                                      7,788.81
10/20/99      Wire     Cendian Payroll Direct Deposit            Payroll                                      1,422.20
10/20/99      Wire     Checks Clearing                           Payroll                                    110,307.36
10/20/99      21651    Contours Incorporated                     AP Checks SRS                               39,188.84
10/20/99      21647    Control Methods. Inc                      AP Checks SRS                               17,318.00
10/20/99      WIRE     Dale Electronics                          AP - Hamlin Wires                            2,420.00
10/20/99      10910    Dine Company                              Lakeland NP Check                              438.92
10/20/99      10911    Donbar Service Corp                       Lakeland NP Check                           10,608.00
10/20/99      21652    Dynacast Inc.                             AP Checks SRS                                6,192.00
10/20/99      10929    Educational Credit Mgmt                   Lakeland NP Check                               47.52
10/20/99      10912    Emj Industrial                            Lakeland NP Check                            1,541.35
10/20/99      Wire     FL Dept of Revenue                        Sales Tax                                      288.66
10/20/99      10913    Foamex                                    Lakeland NP Check                            2,537.74
10/20/99      Wire     Gelco (Breed)                             Travel & Entertainment                       5,914.08
10/20/99      Wire     Gelco (SRS)                               Travel & Entertainment                         631.34
10/20/99      10930    General Sessions Court                    Lakeland NP Check                              119.97
10/20/99      WIRE     Hamlin Tool and Machine                   AP - SRS Wires                               8,014.57
10/20/99      21665    Header Products                           AP Checks SRS                               56,737.48
10/20/99      10931    Hydraulic & Pneumatic Eng.                Lakeland NP Check                            1,444.26
10/20/99      21641    Industrial Metal Coating                  AP Checks SRS                                  750.00
10/20/99      21648    Industrial Technology Supply              AP Checks SRS                               14,145.35
10/20/99      10932    Innovative Tool                           Lakeland A/P Check                             225.41
10/20/99      10933    Irc                                       Lakeland NP Check                           18,000.00
10/20/99      WIRE     Kane Magnetics                            NP Lakeland Wires                           16,601.76
10/20/99      WIRE     Kane Magnetics                            AP - Hamlin Wires                           70,502.16
10/20/99      10914    King Industrial                           Lakeland NP Check                              326.37
10/20/99      21645    King Industrial                           AP Checks SRS                                7,132.48
10/20/99      21656    Lubrication Equip Co                      AP Checks SRS                                  737.45
10/20/99      10915    Master Data Center                        Lakeland NP Check                           90,367.42
10/20/99      10935    Maximum Machine                           Lakeland NP Check                           11,819.00
10/20/99     602515    Mks Instruments, Inc.                     Hamilin NP Check                               280.02
10/20/99      10916    National Distribution                     Lakeland NP Check                            1,133.04
10/20/99      10936    Neu Dynamics                              Lakeland NP Check                            4,140.00
10/20/99      10938    Newark Electronics                        Lakeland NP Check                               40.27
10/20/99      10939    Newark Electronics/Fl                     Lakeland NP Check                               93.47
10/20/99      10917    Northern Supply                           Lakeland NP Check                              391.68
10/20/99      21664    Nylok Fastener Corpo                      AP Checks SRS                                  100.00
10/20/99      10940    Optech Services                           Lakeland NP Check                              500.00
10/20/99      21659    Orbitform Inc.                            AP Checks SRS                                1,081.00
10/20/99      WIRE     Ornl Federal Credit Union                 AP - SRS Wires                               8,177.29
10/20/99      10941    Parker Seal (Jbl Div.)                    Lakeland NP Check                            3,209.04
</TABLE>

Master Account 0999                                                Page 40 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31,1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements In the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date       Check     Name                                      Description I Location                         Amount
  ----       -----     ----                                      ----------------------                         ------
<S>         <C>        <C>                                       <C>                                        <C>
10/20/99     21666     Perfection Spring &                       AP Checks SRS                                  480.80
10/20/99     WIRE      Perfection Spnng Stamping                 AP - SRS Wires                                 809.96
10/20/99     10918     Plastic Process Equip.                    Lakeland NP Check                            1,653.55
10/20/99     WIRE      PLS                                       NP Lakeland Wires                          900,000.00
10/20/99     WIRE      Polymerland                               NP Lakeland Wires                            4,155.00
10/20/99     WIRE      Powerboss Malaysia                        NP Lakeland Wires                           17,160.00
10/20/99     10919     Prairie Technology Group                  Lakeland NP Check                              160.00
10/20/99     WIRE      Pressac, Inc.                             NP Lakeland Wires                            7,306.00
10/20/99    602513     Price Engineering Co., Inc.               Hamilin NP Check                                35.53
10/20/99     21653     Prime Industries, In                      AP Checks SRS                                  715.20
10/20/99     21688     Proto Gage Tool & Die, Inc.               AP Checks SRS                              133,500.00
10/20/99     21669     Proto Gage Tool & Die, Inc.               AP Checks SRS                              100,000.00
10/20/99     10920     Puroflow Corporation                      Lakeland NP Check                            5,040.00
10/20/99     10942     Remedy Intelligent Staffing               Lakeland NP Check                            4,560.00
10/20/99     21649     Ring Screw Works                          AP Checks SRS                                1,906.50
10/20/99     21650     Rpc Specialty Coatin                      AP Checks SRS                                6,991.27
10/20/99     WIRE      SGM Armtek                                NP Lakeland Wires                            5,658.40
10/20/99     WIRE      Sherwin Williams                          NP Lakeland Wires                           30,000.00
10/20/99     21657     Sound Packaging, Lb                       AP Checks SRS                                5,096.00
10/20/99     21643     Southwestem Automation                    AP Checks SRS                                6,739.31
10/20/99     WIRE      Spiveco                                   NP Lakeland Wires                            5,730.60
10/20/99     Wire      SunTrust                                  Flex Spending                                2,335.19
10/20/99     WIRE      Tanaka Electronics                        NP Lakeland Wires                            2,640.00
10/20/99     10943     Teets, Charles E.                         Lakeland NP Check                            1,134.28
10/20/99     WIRE      The Bergquist Co                          NP Lakeland Wires                            1,686.00
10/20/99     WIRE      TRW Automotive                            NP Lakeland Wires                           50,000.00
10/20/99     WIRE      77 Engineering                            NP Lakeland Wires                            3,150.00
10/20/99     21646     U.S. Herr Industrial Metals               AP Checks SRS                                2,032.42
10/20/99     21663     Unisource, Inc.                           AP Checks SRS                                1,322.85
10/20/99     21660     United Calibration Corp.                  AP Checks SRS                                  400.00
10/20/99     10944     United States Bankruptcy Court Chap       Lakeland NP Check                              633.20
10/20/99     10901     Void                                      Lakeland NP Check                                0.00
10/20/99     10902     Void                                      Lakeland NP Check                                0.00
10/20/99     10906     Void                                      Lakeland NP Check                                0.00
10/20/99     10921     Void                                      Lakeland A/P Check                               0.00
10/20/99     10937     Void                                      Lakeland NP Check                                0.00
10/20/99     10945     Watkins Motor Lines, Inc.                 Lakeland A/P Check                             128.41
10/20/99     WIRE      Whitlam Label Co                          NP Lakeland Wires                              840.00
10/20/99     21667     Whitmark                                  AP Checks SRS                                1,685.14
10/20/99     21642     Wyatt Services Inc.                       AP Checks SRS                                  142.50
10/20/99     WIRE      Yazaki North America                      NP Lakeland Wires                           25,126.14
10/20/99    BREED      Automotive LP                             Transfer from Debtor                        10,000.00
10/21/99    552609     1078809 Ontario Ltd.                      AP Checks SRS                                2,637.08
10/21/99    552497     3D Systems, Inc.                          AP Checks SRS                                1,436.53
10/21/99     WIRE      99 Services                               NP Lakeland Wires                            7,171.00
10/21/99     WIRE      A. Schulman                               NP Lakeland Wires                           80,114.80
10/21/99    552680     A. Schulman Plastics                      AP Checks SRS                                1,620.00
10/21/99    552498     Accountants On Call                       AP Checks SRS                                1,311.00
10/21/99    552499     Accurate Machining                        AP Checks SRS                                  292.50
10/21/99    552500     Ace Stamp                                 AP Checks SRS                                  263.97
10/21/99     10955     Action Welding Supply, Inc.               Lakeland NP Check                            2,316.75
10/21/99    552501     Actwu Southern Regl.                      AP Checks SRS                                1,158.51
10/21/99    552502     Aei-Carr Customs Bro                      AP Checks SRS                                3,152.50
10/21/99    552503     Aga Gas, Inc                              AP Checks SRS                                  519.19
</TABLE>

Master Account 0999                                                Page 41 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31,1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date       Check     Name                                      Description I Location                         Amount
  ----       -----     ----                                      ----------------------                         ------
<S>         <C>        <C>                                       <C>                                        <C>
10/21/99    552504     Agie Usa Ltd                              AP Checks SRS                                  250.04
10/21/99    552505     Aiag                                      AP Checks SRS                                  114.50
10/21/99    552506     Aiag Qs-9000                              AP Checks SRS                                  112.35
10/21/99    552507     Air Liquide -                             AP Checks SRS                                    4.66
10/21/99     10956     AlIen Circuit Court                       Lakeland NP Check                               40.00
10/21/99    602518     American Freightways                      Hamilin NP Check                               267.83
10/21/99    552510     American Office Prod                      AP Checks SRS                                  716.92
10/21/99    552512     Amerigas                                  AP Checks SRS                                   14.22
10/21/99    552513     Ameritech                                 AP Checks SRS                                2,567.58
10/21/99    552514     Ameritech Cellular S                      AP Checks SRS                                   85.26
10/21/99    552515     Amp Incorporated                          AP Checks SRS                                2,856.00
10/21/99    552519     Arbill Glove & Safety Prod                AP Checks SRS                                  390.20
10/21/99    552524     At&T                                      AP Checks SRS                                3,777.30
10/21/99     WIRE      Autoliv Japan                             NP Lakeland Wires                              869.44
10/21/99    552526     Automatic Spring Pro                      AP Checks SRS                               19,898.84
10/21/99     10957     Automotive News Subscriber Services       Lakeland A/P Check                             109.00
10/21/99    552527     Autosplice. Inc.                          AP Checks SRS                                  281.52
10/21/99     WIRE      Avery                                     NP Lakeland Wires                           28,076.85
10/21/99    552528     Bartech Personnel Se                      AP Checks SRS                                  661.20
10/21/99     10946     Bax Global                                Lakeland NP Check                            1,403.48
10/21/99     10958     Bax Global                                Lakeland NP Check                            2,732.00
10/21/99     WIRE      Betech                                    NP Lakeland Wires                           21,056.00
10/21/99    552530     Bradford lndustnes                        AP Checks SRS                               39,164.85
10/21/99    552531     Cadillac Plastics Gr                      AP Checks SRS                                2,217.05
10/21/99    552540     Camellia Printing                         AP Checks SRS                                1,659.88
10/21/99     10959     Cameron County Official Records           Lakeland NP Check                               90.00
10/21/99     10960     Carden Industria Group                    Lakeland A/P Check                             330.00
10/21/99    552542     Carlton-Bates Co.                         AP Checks SRS                                  320.45
10/21/99    602523     Carpenter Tech Consignment                Hamilin NP Check                            11,485.30
10/21/99     WIRE      Carpenter Technologies                    NP Lakeland Wires                           11,813.92
10/21/99     10961     Carrol Circuit Court Clerk                Lakeland NP Check                              130.00
10/21/99     WIRE      Cavalli                                   NP Lakeland Wires                           10,155.60
10/21/99    552544     Cellular One                              AP Checks SRS                                  215.07
10/21/99     10962     Center/Child Support Receipt Unit         Lakeland NP Check                              343.99
10/21/99    552545     Central Child Suoport                     AP Checks SRS                                1,980.32
10/21/99     10963     Central Governmental Depository           Lakeland NP Check                              120.63
10/21/99    552546     Central Kentucky Pro                      AP Checks SRS                               10,971.89
10/21/99     10964     Century Fasteners                         Lakeland NP Check                            9,330.00
10/21/99    552547     Ceramtec North America                    AP Checks SRS                                2,968.48
10/21/99     Wire      Ceridian Payroll Tax                      Payroll Tax                                312,718.57
10/21/99     Wire      Cendian Payroll Tax                       Payroll Tax                                 77,108.47
10/21/99     Wire      Cendian Payroll Tax                       Payroll Tax                                 48,710.31
10/21/99     Wire      Ceridian Payroll Tax                      Payroll Tax                                 27,145.51
10/21/99     Wire      Ceridian Payroll Tax                      Payroll Tax                                 24,176.56
10/21/99     Wire      Ceridian Payroll Tax                      Payroll Tax                                  4,565.35
10/21/99     Wire      Ceridian Payroll Tax                      Payroll Tax                                    715.78
10/21/99     Wire      Ceridian Payroll Tax                      Payroll Tax                                 29,715.43
10/21/99    552712     Chapter 13                                AP Checks SRS                                1,157.00
10/21/99     Wire      Checks Clearing                           Payroll                                     24,623.77
10/21/99     WIRE      Chemco                                    NP Lakeland Wires                           42,877.76
10/21/99    552548     Chenowth Racing Prod                      AP Checks SRS                               61,075.60
10/21/99     10965     Cincinnati Incorporated                   Lakeland NP Check                              421.73
10/21/99    552550     Cintas Corporation                        AP Checks SRS                                  256.60
10/21/99    552551     Clariant                                  AP Checks SRS                                  877.50
</TABLE>

Master Account 0999                                                Page 42 of 71
<PAGE>

                               Cash Disbursements

                  Bank of America - Master Account #81889-10116

                               October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements, The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date           Check        Name                                    Description / Location          Amount
    ----           -----        ----                                    ----------------------          ------
    <S>            <C>          <C>                                     <C>                             <C>
    10/21199        552553      Clariant Corporation                    AP Checks SRS                   1,353.00
    10/21199        10966       Clearinghouse                           Lakeland NP Check                 100.00
    10/21199        10967       Clerk Of Circuit Court                  Lakeland NP Check               1,340.88
    10/21199        10968       Clerk Of The Court                      Lakeland NP Check                 504.82
    10/21199         WIRE       Component Plastic                       NP Lakeland Wires                2,812.50
    10/21199       552554       Compound Technologies                   AP Checks SRS                   13,686.00
    10/21199       552555       Computer Sales International            AP Checks SRS                   24,229.00
    10/21199       552558       Cookeville Plating                      AP Checks SRS                    1,295.25
    10/21199       552559       Copelco Capital                         AP Checks SRS                      527.66
    10/21199       552560       Copper State Bolt &                     AP Checks SRS                      977.76
    10/21199       552562       Cumberland Clarklift                    AP Checks SRS                      402.85
    10/21199       552563       Customer Service Electric               AP Checks SRS                    1,002.31
    10/21199        10969       Cuyahoga County                         Lakeland A/P Check                 214.74
    10/21199       552564       Davis Hose & Supply                     AP Checks SRS                      500.99
    10/21199         WIRE       Daytol Steel Service                    AP - SRS Wires                  42,975.00
    10/21199       552566       Dcp Warehouse                           AP Checks SRS                      211.95
    10/21199        10970       Dickey-Grabler Co                       Lakeland NP Check                9,030.00
    10/21199       552568       Dings Magnetic Group                    AP Checks SRS                      960.95
    10/21199        10971       District Clerk'S Office                 Lakeland NP Check                  350.00
    10/21199        10972       District Clerk'S Office                 Lakeland NP Check                  209.54
    10/21199       552569       Diversified Industri                    AP Checks SRS                    1,950.67
    10/21199       552570       Dudek And Bock Sprin                    AP Checks SRS                    6,654.85
    10/21199       552571       Duo Fast Of Knoxville                   AP Checks SRS                      104.00
    10/21199       552576       Dymetrol Company, In                    AP Checks SRS                    6,590.00
    10/21199       552577       Dynacast Canada Inc.                    AP Checks SRS                   11,507.97
    10/21199        10973       E Pass Service Center                   Lakeland NP Check                  300.00
    10/21199       552567       Earnest Dean                            AP Checks SRS                      600.00
    10/21199       552581       Elliott'S Tennessee Boot Co             AP Checks SRS                      431.76
    10/21199        10974       Engineered Plastic Components           Lakeland NP Check                  227.83
    10/21199        21672       Exemplar Manufacturing                  AP Checks SRS                    4,838.04
    10/21199       552586       Fina Fleet Fueling                      AP Checks SRS                        2.00
    10/21199        10975       Flsdu                                   Lakeland NP Check                2,736.47
    10/21199        10976       Foamex                                  Lakeland NP Check                1,900.42
    10/21199        10977       Ford Motor Credit                       Lakeland NP Check                   39.14
    10/21199       552591       Forsythe Mcarthur                       AP Checks SRS                    3,049.00
    10/21199       552592       Fortress Forms, Inc                     AP Checks SRS                   81,012.12
    10/21199       552593       Franklins Pnnting                       AP Checks SRS                       70.36
    10/21199       552594       Free-Gate Fasteners                     AP Checks SRS                    9,710.80
    10/21199        10953       Friend Of The Court                     Lakeland NP Check                  431.50
    10/21199        10978       Friend Of The Court                     Lakeland NP Check                  193.50
    10/21199        10979       Friend Of The Court                     Lakeland NP Check                  425.50
    10/21199        10980       Friend Of The Court                     Lakeland NP Check                  241.50
    10/21199        10981       Friend Of The Court                     Lakeland NP Check                1,201.50
    10/21199        10982       Friend Of The Court                     Lakeland NP Check                  229.50
    10/21199        10983       Friend Of The Court                     Lakeland NP Check                  181.50
    10/21199         WIRE       Gelco                                   Amex - BREED                    69,535.66
    10/21199         WIRE       Gelco                                   Amex - SRS                      84,628.29
    10/21199         Wire       Gelco (Breed)                           Travel & Entertainment           7,887.80
    10/21199         Wire       Gelco (SRS)                             Travel & Entertainment           2,593.70
    10/21199       552595       General Elec Informa                    AP Checks SRS                       33.33
    10/21199       552596       General Labels                          AP Checks SRS                      481.10
    10/21199       552597       General Sessions Court                  AP Checks SRS                       89.28
    10/21199         WIRE       Genesis Molding                         NP Lakeland Wires                3,214.82
    10/21199       552598       Gerber Distributing                     AP Checks SRS                      477.56

Master Account 0999                                                                                       Page 43 of 71
</TABLE>
<PAGE>

                              Cash Disbursements

                 Bank of America - Master Account #81889-10116

                               October 1-31,1999

Note: The Debtors Master Account is tied to vanous Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date          Check         Name                                    Description / Location          Amount
    ----          -----         ----                                    ----------------------          ------
    <S>            <C>          <C>                                     <C>                             <C>
    10/21199        WIRE        Gibbs Die Casting                       NP Lakeland Wires               675,000.00
    10/21199       10947        Glt Office Plus                         Lakeland A/P Check                1,102.40
    10/21199      552603        Green Machine Janito                    AP Checks SRS                     1,723.50
    10/21199       10984        Gulf Controls                           Lakeland A/P Check                  190.66
    10/21199      552606        H & L Tool                              AP Checks SRS                     1,141.60
    10/21199        WIRE        Hamlin Tool and Machine                 AP - SRS Wires                   55,591.84
    10/21199      552611        Holston Gases Inc.                      AP Checks SRS                       186.65
    10/21199      602524        Hydrite Chemical Co                     Hamilin NP Check                  5,492.00
    10/21199       10985        Hye-Tech Machine Enterprises Inc        Lakeland NP Check                   495.62
    10/21199      602522        Hytech Spring And Machine               Hamilin NP Check                  3,680.06
    10/21199      552612        Immigration/Naturalization              AP Checks SRS                       610.00
    10/21199      552614        Industrial Sewing Machines              AP Checks SRS                    12,193.30
    10/21199      552616        Infra-Pak, Inc.                         AP Checks SRS                     1,358.00
    10/21199       21671        Integrated Mfg & Dis                    AP Checks SRS                   102,593.51
    10/21199        WIRE        Integrated Systems Technology           NP Lakeland Wires                32,775.00
    10/21199       10954        Internal Revenue Service                Lakeland A/P Check                   25.00
    10/21199       10986        Internal Revenue Service                Lakeland NP Check                    75.00
    10/21199       10987        Internal Revenue Service                Lakeland A/P Check                   50.00
    10/21199      552618        ltw Deltar Engineere                    AP Checks SRS                       591.00
    10/21199        WIRE        ITW Deltar Tekfast                      AP - SRS Wires                    1,773.00
    10/21199        WIRE        ITW Deltar Tekfast                      AP - SRS (FX - DEM)              19,226.88
    10/21/99      552620        Jackson Spring & Man                    AP Checks SRS                       519.83
    10/21199      552633        Jakob Muller Of Amer                    AP Checks SRS                     3,923.25
    10/21199      552529        James A. Carroll                        AP Checks SRS                       236.25
    10/21199       10988        Jefferson County Regstr Of Deeds        Lakeland NP Check                    90.00
    10/21/99      552624        Knox County Juvenile Court              AP Checks SRS                       238.61
    10/21199      552625        Knox Rag Service                        AP Checks SRS                       389.70
    10/21199       10989        Komax Corporation                       Lakeland NP Check                 2,183.90
    10/21199       21673        Lab Safety Supply                       AP Checks SRS                       179.70
    10/21199      602520        Lake Mills Washmobile                   Hamilin A/P Check                    80.00
    10/21/99      552627        Lightnin                                AP Checks SRS                       205.10
    10/21199        WIRE        Loera Custom Brokerage                  NP Lakeland Wires                50,000.00
    10/21199       21675        M J Foley Co                            AP Checks SRS                       169.83
    10/21199       10990        Mac Millan Bloedel Containers           Lakeland NP Check                   426.00
    10/21199       10991        Macornb County Register Of Deeds        Lakeland NP Check                    43.00
    10/21199      602517        Madison Freight Systems Inc             Hamilin NP Check                     35.00
    10/21199       10992        May00 Plastics Inc                      Lakeland NP Check               120,000.00
    10/21199      552629        Mci                                     AP Checks SRS                     3,084.24
    10/21199      552630        Mcmaster-Carr                           AP Checks SRS                       502.66
    10/21199       10993        Michigan Dept Of Treasury               Lakeland NP Check                   288.50
    10/21199      552543        Modem Engineering                       AP Checks SRS                     4,871.10
    10/21199      552632        Motion Industries                       AP Checks SRS                       147.55
    10/21199       10952        Msc Industrial Supply Co Inc            Lakeland NP Check                 4,981.35
    10/21199       10994        Munson, Ronald E.                       Lakeland NP Check                 4,211.05
    10/21199       10995        National 0-Ring                         Lakeland NP Check                10,000.00
    10/21199       10950        Newark Electronics                      Lakeland NP Check                    30.73
    10/21199       10951        Newark Electronics                      Lakeland NP Check                    55.88
    10/21199      552638        .Newtech Inc                            AP Checks SRS                       139.59
    10/21199      552639        Nitro E.D.M. & Machi                    AP Checks SRS                     3,998.00
    10/21199       10996        Nortech Corporation                     Lakeland NP Check                 1,833.00
    10/21199      552640        North Coast Rivet                       AP Checks SRS                     2,289.46
    10/21199       10997        Oakland County Register Of Deeds        Lakeland NP Check                    88.00
    10/21199       10998        Office Of The Atty General              Lakeland NP Check                   198.00
    10/21199      552643        Olymco Incorporated                     AP Checks SRS                     1,407.00

Master Account 1999                                                                                                  Page 44 of 71
</TABLE>
<PAGE>

                              Cash Disbursements

                 Bank of America - Master Account #81889-10116

                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date           Check        Name                                 Description / Location            Amount
    ----           ----         ----                                 ----------------------            ------
    <S>            <C>          <C>                                  <C>                               <C>
    10/21199       552644       Omega Engineering In                 AP Checks SRS                         162.00
    10/21199       21674        Omega Stamping Co                    AP Checks SRS                      12,400.00
    10/21199       552646       Packaging Services Of Tn             AP Checks SRS                      10,000.00
    10/21199       552649       Pax Machine Works, I                 AP Checks SRS                      14,460.22
    10/21199       552651       Perfection Powder Co                 AP Checks SRS                         891.00
    10/21199       552653       Peterson Manufacturi                 AP Checks SRS                         603.00
    10/21199       552655       Plating Specialties,                 AP Checks SRS                          85.00
    10/21199       WIRE         PN Farrar                            NP Lakeland Wires                   7,080.00
    10/21199       10999        Polk County Official Records         Lakeland NP Check                     190.50
    10/21199       552656       Polymer Menschen                     AP Checks SRS                       1,622.20
    10/21199       11000        Potts, Kathleen                      Lakeland NP Check                     500.00
    10/21199       WIRE         Powdertek, Inc.                      NP Lakeland Wires                   4,797.95
    10/21199       552658       Powell Sca le Company                AP Checks SR                        1,772.20
    10/21199       21676        Precision Industries                 AP Checks SRS                     178,312.50
    10/21199       552662       Progress Software                    AP Checks SRS                       1,600.00
    10/21199       602519       Ouality Calibration Service          Hamilin A/P Check                     289.59
    10/21/99       WIRE         Raychem                              NP Lakeland Wires                  58,706.06
    10/21/99       552668       Rco Engineering, Inc                 AP Checks SRS                       3,274.88
    10/21199       552669       Redi Packaging                       AP Checks SRS                         136.00
    10/21/99       WIRE         Reed Switch Developments             AP - Hamlin Wires                   3,119.76
    10/21199       552670       Ref Alabama, Inc.                    AP Checks SRS                       1,572.00
    10/21199       552672       Reliable Office Supply               AP Checks SR                          230.01
    10/21/99       552673       Reliable Van & Storage               AP Checks SRS                         498.56
    10/21199       WIRE         Renolds Renolds                      NP Lakeland Wires                  18,240.00
    10/21199       552674       Rice Lake Weighing S                 AP Checks SRS                         155.80
    10/21199       10948        Rio Grande Tool Co. Inc              Lakeland NP Check                   1,536.00
    10/21/99       WIRE         Roadway Express                      NP Lakeland Wires                   3,143.77
    10/21199       WIRE         RWC, Inc.                            NP Lakeland Wires                 109,882.00
    10/21199       552678       Sandvik Steel - Spri                 AP Checks SRS                      41,035.58
    10/21199       552679       Sanmore Consultants                  AP Checks SRS                       7,878.19
    10/21/99       552682       Security Plastics, Inc               AP Checks SRS                      87,943.00
    10/21/99       WIRE         SGM Armtek                           NP Lakeland Wires                   7,600.00
    10/21199       552684       Shearman Pease Scale                 AP Checks SRS                         557.14
    10/21199       WIRE         Siemens                              NP Lakeland Wires                   1,764.96
    10/21199       552686       Sloan Fluid Accessor                 AP Checks SR                           40.90
    10/21199       552687       South West Frontier Dist.            AP Checks SRS                       1,831.00
    10/21199       552688       Southwestern Automation              AP Checks SRS                       9,013.65
    10/21199       552689       Splawn Belting                       AP Checks SRS                         429.48
    10/21199       552690       Stabler Clinic Pa                    AP Checks SRS                         309.60
    10/21199       552693       Stoner, Inc                          AP Checks SRS                         324.30
    10/21199       552694       Sullivan County General              AP Checks SRS                         163.96
    10/21199       552695       Sunspot Products                     AP Checks SRS                          87.25
    10/21199       11001        Superior Credit Serv                 Lakeland NP Check                      68.99
    10/21199       552696       Syrntech Systems & Te                AP Checks SRS                         794.18
    10/21199       552532       T. A. Caid Industrie                 AP Checks SRS                         568.20
    10/21199       11002        Tarrant County                       Lakeland NP Check                     230.77
    10/21/99       WIRE         Teknor Apex                          NP Lakeland Wires                  82,322.00
    10/21199       552697       Tennessee Coatings                   AP Checks SRS                       8,143.21
    10/21199       552698       Tenney Engineering,                  AP Checks SRS                         104.00
    10/21199       11003        Texas Guaranteed Student             Lakeland A/P Check                    154.00
    10/21199       552700       Tg North America Corpration          AP Checks SRS                      30,325.00
    10/21199       602521       The P.D. George Company              Hamilin NP Check                    3,382.25
    10/21199       552692       The State Chemical Mfg Co            AP SRS                                331.36
    10/21199       WIRE         Thomson Precision                    NP Lakeland Wires                  19,093.64

Master Account 0999                                                                                      Page 45 of 71
</TABLE>
<PAGE>

                              Cash Disbursements
                Bank of America - Master Account #81 889-10116
                               October 1-31,1999

Note:  The Debtors Master Account is tied to vanous Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements
In the Master account, wherefore, to avoid duplicating these transactions, all
disbursements tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date        Check      Name                                       Description I Location                         Amount
  ----        -----      ----                                       ----------------------                         ------
<S>           <C>        <C>                                        <C>                                        <C>
10/21/99      552703     Tn Orthopedic Clinics                        AP Checks SRS                                299.70
10/21/99      552704     Tokai Financial Services                     AP Checks SRS                                214.66
10/21/99      552705     Tool Crib, Inc.                              AP Checks SRS                                186.06
10/21/99      552707     Tucson Blueprint                             AP Checks SRS                                426.80
10/21/99      552708     Tucson Hydraulics                            AP Checks SRS                                997.65
10/21/99      552709     U.S. Department Cf Education                 AP Checks SRS                                 55.80
10/21/99      552710     Ultraform Industries                         AP Checks SRS                              7,429.52
10/21/99      WIRE       Unifrax Corp                                 NP Lakeland Wires                         24,120.00
10/21/99      WIRE       United Plastics Corp                         AP - SRS Wires                             2,936.77
10/21/99      552711     United Way Of Greater Knox                   AP Checks SRS                                 77.65
10/21/99      552713     Us Wire & Rope                               AP Checks SRS                             17,092.00
10/21/99      552714     Varosa Company                               AP Checks SRS                              2,685.64
10/21/99      552716     Venture Industries                           AP Checks SRS                                511.94
10/21/99      552602     W.W. Grainger, Inc.                          AP Checks SRS                              7,428.80
10/21/99      10949      Watkins Motor Unes, Inc.                     Lakeland NP Check                            267.72
10/21/99      552717     Weber Marking System                         AP Checks SRS                                639.69
10/21/99      552719     WIm Enterprises                              AP Checks SRS                              3,740.00
10/21/99      11004      Wssr                                         Lakeland NP Check                            291.31
10/21/99      552720     Xpedx                                        AP Checks SRS                              4,820.71
10/21/99      BREED      Automotive LP                                Transfer from Debtor                       8,000.00
10/21/99      BREED      Brazil                                       Transfer From Non-Debtor                  23,000.00
10/21/99                                                              Adjustment for Closed AP Accounts            325.00
10/21/99                                                              Adjustment for Closed AP Accounts          1,351.25
10/22/99      11017      Abc Automotive Repair                        Lakeland NP Check                             47.25
10/22/99      602530     A-C Supply, Inc.                             Hamilin NP Check                             283.15
10/22/99      11018      Acabados Ideal                               Lakeland NP Check                         13,781.93
10/22/99      11020      Acs Industries, Inc.                         Lakeland NP Check                         53,171.12
10/22/99      11214      Adhesive Packaging Specialities              Lakeland NP Check                          2,406.50
10/22/99      602531     Aga Gas Inc.                                 Hamilin NP Check                             604.23
10/22199      11005      Aim Plastics Of Fiorida                      Lakeland NP Check                             91.82
10/22/99      11021      Air Equipment                                Lakeland NP Check                            286.78
10/22/99      11022      Air Filter Co.                               Lakeland NP Check                            465.00
10/22/99      11215      Air Filter Co.                               Lakeland NP Check                            535.70
10/22/99      11023      Air Liquide                                  Lakeland NP Check                            238.50
10/22/99      11024      Air Products & Chemicals                     Lakeland A/P Check                           102.71
10/22/99      602604     Airgas Lyons. Inc.                           Hamilin NP Check                             417.41
10/22/99      11016      A-Jax Company. Inc.                          Lakeland NP Check                             44.92
10/22/99      11025      Alamo Iron Works                             Lakeland NP Check                            780.00
10/22/99      11026      Alamo Iron Works                             Lakeland NP Check                            377.00
10/22/99      WIRE       Alcoa Fujikura. LTD                          AP SRS Wires                             250,000.00
10/22/99      602532     Alexander, Steven                            Hamilin NP Check                              36.27
10/22/99      21689      All Fasteners Direct                         AP Checks SRS                              1,355.00
10/22/99      11027      Allied Electronics. Corp.                    Lakeland NP Check                             46.81
10/22/99      11028      Alrnco Inc.                                  Lakeland NP Check                             59.50
10/22/99      11006      Alro Metals (Steel Div.)                     Lakeland NP Check                             50.20
10/22/99      602526     American Freightways                         Hamilin NP Check                             128.42
10/22/99      11031      Anchor Bay Pack Corp                         Lakeland NP Check                            969.20
10/22/99      21687      Apache Steel Co.                             AP Checks SRS                             19,537.03
10/22/99      11032      Apple One Employment Services                Lakeland NP Check                            512.00
10/22/99      11007      Applied Industrial Technology                Lakeland NP Check                            281.39
10/22/99      11008      Applied Industrial Technology                Lakeland NP Check                            267.50
10/22/99      11014      Applied Industrial Technology                Lakeland NP Check                            381.39
10/22/99      11015      Applied Industrial Technology                Lakeland NP Check                            623.88
10/22/99      602533     Aramark Uniform Services                     Harnilin NP Check                            360.26
</TABLE>

Master Account 0999                                                Page 46 of 71
<PAGE>

                              Cash Disbursements

                 Bank of America - Master Account #81889-10116

                               October 1-31,1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date      Check     Name                                   Description I Location                       Amount
    ----      -----     ----                                   ----------------------                       ------
 <S>          <C>       <C>                                    <C>                                          <C>
  10/22/99    Wire      ASB - nonunion                         Employee Contribution                        8,740.54
  10/22/99    Wire      ASB - nonunion                         PNC Bank - 401(k) Loan                         908.33
  10/22/99    Wire      ASB - nonunion                         401 (k) Plan Match                           3,606.62
  10/22/99    Wire      ASB - Salaried                         Employee Contribution                      132,994.05
  10/22/99    Wire      ASB - Salaried                         PNC Bank - 401(k) Loan                      18,548.25
  10122199    Wire      ASB - Salaried                         401 (k) Plan Match                          43,883.36
  10/22/99    602534    Asc Pumping Equipment                  Hamilin NP Check                               203.65
  10/22/99    WIRE      Associated Spring                      AP - SRS Wires                               3,280.00
  10/22/99    11009     Associated Springs                     Lakeland NP Check                               50.58
  10/22/99    WIRE      Astro Enterprises                      NP Lakeland Wires                            9,854.00
  10/22/99    11033     Astro Molding Co.                      Lakeland NP Check                            7,233.00
  10/22/99    11034     At&T                                   Lakeland NP Check                            4,833.60
  10/22/99    WIRE      Atlantic Research                      NP Lakeland Wires                          700,000.00
  10/22/99    602535    Atty Frank J. Endejan                  Hamilin NP Check                                96.32
  10/22/99    11035     Autoliv Aso Inc                        Lakeland NP Check                          193,284.00
  10/22/99    602536    Autosplice                             Hamilin NP Check                                98.00
  10/22/99    602537    Autosplice Inc                         Hamilin A/P Check                              644.27
  10/22/99    11036     Avery Dennison                         Lakeland A/P Check                          17,112.96
  10/22/99    602538    Balasubramanian Ramachandran           Hamilin A/P Check                               89.00
  10/22/99    11037     Barbour Threads Inc                    Lakeland NP Check                            1,826.37
  10/22/99    11038     Barrera Supply Co. Inc.                Lakeland NP Check                              264.90
  10/22/99    21693     Batson Yarn                            AP Checks SRS                                  567.24
  10/22/99    11039     Bee Dry Carpet Cleaners                Lakeland A/P Check                              91.58
  10/22/99    21686     Bell Technologies                      AP Checks SRS                                  118.50
  10/22/99    11040     Bergquist Co                           Lakeland NP Check                            1,686.00
  10/22/99    11041     Black Box Corp.                        Lakeland NP Check                              911.60
  10/22/99    11042     Bloornfield Industrial Tool Co.        Lakeland NP Check                              430.50
  10/22/99    602539    Bob Schrock                            Hamilin NP Check                                52.74
  10/22/99    11043     Boo Gases                              Lakeland NP Check                              404.34
  10/22/99    11044     Bohne Spring lnd. Ltd.                 Lakeland A/P Check                           1,033.92
  10/22/99    602540    Braas Company                          HamiTinNP Check                                148.60
  10/22/99    11045     Bridgestone Aprn Co                    Lakeland NP Check                            7,721.65
  10/22/99    602541    Brookfield Chemical Co                 Harnilin A/P Check                             445.94
  10/22/99    11046     Browning Ferns                         Lakeland NP Check                              300.00
  10/22/99    Wire      BTI - Hamlin                           Employee Contribution                        5,964.26
  10/22/99    Wire      BTI - Hamlin                           PNC Bank - 401(k) Loan                         591.72
  10/22199    Wire      BTI - Hamlin                           401 (k) Plan Match                           2,310.71
  10/22/99    Wire      BTU - union                            Employee Contribution                        3,579.33
  10/22/99    Wire      BTU - union                            PNC Bank - 401(k) Loan                         152.64
  10/22/99    Wire      BTU - union                            401 (k) Plan Match                           1,453.16
  10/22/99    11047     Buehler. Ltd.                          Lakeland NP Check                              468.75
  10/22/99    11048     Bush Supply Co.                        Lakeland NP Check                               85.81
  10/22/99    602542    C & H Distributors                     Hamilin NP Check                               615.59
  10/22/99    21688     Cadillac Plastics Gr                   AP Checks SRS                                   88.50
  10/22/99    11049     Cambridge Industries                   Lakeland A/P Check                           1,323.65
  10/22/99    11050     Cambridge Stamping Inc                 Lakeland NP Check                            2,027.20
  10/22/99    WIRE      Camcar Textron                         NP Lakeland Wires                              590.40
  10/22/99    602543    Camco Commercial Cam Co Inc            Harnilin NP Check                              514.17
  10/22/99    11051     Canteen                                Lakeland NP Check                              359.55
  10/22/99    11052     Ceridian                               Lakeland NP Check                              646.32
  10/22/99    11211     Ceridian                               Lakeland A/P Check                           9,000.00
  10/22/99    602544    Chapter 13 Trustee                     Harnilin NP Check                               62.00
  10/22/99    Wire      Checks Clearing                        Payroll                                      31963.69
  10/22199    11053     Cherry Electrical Products             Lakeland NP Check                           23,856.00
</TABLE>

Master Account 0999                                                Page 47 of 71
<PAGE>


                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date      Check   Name                                    Description / Location                        Amount
    ----      -----   ----                                    ----------------------                        ------
<S>           <C>     <C>                                     <C>                                       <C>
    10/22/99  WIRE    Chester Precision                       A/P Lakeland Wires                         77,616.00
    10/22/99  WIRE    Cimtek                                  A/P Lakeland Wires                         22,150.00
    10/22/99  WIRE    Cimtek                                  A/P Lakeland Wires                          5,000.00
    10/22/99  602545  Cinderella/Sheps Cleaning               Hamilin A/P Check                           1,573.85
    10/22/99  602546  Clark Office Supply Co                  Hamilin A/P Check                             310.25
    10/22/99  11054   Cms Hartzell                            Lakeland A/P Check                          4,058.40
    10/22/99  11210   Cms Hartzell                            Lakeland A/P Check                          3,611.52
    10/22/99  11055   Coats American                          Lakeland A/P Check                          4,172.81
    10/22/99  11056   Community Pallets/Woodcraft Of Tx       Lakeland A/P Check                            541.25
    10/22/99  11057   Compressed Air System                   Lakeland A/P Check                            186.91
    10/22/99  11058   Compusystems                            Lakeland A/P Check                          7,816.50
    10/22/99  11059   Consolidated Plastics Company           Lakeland A/P Check                            506.76
    10/22/99  11060   Constellation Technologies              Lakeland A/P Check                            415.00
    10/22/99  11213   Constellation Technologies              Lakeland A/P Check                            590.00
    10/22/99  602547  Copper & Brass Sales                    Hamilin A/P Check                             332.93
    10/22/99  11061   Corpus Christi Equipment                Lakeland A/P Check                            534.64
    10/22/99  11062   Covington Box                           Lakeland A/P Check                          2,587.20
    10/22/99  11063   Crest Ultrasonics                       Lakeland A/P Check                            331.00
    10/22/99  11064   Danka Industries                        Lakeland A/P Check                             90.63
    10/22/99  11065   Database Technologies, Inc              Lakeland A/P Check                            658.15
    10/22/99  11066   Day-Timers Inc.                         Lakeland A/P Check                            103.86
    10/22/99  11067   Delco Electronics                       Lakeland A/P Check                         73,027.02
    10/22/99  11068   Delphi Packard                          Lakeland A/P Check                         38,338.20
    10/22/99  21701   Detroit Testing Mach                    AP Checks SRS                               1,355.00
    10/22/99  11069   Dexter Auto. Materials                  Lakeland A/P Check                         19,634.75
    10/22/99  602548  Dexter Magnetic Materials Di            Hamilin A/P Check                              58.32
    10/22/99  11070   Dexter Safety & Industrial Products     Lakeland A/P Check                            746.00
    10/22/99  WIRE    Die Craftsmen, Inc.                     A/P Lakeland Wires                            695.00
    10/22/99  21695   Digi Key Corporation                    AP Checks SRS                                 145.15
    10/22/99  602549  Diversified Personnel Service           Hamilin A/P Check                           5,151.40
    10/22/99  11073   Dixie Tool Co.                          Lakeland A/P Check                             99.17
    10/22/99  11074   Dlf Container                           Lakeland A/P Check                          3,391.50
    10/22/99  11075   Dme Company                             Lakeland A/P Check                            441.33
    10/22/99  11076   Document Imaging. Inc                   Lakeland A/P Check                            634.00
    10/22/99  11077   Dothan Security Inc                     Lakeland A/P Check                          4,488.24
    10/22/99  11079   Dsi Sewing Machine Supplies             Lakeland A/P Check                          1,666.10
    10/22/99  11080   Duo Fast Of Knoxville                   Lakeland A/P Check                             68.70
    10/22/99  WIRE    Dupont                                  AP - SRS Wires                            216,700.00
    10/22/99  WIRE    Dupont                                  AP - SRS Wires                             12,813.51
    10/22/99  11082   Eagle Industrial                        Lakeland A/P Check                            256.55
    10/22/99  11083   Ebbert Engineering Co.                  Lakeland A/P Check                            348.97
    10/22/99  11084   Efd Inc.                                Lakeland A/P Check                            127.28
    10/22/99  21681   Elco Industries Inc.                    AP Checks SRS                               9,135.52
    10/22/99  11085   Electro Chemical                        Lakeland A/P Check                          2,172.69
    10/22/99  11086   Elektrisola Inc.                        Lakeland A/P Check                          7,365.33
    10/22/99  602550  Elkem                                   Hamilin A/P Check                           4,179.54
    10/22/99  11087   Emhart Dodge/Heli-Coil Div.             Lakeland A/P Check                          4,028.22
    10/22/99  11088   Emj Industrial                          Lakeland A/P Check                          2,809.98
    10/22/99  WIRE    Empaques Rio Gande                      A/P Lakeland Wires                         40,000.00
    10/22/99  11089   Engel                                   Lakeland A/P Check                          1,288.25
    10/22/99  WIRE    Epoxylite Corp                          A/P Lakeland Wires                            597.77
    10/22/99  11090   Eraser Company Inc                      Lakeland A/P Check                            226.40
    10/22/99  11091   Essex Specialty Prod Inc.               Lakeland A/P Check                          2,954.88
    10/22/99  11092   Excell Tool Service                     Lakeland A/P Check                          1,520.48
</TABLE>

Master Account 0999                                                Page 48 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date      Check      Name                                Description/Location                          Amount
    ----      -----      ----                                ----------------------                        ------
<S>           <C>        <C>                                 <C>                                       <C>
 10/22/99     11093      Fanuc Robotics North America        Lakeland A/P Check                            137.69
 10/22/99     11094      Fci Automotive Group                Lakeland A/P Check                          1,680.00
 10/22/99     11095      Ferro Corporation                   Lakeland A/P Check                        181,954.90
 10/22/99     11096      Fisher Scientific                   Lakeland A/P Check                            311.61
 10/22/99     602552     Flambeau Micro Co                   Hamilin A/P Check                          27,397.15
 10/22/99     11097      Foamex                              Lakeland A/P Check                          1,368.30
 10/22/99     WIRE       Framatome                           A/P Lakeland Wires                        124,047.17
 10/22/99     11098      Free Gate Fasteners                 Lakeland A/P Check                            490.00
 10/22/99     11099      Gaffin Environmental Services       Lakeland A/P Check                          7,500.00
 10/22/99     11100      Ge Capital Modular Space            Lakeland A/P Check                            156.96
 10/22/99     Wire       Gelco (Breed)                       Travel & Entertainment                      1,749.61
 10/22/99     Wire       Gelco (SRS)                         Travel & Entertainment                        194.60
 10/22/99     11101      Gerber Garment Technology           Lakeland A/P Check                            110.69
 10/22/99     11102      Gerry'S Culligan Water Co.          Lakeland A/P Check                          1,097.50
 10/22/99     602553     Gfc Leasing Co.                     Hamilin A/P Check                             330.50
 10/22/99     11103      Giddings & Lewis                    Lakeland A/P Check                            103.92
 10/22/99     21697      Gilco Incorporated                  AP Checks SRS                               1,171.27
 10/22/99     11104      Glenn'S Lock And Key                Lakeland A/P Check                            366.76
 10/22/99     602554     Glenns Market                       Hamilin A/P Check                             601.21
 10/22/99     11105      Global Computer Supplies            Lakeland A/P Check                            100.68
 10/22/99     602555     Global Dialog Internet              Hamilin A/P Check                             228.97
 10/22/99     11106      Global Industrial                   Lakeland A/P Check                            456.30
 10/22/99     11107      Goshen Rubber Co                    Lakeland A/P Check                          3,905.60
 10/22/99     11108      Grainger, Inc. - Fl                 Lakeland A/P Check                            734.83
 10/22/99     11109      Grainger, Inc. - Fl                 Lakeland A/P Check                          1,059.71
 10/22/19     11110      Grand Traverse Stamping             Lakeland A/P Check                          6,088.98
 10/22/99     602556     Great-West                          Hamilin A/P Check                          32,783.36
 10/22/99     11212      Greatwest Life And Annuity Ins      Lakeland A/P Check                        181,202.79
 10/22/99     21692      Gripco Fastener                     AP Checks SRS                                 870.25
 10/22/99     11111      Gte North                           Lakeland A/P Check                             58.88
 10/22/99     11114      Gulf Systems                        Lakeland A/P Check                            956.80
 10/22/99     11115      Hai (Howard-Ayusa)                  Lakeland A/P Check                         29,380.00
 10/22/99     WIRE       Halltech, Inc.                      A/P Lakeland Wires                          3,880.97
 10/22/99     WIRE       Hamlin Tool and Machine             AP - SRS Wires                              2,784.59
 10/22/99     602557     Harder Paper & Packaging            Hamilin A/P Check                             121.30
 10/22/99     11116      Havel Bros                          Lakeland A/P Check                          1,314.00
 10/22/99     21690      Henkel Corporation                  AP Checks SRS                                 496.65
 10/22/99     11117      Hepco                               Lakeland A/P Check                            592.00
 10/22/99     21677      Heritage Tool & Mold                AP Checks SRS                              17,100.00
 10/22/99     11118      Hewlett Packard Co.                 Lakeland A/P Check                             95.40
 10/22/99     11119      Hisco Tx.                           Lakeland A/P Check                          9,849.72
 10/22/99     11217      Hisco Tx.                           Lakeland A/P Check                         39,225.10
 10/22/99     11227      Hisco Tx.                           Lakeland A/P Check                          2,828.80
 10/22/99     602558     Holt Electric Inc.                  Hamilin A/P Check                             187.18
 10/22/99     21702      Horizon Steel Co. Of                AP Checks SRS                               5,343.00
 10/22/99     602559     Hoxie Supply Co                     Hamilin A/P Check                             276.12
 10/22/19     11228      Hydraulic & Pneumatic Eng.          Lakeland A/P Check                          1,229.99
 10/22/99     602560     Hytech Spring And Machine           Hamilin A/P Check                           1,887.97
 10/22/99     602606     Hytech Spring And Machine           Hamilin A/P Check                           5,742.57
 10/22/99     WIRE       Illbruck Automotive                 AP - SRS Wires                            100,000.00
 10/22/99     11121      Industrial Elec Wire & Cable        Lakeland A/P Check                          8,502.50
 10/22/99     11122      Industrial Paper & Pkg C/C Kel-San  Lakeland A/P Check                           1940.08
 10/22/99     11123      Industrial Strainer Company         Lakeland A/P Check                          2,115.20
 10/22/99     11124      Ink Well                            Lakeland A/P Check                             31.27
</TABLE>

Master Account 0999                                               Page 49 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
    Date      Check      Name                                    Description / Location                        Amount
    ----      -----      ----                                    ----------------------                        ------
<S>           <C>        <C>                                     <C>                                       <C>
10/22/99      21678      Integrated Mfg & Dis                    AP Checks SRS                                 812.03
10/22/99      602561     Interntl/Magnaproducts                  Hamilin A/P Check                             135.66
10/22/99      11126      Iron Age Corporation                    Lakeland A/P Check                            473.30
10/22/99      11127      Iron Mountain                           Lakeland A/P Check                            112.71
10/22/99      602562     Its, Incorporated                       Hamilin A/P Check                           2,869.68
10/22/99      602563     Itw Thielex                             Hamilin A/P Check                           2,731.05
10/22/99      11130      Jacobs & Thompson                       Lakeland A/P Check                            226.80
10/22/99      11218      Jae Electronics                         Lakeland A/P Check                          6,000.00
10/22/99      602564     Jameco Electronics                      Hamilin A/P Check                             158.00
10/22/99      11010      Janitorial Ind. Maint. Supplie          Lakeland A/P Check                            309.27
10/22/99      11131      Janitorial Ind. Maint. Supplie          Lakeland A/P Check                             38.75
10/22/99      11129      J-Com Edi Services                      Lakeland A/P Check                             60.00
10/22/99      602565     Jensen Plumbing & Heating               Hamilin A/P Check                               5.40
10/22/99      11229      Jet Corr Lab                            Lakeland A/P Check                            600.00
10/22/99      602566     Jori Borchert                           Hamilin A/P Check                              52.70
10/22/99      11133      Ken Robinson Of Florida, Inc.           Lakeland A/P Check                            875.11
10/22/99      11134      Keyence Corp. Of America                Lakeland A/P Check                            372.00
10/22/99      11011      Komax Corporation                       Lakeland A/P Check                          1,040.85
10/22/99      602567     L.M. True Value                         Hamilin A/P Check                               9.11
10/22/99      11012      Lab Safety Supply                       Lakeland A/P Check                            299.68
10/22/99      11135      Lab Safety Supply                       Lakeland A/P Check                            648.80
10/22/99      602568     Laird Plastics                          Hamilin A/P Check                              65.06
10/22/99      602569     Lake Mills Agri-Diesel                  Hamilin A/P Check                             370.36
10/22/99      11136      Lakeland Electric & Water               Lakeland A/P Check                             81.60
10/22/99      11137      Landmark Systems Inc                    Lakeland A/P Check                            169.60
10/22/99      602570     Leader Printing                         Hamilin A/P Check                           1,704.99
10/22/99      11138      Leco Corp.                              Lakeland A/P Check                          2,743.03
10/22/99      602571     Lee Spring Company Inc                  Hamilin A/P Check                              48.77
10/22/99      11139      Lever Industrial, Sa De Cv              Lakeland A/P Check                          4,402.20
10/22/99      602572     Lindberg                                Hamilin A/P Check                             207.75
10/22/99      11140      M & S Spnng Co. Inc                     Lakeland A/P Check                          1,454.38
10/22/99      602573     Main Auto Supply, Inc.                  Hamilin A/P Check                              74.94
10/22/99      11141      Majemac Enterprises                     Lakeland A/P Check                            862.40
10/22/99      11142      Markem                                  Lakeland A/P Check                            706.90
10/22/99      602574     Markgraf Collection Agency              Hamilin A/P Check                              25.00
10/22/99      602575     Master Graphics                         Hamilin A/P Check                             101.91
10/22/99      11143      Maxi Signal Products                    Lakeland A/P Check                            157.59
10/22/99      11144      Mayco Plastics Inc                      Lakeland A/P Check                        111,526.86
10/22/99      11145      Mc Master Carr                          Lakeland A/P Check                          3,175.82
10/22/99      11219      Mcallen Bolt & Screw                    Lakeland A/P Check                          1,232.00
10/22/99      11146      Mci Telecommunications                  Lakeland A/P Check                         49,754.66
10/22/99      602576     Mcmaster-Carr Supply Co                 Hamilin A/P Check                              36.87
10/22/99      11147      Mcmasters Koss Co                       Lakeland A/P Check                            701.67
10/22/99      11148      Melco                                   Lakeland A/P Check                            492.90
10/22/99      21679      Metal Coatings Inter                    AP Checks SRS                              16,572.00
10/22/99      11220      Metal Cutting Corp                      Lakeland A/P Check                          6,510.00
10/22/99      WIRE       Methode                                 A/P Lakeland Wires                        278,038.35
10/22/99      11149      Metro Electric, Inc.                    Lakeland A/P Check                            144.78
10/22/99      11150      Mim Industries                          Lakeland A/P Check                          4,451.68
10/22/99      21704      Minarik Electric                        AP Checks SRS                                 865.15
10/22/99      21705      Mold Rite Tool Inc.                     AP Checks SRS                               6,900.00
10/22/99      21685      Molded Solutions Inc                    AP Checks SRS                               9,280.00
10/22/99      11151      Molex Inc.                              Lakeland A/P Check                          4,212.00
10122/99      602577     Mongue & Witt S.C.                      Hamilin A/P Check                              30.00
</TABLE>

Master Account 0999                                                Page 50 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
     Date     Check     Name                                   Description / Location                        Amount
     ----     -----     ----                                   ----------------------                        ------
   <S>        <C>       <C>                                    <C>                                       <C>
   10/22/99   602578    Msc Industrial Supply Co               Hamilin A/P Check                             691.61
   10/22/99   11152     Msc Industrial Supply Co Inc           Lakeland A/P Check                             38.56
   10/22/99   11153     National Distribution                  Lakeland A/P Check                            137.12
   10/22/99   11154     National Instruments                   Lakeland A/P Check                            206.70
   10/22/99   11155     National O-Ring                        Lakeland A/P Check                         11,953.35
   10/22/99   602579    National Salt & Supply                 Hamilin A/P Check                           2,494.80
   10/22/99   11157     National Standard                      Lakeland A/P Check                          6,000.00
   10/22/99   11221     National Standard                      Lakeland A/P Check                          7,904.90
   10/22/99   602580    Neff Engineering Of Wi Inc             Hamilin A/P Check                           1,117.13
   10/22/99   11158     New Process Fibre Co                   Lakeland A/P Check                            120.00
   10/22/99   11159     Newark Electronics                     Lakeland A/P Check                             62.23
   10/22/99   11160     Non-Metallic Components Inc            Lakeland A/P Check                          4,270.20
   10/22/99   602581    Norrell                                Hamilin A/P Check                           5,399.89
   10/22/99   11161     North Central Engineering Inc          Lakeland A/P Check                            296.00
   10/22/99   21700     Northern Diecast Cor                   AP Checks SRS                             188,519.04
   10/22/99   11222     Northern Diecast Corp                  Lakeland A/P Check                         85,967.55
   10/22/99   11162     Nss Industries                         Lakeland A/P Check                         10,458.22
   10/22/99   11164     Oil Patch Fuel And Supply Inc.         Lakeland A/P Check                          1,721.12
   10/22/99   11165     Olson International Ltd.               Lakeland A/P Check                          4,137.24
   10/22/99   11166     Package Design & Mfg.                  Lakeland A/P Check                          1,382.40
   10/22/99   11167     Paging Network Of Tampa, Inc.          Lakeland A/P Check                          5,402.38
   10/22/99   11168     Palex Inc                              Lakeland A/P Check                             60.00
   10/22/99   11169     Parametric Technologies                Lakeland A/P Check                         21,001.11
   10/22/99   WIRE      Pasubio Spa                            A/P Lakeland Wires                        311,381.15
   10/22/99   11170     Paul N. Gardner Company, Inc.          Lakeland A/P Check                            976.00
   10/22/99   11171     Pcb Piezotronics, Inc.                 Lakeland A/P Check                            273.85
   10/22/99   21699     Penn Fibre                             AP Checks SRS                              20,000.00
   10/22/99   21683     Perfection Spring &                    AP Checks SRS                               5,467.50
   10/22/99   11172     Pesa Labeling Systems                  Lakeland A/P Check                          2,002.00
   10/22/99   602582    Pioneer Metal Finishing                Hamilin A/P Check                             420.00
   10/22/99   11173     Plymouth Packaging                     Lakeland A/P Check                            654.52
   10/22/99   11174     Port Of Brownsville Public Scale       Lakeland A/P Check                            110.00
   10/22/99   602583    Power/Mation                           Hamilin A/P Check                           2,608.30
   10/22/99   11175     Praxair Distribution, Inc.             Lakeland A/P Check                              8.00
   10/22/99   602605    Precision Industrial                   Hamilin A/P Check                             137.70
   10/22/99   11223     Precision Resource                     Lakeland A/P Check                          3,120.00
   10/22/99   602584    Price Engineering Co., Inc.            Hamilin A/P Check                             490.32
   10/22/99   11176     Pro Rad, Inc                           Lakeland A/P Check                          6,210.00
   10/22/99   11177     Pro-Air Filter Service Co.             Lakeland A/P Check                            363.46
   10/22/99   602585    Proforma Technigraphics                Hamilin A/P Check                           2,288.34
   10/22/99   11178     Proto-Cutter Inc.                      Lakeland A/P Check                            778.88
   10/22/99   602586    Punzel, Terry                          Hamilin A/P Check                              63.19
   10/22/99   21694     Purchased Parts Grou                   AP Checks SRS                                 583.98
   10/22/99   11179     Purification Technologies              Lakeland A/P Check                             94.00
   10/22/99   11180     Puroflow Corporation                   Lakeland A/P Check                          4,900.00
   10/22/99   602587    Quality Calibration Service            Hamilin A/P Check                              56.72
   10/22/99   11013     Qualtest                               Lakeland A/P Check                          4,785.63
   10/22/99   11181     Qualtest                               Lakeland A/P Check                            715.00
   10/22/99   11182     Quantachrome Corp                      Lakeland A/P Check                            131.00
   10/22/99   WIRE      Reed Switch Developments               AP - Hamlin Wires                           2,352.18
   10/22/99   11183     Reeves International                   Lakeland A/P Check                         10,623.58
   10/22/99   11224     Reid Tool Supply Co.                   Lakeland A/P Check                            754.76
   10/22/99   602588    Rettschlag, Jode                       Hamilin A/P Check                              90.17
   10/22/99   602589    Richard J Chiapete                     Hamilin A/P Check                              60.00
</TABLE>

      Master Account 0999                                         Page 51 of 71
<PAGE>

                               Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below,

<TABLE>
<CAPTION>
   Date       Check      Name                                Description / Location                   Amount
   ----       -----      ----                                ----------------------                   ------
<S>        <C>           <C>                                 <C>                                  <C>
10/22/99      21682      Robert A Denton Inc.                AP Checks SRS                          2,020.00
10/22/99      21698      Rotor Clip Co. Inc.                 AP Checks SRS                            247.25
10/22/99      21706      Sanborn Wire Product                AP Checks SRS                            808.00
10/22/99      11185      Seal Methods, Inc.                  Lakeland A/P Check                     4,345.11
10/22/99     602590      Semler Ind Inc                      Hamilin A/P Check                        907.99
10/22/99     602591      Shadow Fax, Inc.                    Hamilin A/P Check                        444.16
10/22/99      11186      Signature Associates                Lakeland A/P Check                     3,609.34
10/22/99     602592      Simeth, E.L. Co, Inc                Hamilin A/P Check                      1,216.00
10/22/99      11225      Suncoast Precision                  Lakeland A/P Check                    18,981.95
10/22/99      11188      Sunsource / Air-Dreco               Lakeland A/P Check                     2,940.15
10/22/99      11190      T.P. Molding Inc                    Lakeland A/P Check                    21,324.35
10/22/99      21684      Target Container                    A/P Checks SRS                         8,822.40
10/22/99     602593      Techstaff, Inc.                     Hamilin A/P Check                      4,020.00
10/22/99      11191      Teco Peoples Gas                    Lakeland A/P Check                    21,907.86
10/22/99      11193      Teknor Apex Co.                     Lakeland A/P Check                    67,310.83
10/22/99      11194      Televac                             Lakeland A/P Check                       941.47
10/22/99      11195      Texas International                 Lakeland A/P Check                       215.47
10/22/99      11196      The Bailey Company                  Lakeland A/P Check                        78.74
10/22/99       WIRE      Thermotron Industries               A/P Lakeland Wires                       724.03
10/22/99     602594      Times Publishing Company            Hamilin A/P Check                        334.50
10/22/99      11197      Trinary Systems Inc                 Lakeland A/P Check                    10,796.00
10/22/99      11226      Trinary Systems Inc                 Lakeland A/P Check                     6,000.00
10/22/99      11198      Trw Automotive Elec. Group          Lakeland A/P Check                    14,338.80
10/22/99      11199      Trw-Fastener Div.                   Lakeland A/P Check                     2,272.00
10/22/99     602595      Unisource Worldwide Inc.            Hamilin A/P Check                         42.34
10/22/99      11200      United Technolgies Motor Systems    Lakeland A/P Check                    10,848.00
10/22/99      11201      Upaco Div. Worthen Ind.             Lakeland A/P Check                       722.40
10/22/99      21680      Vernay Laboratories                 AP Checks SRS                         10,105.00
10/22/99      11202      Vertec Mfg. Corp.                   Lakeland A/P Check                    22,093.90
10/22/99      11203      Visteon Automotive Systems          Lakeland A/P Check                    26,295.36
10/22/99      11019      Void                                Lakeland A/P Check                         0.00
10/22/99      11029      Void                                Lakeland A/P Check                         0.00
10/22/99      11030      Void                                Lakeland A/P Check                         0.00
10/22/99      11071      Void                                Lakeland A/P Check                         0.00
10/22/99      11072      Void                                Lakeland A/P Check                         0.00
10/22/99      11078      Void                                Lakeland A/P Check                         0.00
10/22/99      11081      Void                                Lakeland A/P Check                         0.00
10/22/99      11112      Void                                Lakeland A/P Check                         0.00
10/22/99      11113      Void                                Lakeland A/P Check                         0.00
10/22/99      11120      Void                                Lakeland A/P Check                         0.00
10/22/99      11125      Void                                Lakeland A/P Check                         0.00
10/22/99      11128      Void                                Lakeland A/P Check                         0.00
10/22/99      11132      Void                                Lakeland A/P Check                         0.00
10/22/99      11156      Void                                Lakeland A/P Check                         0.00
10/22/99      11163      Void                                Lakeland A/P Check                         0.00
10/22/99      11184      Void                                Lakeland A/P Check                         0.00
10/22/99      11187      Void                                Lakeland A/P Check                         0.00
10/22/99      11189      Void                                Lakeland A/P Check                         0.00
10/22/99      11192      Void                                Lakeland A/P Check                         0.00
10/22/99      11216      Void                                Lakeland A/P Check                         0.00
10/22/99     602508      Void Check                          Hamilin A/P Check                          0.00
10/22/99     602527      Void Check                          Hamilin A/P Check                          0.00
10/22/99     602528      Void Check                          Hamilin A/P Check                          0.00
10/22/99     602529      Void Check                          Hamilin A/P Check                          0.00
</TABLE>

Master Account 0999                                                Page 52 of 71
<PAGE>

                              Cash Disbursements
                Bank of America - Master Account #81889-10116
                              October 1-31, 1999
Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date              Check            Name                               Description/Location           Amount
  ----              -----            -----                              --------------------           ------
<S>                 <C>              <C>                                <C>                           <C>
10/22/99             602551          Void Check                         Hamilin A/P Check                   0.00
10/22/99              11204          Vwr Scientific                     Lakeland A/P Check                689.71
10/22/99             602596          Vwr Scientific Inc                 Hamilin A/P Check               1,173.43
10/22/99              11205          W.S.M Co                           Lakeland A/P Check              3,985.26
10/22/99              11206          Weeks, Clyde O.                    Lakeland A/P Check                250.00
10/22/99             602597          Weimer Bearing & Transmission      Hamilin A/P Check                 103.14
10/22/99               WIRE          Westbrook MFG Inc                  A/P Lakeland Wires              1,593.40
10/22/99             602598          William Buschman                   Hamilin A/P Check                  54.81
10/22/99             602599          William Chatterton,Trustee         Hamilin A/P Check                  17.00
10/22/99             602600          Wisconsin Dept Of Revenue          Hamilin A/P Check                 136.40
10/22/99             602601          Wisconsin Sctf                     Hamilin A/P Check               1,242.75
10/22/99             602602          Wright Vending                     Hamilin A/P Check                  14.98
10/22/99              11207          Wurth/Service Supply               Lakeland A/P Check                381.52
10/22/99              11208          Xerox                              Lakeland A/P Check              3,961.67
10/22/99             602525          Xpedx                              Hamilin A/P Check                 199.20
10/22/99             632603          Xpedx                              Hamilin A/P Check                 199.20
10/22/99              11209          Xpedx - Tampa                      Lakeland A/P Check              1,238.04
10/22/99              21696          Yellow Freight System              AP Checks SRS                      77.85
10/22/99              21703          Yellow Freight System              AP Checks SRS                     162.43
10/23/99               WIRE          Dale Electronics                   AP - Hamlin Wires               1,375.00
10/23/99               WIRE          Unholtz-Dickie Corp                AP - Hamlin Wires                 268.50
10/25/99               WIRE          3M                                 AP - SRS Wires                  3,385.80
10/25/99             552837          A. Schulman Plastics               AP Checks SRS                      82.62
10/25/99             552721          Accountants On Call                AP Checks SRS                     792.00
10/25/99              11230          Adams Air & Hydraulics Inc.        Lakeland A/P Check             14,176.58
10/25/99               Wire          ADP Payroll Tax                    Payroll Tax                    37,945.25
10/25/99               Wire          ADP Payroll Tax                    Payroll Tax                    71,059.95
10/25/99               WIRE          Aegis Technologies, Inc.           A/P Lakeland Wires             38,434.50
10/25/99             552723          Aerotek Contract Eng               AP Checks SRS                   1,266.16
10/25/99             552724          Alabama Dept Of Environment        AP Checks SRS                     800.00
10/25/99              11250          Alro Metals (Steel Div.)           Lakeland A/P Check                457.54
10/25/99             602608          American Freightways               Hamilin A/P Check                  48.50
10/25/99             552729          Apca Finishers, Inc                AP Checks SRS                   4,156.94
10/25/99             552730          Applied Industrial T               AP Checks SRS                     180.73
10/25/99              21724          Atlantic Tool And Die              AP Checks SRS                 300,000.00
10/25/99             552735          Automatic Spring Pro               AP Checks SRS                  11,986.56
10/25/99              21711          Autosplice, no.                    AP Checks SRS                     525.00
10/25/99              21707          Averitt Express Inc.               AP Checks SRS                      35.95
10/25/99              11251          Bax Global                         Lakeland A/P Check                357.00
10/25/99             552738          Bill Wilson                        AP Checks SRS                  12,149.01
10/25/99              11231          Bolden Die Supply Co., Inc..       Lakeland A/P Check                 41.70
10/25/99             552740          Bureau Of National A               AP Checks SRS                   1,193.00
10/25/99             552741          C & M Sandblasting                 AP Checks SRS                   3,000.00
10/25/99             552802          C.B. Lay Customs Bro               AP Checks SRS                   4,452.00
10/25/99             552746          Camellia Printing                  AP Checks SRS                   1,065.00
10/25/99              11245          Cameron County Int'L Toll          Lakeland A/P Check                167.50
10/25/99              11246          Carlton Arms                       Lakeland A/P Check              1,317.09
10/25/99              11232          Central Transport Int'L Inc        Lakeland A/P Check                292.21
10/25/99              11247          Central Transport Int'L inc        Lakeland A/P Check                111.81
10/25/99               WIRE          Ceuros Industrializados Del Bajio  AP Lakeland Wires             213,358.93
10/25/99               Wire          Checks Clearing                    Payroll                       273,412.17
10/25/99             552749          Checksavers, Inc.                  AP Checks SRS                     311.20
10/25/99             602610          Columbus Chemical Ind Inc          Hamilin A/P Check                 254.19
10/25/99               WIRE          Component Plastic                  AP Lakeland Wires               2,812.50
</TABLE>

Master Account 0999                                                Page 53 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999
Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date        Check        Name                                        Description/Location                        Amount
  ----        -----        -----                                       --------------------                        ------
<S>           <C>          <C>                                         <C>                                     <C>
10/25/99      552751       Comtec Mfg., Inc                            AP Checks SRS                               399.67
10/25/99       11252       Constellation Technologies                  Lakeland A/P Check                          360.00
10/25/99       11253       Conway Southern                             Lakeland A/P Check                          226.86
10/25/99      552755       Crystal Bottled Wate                        AP Checks SRS                               179.22
10/25/99      552756       Culligan Water Of Th                        AP Checks SRS                               340.00
10/25/99      552757       D & G Dyes, Inc.                            AP Checks SRS                             2,904.00
10/25/99      552759       Dealers Electrical Supply                   AP Checks SRS                               615.24
10/25/99       11233       Dean, Christopher M.                        Lakeland A/P Check                          113.80
10/25/99      552760       Detroit Testing Lab,                        AP Checks SRS                             3,375.00
10/25/99      552761       Dickson Associates                          AP Checks SRS                             3,489.17
10/25/99      552762       Diversified Industn                         AP Checks SRS                             2,475.87
10/25/99       21721       Dsi Security Service                        AP Checks SRS                             6,400.00
10/25/99      552663       Dudek And Bock Sprin                        AP Checks SRS                             2,633.63
10/25/99       21718       Dynacast, Inc.                              AP Checks SRS                            61,274.88
10/25/99       11254       Electrical Mechanical Drives                Lakeland A/P Check                        3,535.96
10/25/99      552771       Engineering Systems                         AP Checks SRS                            14,766.00
10/25/99      552772       Enterprise Paint & I                        AP Checks SRS                             4,800.00
10/25/99       11255       Epic Resin                                  Lakeland A/P Check                          354.75
10/25/99      552775       Evans & Hillebrand,                         AP Checks SRS                               783.73
10/25/99      552776       Ferguson Inc.                               AP Checks SRS                             1,602.19
10/25/99       11234       Floaire                                     Lakeland A/P Check                        1,300.12
10/25/99      552781       Fortress Forms, Inc                         AP Checks SRS                             9,754.78
10/25/99      552782       Franklins Printing                          AP Checks SRS                               238.12
10/25/99      552783       Free-Gate Fasteners                         AP Checks SRS                               852.48
10/25/99       11256       Friend Cf The Court                         Lakeland A/P Check                          503.13
10/25/99       11257       Friend Cf The Court                         Lakeland A/P Check                          267.59
10/25/99        WIRE       GE Capital Financial                        A/P Lakeland Wires                      300,000.00
10/25/99        Wire       Gelco (Breed)                               Travel & Entertainment                      773.07
10/25/99        Wire       Gelco (SRS)                                 Travel & Entertainment                      210.54
10/25/99      552785       Gelco Information Network                   AP Checks SRS                               395.07
10/25/99       21714       Global Engineering D                        AP Checks SRS                               109.20
10/25/99       11258       Glt Office Plus                             Lakeland A/P Check                        1,402.56
10/25/99       11259       Graebel Companies                           Lakeland A/P Check                        7,402.20
10/25/99       11235       Grainger, Inc. - Fl                         Lakeland A/P Check                          122.19
10/25/99       11260       Graybar Electric                            Lakeland A/P Check                          286.20
10/25/99      552789       H & L Tool                                  AP Checks SRS                             1,096.96
10/25/99      552790       H.L. Yoh Company Llc                        AP Checks SRS                             4,869.07
10/25/99       21709       Halo                                        AP Checks SRS                               708.15
10/25/99      552793       Hematite                                    AP Checks SRS                           110,530.00
10/25/99       21716       Holston Gases Inc.                          AP Checks SRS                               120.15
10/25/99      552794       Holston Gases Inc.                          NP Lakeland Wires                            53.90
10/25/99       11236       Hurta, Deborah                              Lakeland A/P Check                          616.50
10/25/99       11261       Hydraulic & Pneumatic Eng.                  Lakeland A/P Check                          300.24
10/25/99        WIRE       Industrial Electric                         A/P Lakeland Wires                        1,850.00
10/25/99       21712       Industrial Tool & Su                        AP Checks SRS                               235.46
10/25/99       11274       Internal Revenue Service                    Lakeland A/P Check                           25.00
10/25/99       11275       Internal Revenue Service                    Lakeland A/P Check                           75.00
10/25/99       11262       Javier Perez                                Lakeland A/P Check                        4,000.00
10/25/99      602607       Johnstone Supply                            Hamilin A/P Check                           121.53
10/25/99      552797       K And K Stamping                            AP Checks SRS                                 0.01
10/25/99      552798       Kern-Liebers Usa Inc                        AP Checks SRS                               133.50
10/25/99       21708       Keyence Corp.                               AP Checks SRS                               685.00
10/25/99       11248       Kpmg Peat Marwick                           Lakeland A/P Check                        5,500.00
10/25/99       21710       Laird Plastics                              AP Checks SRS                               393.76
</TABLE>

Master Account 0999                                                Page 54 of 71
<PAGE>

                               Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31, 1999

       Note:  The Debtors Master Account is tied to various Zero-Balance
       Accounts, which fund disbursements. The Debtor records these
       disbursements in the Master account, wherefore, to avoid duplicating
       these transactions, all disbursements tied to the Master Account are
       shown below.

<TABLE>
<CAPTION>
   Date         Check      Name                               Description / Location                         Amount
   ----         -----      ----                               ---------------------                          ------
 <S>           <C>         <C>                                <C>                                        <C>
 10/25/99      WIRE        Ma Hanna                           A/P Lakeland Wires                           1,710.00
 10/25/99      602611      Mace Tool Llc                      Hamilin A/P Check                            6,700.00
 10/25/99      552803      Mcmaster-Carr                      AP Checks SRS                                1,314.25
 10/25/99      WIRE        Micro-Line Assoc.                  A/P Lakeland Wires                           5,460.00
 10/25/99      552805      Microsolid Solutions               AP Checks SRS                                3,885.00
 10/25/99      552807      Modern Business Mach               AP Checks SRS                                  676.14
 10/25/99      552808      Motion Industries                  AP Checks SRS                                2,141.78
 10/25/99      552809      Msx International In               AP Checks SRS                               18,321.79
 10/25/99      11264       Munt, Wayne L (Bud)                Lakeland A/P Check                           1,000.00
 10/25/99      552811      Northern Diecast Cor               AP Checks SRS                              196,700.00
 10/25/99      21723       Olson International                AP Checks SRS                               15,000.00
 10/25/99      552812      Olymco Incorporated                AP Checks SRS                                1,356.90
 10/25/99      21720       O'Neal Steel                       AP Checks SRS                                  207.02
 10/25/99      11265       Orlando Hose & Fittings            Lakeland A/P Check                             232.76
 10/25/99      21713       Patriot Sensors & Co               AP Checks SRS                                1,435.00
 10/25/99      552814      Pax Machine Works, I               AP Checks SRS                               65,171.62
 10/25/99      552815      Perfection Powder Co               AP Checks SRS                                1,251.00
 10/25/99      21719       Perfection Spring &                AP Checks SRS                                  492.40
 10/25/99      11237       Pesa Labeling Systems              Lakeland A/P Check                           1,486.80
 10/25/99      552817      Peterson Manufacturi               AP Checks SRS                                3,660.70
 10/25/99      552819      Plastomer Corporatio               AP Checks SRS                                  500.00
 10/25/99      552820      Plexus Technologies, Inc           AP Checks SRS                               22,057.47
 10/25/99      WIRE        Powdertek, Inc.                    A/P Lakeland Wires                           7,145.37
 10/25/99      21725       Precision Industries               AP Checks SRS                              450,000.00
 10/25/99      11266       Precision Metal Parts, Inc.        Lakeland A/P Check                          12,600.00
 10/25/99      552823      Premier Laboratory                 AP Checks SRS                                4,485.00
 10/25/99      11267       Pro Industries, Inc                Lakeland A/P Check                              77.06
 10/25/99      552825      Prologis Trust                     AP Checks SRS                               12,820.45
 10/25/99      21722       Pugh & Son, Inc.                   AP Checks SRS                                3,447.40
 10/25/99      552828      Quality Industrial Services        AP Checks SRS                                2,394.00
 10/25/99      11268       Quality Spnng Products             Lakeland A/P Check                           3,570.00
 10/25/99      21715       R & R Tool                         AP Checks SRS                                2,467.60
 10/25/99      552829      Rco Engineering. Inc               AP Checks SRS                                3,289.60
 10/25/99      552830      Red Bird Services                  AP Checks SRS                                  238.96
 10/25/99      552831      Regal Steel Company                AP Checks SRS                                9,085.09
 10/25/99      11238       Roadway Express Inc.               Lakeland A/P Check                             313.36
 10/25/99      11243       Roadway Express Inc.               Lakeland A/P Check                             563.84
 10/25/99      552833      Roadway Express Inc.               AP Checks SRS                                  166.00
 10/25/99      602609      Robohand Inc                       Hamilin A/P Check                            2,038.15
 10/25/99      11269       Safety Kleen (Bartow) Inc.         Lakeland A/P Check                           5,216.00
 10/25/99      11270       Safety Kleen Corp                  Lakeland A/P Check                             138.86
 10/25/99      11239       Saida lii Homeowners Assn          Lakeland A/P Check                             181.75
 10/25/99      552836      Sandvik Steel - Spri               AP Checks SRS                                1,412.55
 10/25/99      11271       Schenck Accurate, Inc.             Lakeland A/P Check                             465.00
 10/25/99      552840      Smoky Mountain Products            AP Checks SRS                                   23.40
 10/25/99      11240       Sunstate Communications Inc        Lakeland A/P Check                             581.94
 10/25/99      21717       Teknor Apex                        AP Checks SRS                               21,310.00
 10/25/99      552845      Tennessee Associated               AP Checks SRS                                1,760.08
 10/25/99      552769      The Eagle Industrial               AP Checks SRS                                2,138.00
 10/25/99      552846      Trio-Madymo North Ame              AP Checks SRS                                5,600.00
 10/25/99      552847      Toolmaster                         AP Checks SRS                                1,131.25
 10/25/99      WIRE        Transfair / Transgroup             A/P Lakeland Wires                          30,000.00
 10/25/99      11272       Tri-Way Mold & Engineering         Lakeland A/P Check                          22,900.02
 10/25/99      11273       Turpin, Roy                        Lakeland A/P Check                             250.00
</TABLE>

Master Account 0999                                                Page 55 of 71
<PAGE>

                              Cash Disbursements
                Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
 Date        Check       Name                                    Description / Location                     Amount
 ----        -----       ----                                    ----------------------                  -------------
<S>          <C>         <C>                                     <C>                                      <C>
10/25/99     11241       Uline                                   Lakeland A/P Check                             84.88
10/25/99     552849      Ultraform Industries                    AP Checks SRS                                 821.75
10/25/99     552850      Venture Industries                      AP Checks SRS                                 663.97
10/25/99     11244       Void                                    Lakeland A/P Check                              0.00
10/25/99     11263       Void                                    Lakeland A/P Check                              0.00
10/25/99     11242       Watkins Motor Lines, Inc.               Lakeland A/P Check                            115.01
10/25/99     11249       Watkins Motor Lines. Inc.               Lakeland A/P Check                            272.11
10/25/99     WIRE        Weldlogic, Inc.                         A/P Lakeland Wires                            291.62
10/25/99     WIRE        Wire Technologies, Inc.                 AP - SRS Wires                             30,000.00
10/25/99     552852      Yellow Freight System                   AP Checks SRS                                 211.73
10/25/99 Adjustment for Closed AP Accounts                                                                     192.49
10/26/99     21753       A & J Automation Inc                    AP Checks SRS                              17,000.00
10/26/99     WIRE        AlliedSignal, Inc.                      AP - SRS Wires                            627,648.00
10/26/99     11276       Alro Metals (Steel Div.)                Lakeland A/P Check                          1,674.39
10/26/99     11277       American Express - Dallas               Lakeland A/P Check                          8,877.73
10/26/99     602612      American Freightways                    Hamilin A/P Check                             107.07
10/26/99     21747       Apca Finishers. inc                     AP Checks SRS                               8,719.15
10/26/99     21726       Applied Industrial                      AP Checks SRS                                 189.49
10/26/99     21728       Avery Dennison                          AP Checks SRS                              25,924.44
10/26/99     WIRE        Berger Sieba                            AP - SRS (FX - DEM)                         7,029.98
10/26/99     WIRE        Bergquist                               A/P Lakeland Wires                          1,686.00
10/26/99     WIRE        BFI                                     A/P Lakeland Wires                         10,000.00
10/26/99     WIRE        British Telecomm                        A/P Lakeland Wires                             25.38
10/26/99     11278       Butech Pressure Systems                 Lakeland A/P Check                            271.45
10/26/99     21736       Camcar Textron                          AP Checks SRS                               1,200.00
10/26/99     21743       Camcar Textron                          AP Checks SRS                              11,809.97
10/26/99     WIRE        Central Steel and Wire                  A/P Lakeland Wires                            820.74
10/26/99     11279       Century Fasteners                       Lakeland A/P Check                          9,330.00
10/26/99     Wire        Ceridian Payroll Direct Deposit         Payroll                                   118,898.73
10/26/99     Wire        Ceridian Payroll Direct Deposit         Payroll                                    26,985.32
10/26/99     Wire        Ceridian Payroll Direct Deposit         Payroll                                    18,712.58
10/26/99     Wire        Ceridian Payroll Direct Deposit         Payroll                                     9,454.55
10/26/99     Wire        Ceridian Payroll Direct Deposit         Payroll                                     5,844.80
10/26/99     Wire        Ceridian Payroll Direct Deposit         Payroll                                     5,522.44
10/26/99     Wire        Ceridian Payrol Direct Deposit          Payroll                                     4,076.31
10/26/99     Wire        Ceridian Payroll Direct Deposit         Payroll                                     3,887.66
10/26/99     Wire        Ceridian Payroll Direct Deposit         Payroll                                     3,340.61
10/26/99     Wire        Ceridian payroll Direct Deposit         Payroll                                     2,236.29
10/26/99     Wire        Ceridian Payroll Direct Deposit         Payroll                                     2,068.54
10/26/99     WIRE        Charter Electronics                     A/P Lakeland Wires                         13,250.00
10/26/99     Wire        Checks Clearing                         Payroll                                   124,828.69
10/26/99     21737       Coastal Business Machine Inc            AP Checks SRS                                 253.00
10/26/99     WIRE        Cold Heading Co                         AP - SRS Wires                            207,147.78
10/26/99     11280       Communications Resources Inc            Lakeland A/P Check                          3,139.25
10/26/99     11281       Crossroads Construction Co.             Lakeland A/P Check                          3,070.00
10/26/99     21738       Detroit Tubular Rive                    AP Checks SRS                                 428.40
10/26/99     11282       Dexter Safety & Industrial Products     Lakeland A/P Check                          5,985.45
10/26/99     11283       Die Craftsman Intl                      Lakeland A/P Check                          2,314.00
10/26/99     21729       Diversified lndustn                     AP Checks SRS                               4,726.61
10/26/99     21745       Dj incorporated                         AP Checks SRS                             500,000.00
10/26/99     WIRE        Dupont                                  AP - SRS Wires                             42,011.70
10/26/99     21734       Dynacast inc.                           AP Checks SRS                              10,400.00
10/26/99     WIRE        Eaton Corp                              AP - SRS Wires                             55,400.00
10/26/99     11284       Emj Industrial                          Lakeland A/P Check                          3,649.18
</TABLE>

Master Account 0999                                                Page 56 of 71
<PAGE>

                               Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date         Check     Name                                           Description / Location                            Amount
  ----         -----     -----                                          ----------------------                            ------
<S>            <C>       <C>                                            <C>                                           <C>
10/26/99       11285     Emporium Specialties Co., Inc.                 Lakeland A/P Check                                963.00
10/26/99        WIRE     Engineered Plastic                             A/P Lakeland Wires                              3,161.20
10/26/99       21755     Epic Components                                AP Checks SRS                                 250,000.00
10/26/99       21744     Fabco Fastening Syst                           AP Checks SRS                                     406.12
10/26/99       21739     First Technology Safety Sys                    AP Checks SRS                                     549.00
10/26/99       11286     Florida Chemical                               Lakeland A/P Check                                190.00
10/26/99       21756     Fritz Companies, Inc                           AP Checks SRS                                   1,020.87
10/26/99       11287     G.M.F. Industries                              Lakeland A/P Check                              3,025.46
10/26/99        Wire     Gelco (Breed)                                  Travel & Entertainment                            762.26
10/26/99        Wire     Gelco (SRS)                                    Travel & Entertainment                          2,211.34
10/26/99        WIRE     Genesis Molding                                A/P Lakeland Wires                              2,371.02
10/26/99        WIRE     Great West - Medical                           BREED                                         100,918.09
10/26/99        WIRE     Great West - Medical                           BREED                                          60,279.34
10/26/99        WIRE     Great West - Medical                           BSRS                                            7,540.99
10/26/99        Wire     Great West - Medical                           Hamlin, Inc.                                   21,230.32
10/26/99        WIRE     Hamlin Tool and Machine                        AP - SRS Wires                                 70,871.36
10/26/99        WIRE     Hamlin Tool and Machine                        AP - SRS Wires                                 40,874.48
10/26/99        WIRE     Hamlin Tool and Machine                        AP - SRS Wires                                  4,070.02
10/26/99        WIRE     Indiana Mills Manufacturing                    AP - SRS Wires                                  1,520.00
10/26/99       21754     Industrial Specialty                           AP Checks SRS                                  77,250.00
10/26/99       21748     Industrial Thread Sales                        AP Checks SRS                                   2,695.00
10/26/99       11288     Jb Tool & Die Co                               Lakeland A/P Check                              2,770.00
10/26/99        WIRE     JL Specialty Steel                             AP - SRS Wires                                 19,548.00
10/26/99       11289     John Augustine                                 Lakeland A/P Check                                300.00
10/26/99       11290     King Industrial                                Lakeland A/P Check                                280.37
10/26/99       21740     L & L Products                                 AP Checks SRS                                   6,784.00
10/26/99       21750     Lenmar Chemical Company                        AP Checks SRS                                  11,935.00
10/26/99       21741     Lindy Industries                               AP Checks SRS                                  18,880.00
10/26/99        WIRE     MAB Industries                                 A/P Lakeland Wires                              7,987.60
10/26/99       21742     National Technical S                           AP Checks SRS                                   8,845.00
10/26/99       21735     Nedwick Steel Company                          AP Checks SRS                                 150,000.00
10/26/99        WIRE     Nylock Fasteners                               A/P Lakeland Wires                              5,580.90
10/26/99        WIRE     Penico industries                              A/P Lakeland Wires                              2,782.50
10/26/99       21730     Polymark Corporation                           AP Checks SRS                                   9,986.32
10/26/99       21731     Polymer Service Corp                           AP Checks SRS                                   6,652.80
10/26/99       11291     Power & Pumps                                  Lakeland A/P Check                                385.75
10/26/99        WIRE     Pressac, Inc.                                  A/P Lakeland Wires                              7,306.00
10/26/99       21751     Primex Plastics Corp                           AP Checks SRS                                  11,193.00
10/26/99        WIRE     River City Plastics                            A/P Lakeland Wires                              2,305.00
10/26/99        WIRE     Roadway Express                                A/P Lakeland Wires                              1,994.35
10/26/99       21752     Sloan Fluid Accessor                           AP Checks SRS                                     842.95
10/26/99       21749     Southern Loom Reed                             AP Checks SRS                                   1,388.75
10/26/99       21732     Superior Plastics                              AP Checks SRS                                     976.90
10/26/99       21746     Target Container                               AP Checks SRS                                   8,822.40
10/26/99        WIRE     Tenneco Packaging                              A/P Lakeland Wires                             40,000.00
10/26/99       11292     Texas International                            Lakeland A/P Check                                418.94
10/26/99       21727     Therm Alliance Co.                             AP Checks SRS                                   1,444.00
10/26/99       11293     Trane Parts Cntr                               Lakeland A/P Check                                152.34
10/26/99       21733     Trident Automotive, Inc.                       AP Checks SRS                                  18,559.20
10/26/99       11294     Trinary Systems Inc                            Lakeland A/P Check                              6,000.00
10/26/99        WIRE     Trueline, Inc                                  A/P Lakeland Wires                              2,496.38
10/26/99       11295     Varian Vacume Products                         Lakeland A/P Check                                146.44
10/26/99        WIRE     Whittar Steel                                  AP - SRS Wires                                260,000.00
10/26/99      602614     Yellow Freight                                 Hamilin A/P Check                                  92.59
</TABLE>

Master Account 0999                                                Page 57 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.


<TABLE>
<CAPTION>
Date         Check    Name                                      Description / Location                         Amount
----         -----    ----                                      ----------------------                         ------
<S>          <C>      <C>                                       <C>                                            <C>
10/26/99     BREED    Automotive LP                             Transfer from Debtor                           10,000.00
10/26/99              ABN-AMRO/ Mexican Disbursement Acct       Transfer From Non-Debtor                    1,550,352.41
10/26/99     BREED    Ruckhaltesystems                          Transfer From Non-Debtor                      914,709.75
10/26/99              Great West - Medical                      USS-BSS                                        10,420.47
10/27/99     21767    A & J Automation Inc                      AP Checks SRS                                     650.00
10/27/99     602624   Action Lock & Security Syste              Hamilin A/P Check                                 119.32
10/27/99     11304    Action Staffing                           Lakeland A/P Check                              1,678.28
10/27/99     602662   Airgas Lyons. Inc.                        Hamilin A/P Check                                  42.45
10/27/99     11305    Alberto Negro                             Lakeland A/P Check                             21,712.57
10/27/99     WIRE     American Express                          A/P Lakeland Wires                                912.78
10/27/99     602625   American Express                          Hamilin A/P Check                               1,717.43
10/27/99     602616   American Freightways                      Hamilin A/P Check                                 241.54
10/27/99     WIRE     Ampex Federal Credit Union                AP - SRS Wires                                  1,349.00
10/27/99     21764    Apollo Chemical Corp                      AP Checks SRS                                     683.40
10/27/99     602620   Application Equipment                     Hamilin A/P Check                                 120.41
10/27/99     602626   Artistic Plating Co                       Hamilin A/P Check                                 211.54
10/27/99     602627   Associated Bank                           Hamilin A/P Check                               1,117.05
10/27/99     WIRE     Atlantic Research                         A/P Lakeland Wires                            700,000.00
10/27/99     11319    Autoliv Asp Inc                           Lakeland A/P Check                             59,472.00
10/27/99     11320    Automatic Spring Prod.                    Lakeland A/P Check                                310.00
10/27/99     602628   Bank Cne, Milwaukee, N.A.                 Hamilin A/P Check                                 338.53
10/27/99     Wire     BankAmerica                               DIP LIBOR Interes                              74,083.33
10/27/99     11306    Blount County Courthouse                  Lakeland A/P Check                                 89.25
10/27/99     11321    Bohne Spring Ind. Ltd.                    Lakeland A/P Check                                248.99
10/27/99     11403    Bradford Industries                       Lakeland A/P Check                             89,128.08
10/27/99     11322    Bridgestone Apm Co                        Lakeland A/P Check                             14,887.50
10/27/99     602629   Budde Marketing Systems. Inc              Hamilin A/P Check                                 950.00
10/27/99     602630   Business Health Services Cf               Hamilin A/P Check                               2,475.27
10/27/99     11323    Cada Stainless & Alloys                   Lakeland A/P Check                             15,846.45
10/27/99     21757    Cadillac Plastics Gr                      AP Checks SRS                                     181.54
10/27/99     11404    Camcar-Textron                            Lakeland A/P Check                             12,422.10
10/27/99     WIRE     Cavalli                                   A/P Lakeland Wires                             10,155.60
10/27/99     21773    Central Transport Intl.                   AP Checks SRS                                   1,130.77
10/27/99     Wire     Ceridian Payroll Direct Deposit           Payroll                                        21,632.24
10/27/99     Wire     Checks Clearing                           Payroll                                        72,930.84
10/27/99     602631   Chris Hamilton                            Hamilin A/P Check                                  66.00
10/27/99     11298    Communications Resources Inc              Lakeland A/P Check                              3,139.25
10/27/99     21760    Conair Franklin                           AP Checks SRS                                   2,100.00
10/27/99     602632   Contact East                              Hamilin A/P Check                                  48.32
10/27/99     11405    Covington Box                             Lakeland A/P Check                              2,587.20
10/27/99     11326    Cross Fluid Power                         Lakeland A/P Check                                 60.22
10/27/99     602618   Crouse Cartage Company                    Hamilin A/P Check                                  84.00
10/27/99     21770    D & D Mfg. Cf Chicag                      AP Checks SRS                                  15,000.00
10/27/99     21759    D & G Dyes, Inc.                          AP Checks SRS                                  10,252.00
10/27/99     11327    Dateppli Inc.                             Lakeland A/P Check                              2,270.00
10/27/99     11406    Davenport                                 Lakeland A/P Check                                338.00
10/27/99     WIRE     Daytol Steel Service                      AP - SRS Wires                                 33,000.00
10/27/99     11328    Delco Electronics                         Lakeland A/P Check                             38,937.60
10/27/99     602633   Dennis Swatek                             Hamilin A/P Check                                 236.50
10/27/99     11407    Dept. Workforce Devel./Div.Unemploy.      Lakeland A/P Check                              1,752.73
10/27/99     11329    Dexter Auto. Materials                    Lakeland A/P Check                              3,914.77
10/27/99     11330    Dexter Safety & lndustrial Products       Lakeland A/P Check                                304.00
10/27/99     21765    Dieugenio Tool Center                     AP Checks SRS                                   3,264.12
10/27/99     602634   Diversified Personnel Servic              Hamilin A/P Check                               6,702.90

</TABLE>

Master Account 0999                                                Page 58 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date       Check     Name                                  Description / Location                Amount
  ----       -----     ----                                  ----------------------                ------
<S>          <C>       <C>                                   <C>                               <C>
10/27/99     11331     Dlf Container                         Lakeland A/P Check                  4,389.00
10/27/99     21766     Dooley Chemical Company               AP Checks SRS                      14,040.00
10/27/99     11332     Dothan Security Inc                   Lakeland A/P Check                  1,948.96
10/27/99     11333     Dsi Sewing Machine Supplies           Lakeland A/P Check                  1,220.00
10/27/99     11307     Educational Credit Mgmt               Lakeland A/P Check                     60.08
10/27/99     11335     Efd Inc.                              Lakeland A/P Check                    107.16
10/27/99     602635    Electramark Inc.                      Hamilin A/P Check                   1,518.90
10/27/99     602636    Electric Sales And Eng.               Hamilin A/P Check                     182.26
10/27/99     11336     Electro Chemical                      Lakeland A/P Check                  2,057.10
10/27/99     11337     Elektrisola Inc.                      Lakeland A/P Check                  2,376.73
10/27/99     11338     Ellsworth Adhesives Systems           Lakeland A/P Check                     68.00
10/27/99     11339     Emhart Dodge/Heli-Coil Div.           Lakeland A/P Check                  8,766.24
10/27/99     602619    Enthone-Omi, Inc.                     Hamilin A/P Check                      88.80
10/27/99     11409     Epic Resin                            Lakeland A/P Check                    962.35
10/27/99     11341     Fci Automotive Group                  Lakeland A/P Check                 52,295.76
10/27/99     602637    Ferguson Investments                  Hamilin A/P Check                  12,500.00
10/27/99     11342     Ferro Corporation                     Lakeland A/P Check                  5,309.02
10/27/99     11343     Festo Corp.                           Lakeland A/P Check                     78.57
10/27/99     21762     Fisher Corp                           AP Checks SRS                     300,000.00
10/27/99     11344     Five Star Staffing                    Lakeland A/P Check                     32.68
10/27/99     602638    Flambeau Micro Co                     Hamilin A/P Check                   6,796.40
10/27/99     11345     Free Gate Fasteners                   Lakeland A/P Check                    245.00
10/27/99     11346     Galls, Inc                            Lakeland A/P Check                    215.79
10/27/99     11347     Ge Capital                            Lakeland A/P Check                    238.50
10/27/99     Wire      Gelco (Breed)                         Travel & Entertainment              1,903.78
10/27/99     Wire      Gelco (SRS)                           Travel & Entertainment              2,334.22
10/27/99     11300     General Sessions Court                Lakeland A/P Check                     98.17
10/27/99     602639    Gerald Welch                          Hamilin A/P Check                     185.00
10/27/99     602640    Grainger, W W                         Hamilin A/P Check                     347.12
10/27/99     11348     Grand Traverse Stamping               Lakeland A/P Check                  3,045.00
10/27/99     WIRE      Greening Donald                       A/P Lakeland Wires                 32,691.58
10/27/99     11349     Guang Hong                            Lakeland A/P Check                  3,200.00
10/27/99     11410     Gulf Industrial Sales                 Lakeland A/P Check                 14,300.00
10/27/99     11351     Hai (Howard-Ayusa)                    Lakeland A/P Check                 30,817.35
10/27/99     WIRE      Hamlin Tool and Machine               AP - SRS Wires                      7,408.67
10/27/99     11352     Heller Financial Inc                  Lakeland A/P Check                  2,358.50
10/27/99     21768     Heritage Tool & Mold                  AP Checks SRS                      14,200.00
10/27/99     11353     Hewlett Packard                       Lakeland A/P Check                  1,672.20
10/27/99     11354     Hewlett Packard Co.                   Lakeland A/P Check                  1,418.60
10/27/99     11355     Hurst Tool & Engineering Co           Lakeland A/P Check                    400.00
10/27/99     602621    Hydrite Chemical Co                   Hamilin A/P Check                     593.30
10/27/99     11411     Hye-Tech Machine Enterprises Inc      Lakeland A/P Check                  1,712.95
10/27/99     602641    Indigo Elect Ltd                      Hamilin A/P Check                   3,555.16
10/27/99     11356     Industrial Elec Wire & Cable          Lakeland A/P Check                  6,207.86
10/27/99     21769     Industrial Tool & Su                  AP Checks SRS                         997.40
10/27/99     21772     Integrated Mfg & Dis                  AP Checks SRS                      89,061.53
10/27/99     11357     Integrated System Tech.Inc            Lakeland A/P Check                  5,997.48
10/27/99     11308     Interim Tech. Staffing Solutions      Lakeland A/P Check                  7,982.63
10/27/99     11358     Iron Mountain                         Lakeland A/P Check                  2,152.00
10/27/99     11359     Its Incorporated                      Lakeland A/P Check                  2,854.34
10/27/99     WIRE      John Gillen Company                   AP - SRS Wires                    350,000.00
10/27/99     602642    Johnson Creek Outlet                  Hamilin A/P Check                      90.00
10/27/99     602661    Johnson Matthey                       Hamilin A/P Check                   2,010.00
10/27/99     602643    Johnstone Supply                      Hamilin A/P Check                     491.26
</TABLE>

Master Account 0999                                                Page 59 of 71
<PAGE>

                               Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
Date         Check   Name                                          Description/Location                  Amount
----         -----   ----                                          --------------------                  ------
<S>          <C>     <C>                                           <C>                               <C>
10/27/99     11360   Kaybe Products Inc                            Lakeland A/P Check                  1,385.00
10/27/99     11361   Kershaw Industrial                            Lakeland A/P Check                    150.41
10/27/99     21763   King Industrial                               AP Checks SRS                       2,326.00
10/27/99     11362   Kistler Instrument Corporation                Lakeland A/P Check                  4,368.00
10/27/99     11363   Krauss Maffei Co                              Lakeland A/P Check                  2,736.00
10/27/99     11364   Krayden, Inc.                                 Lakeland A/P Check                  1,461.70
10/27/99     11365   Kroll Information Svcs                        Lakeland A/P Check                  1,750.00
10/27/99     602644  Lake Mills Leader                             Hamilin A/P Check                     194.81
10/27/99     11309   Larry Mccurdy                                 Lakeland A/P Check                 22,106.94
10/27/99     WIRE    Leggett and Platt                             A/P Lakeland Wires                  1,797.60
10/27/99     11366   Liberty Mutual                                Lakeland A/P Check                 51,487.13
10/27/99     11367   Lone Star Industrial                          Lakeland A/P Check                    155.95
10/27/99     11368   Lucent Technologies                           Lakeland A/P Check                  2,584.63
10/27/99     11369   Macmillan Bloedel Containers                  Lakeland A/P Check                  6,787.70
10/27/99     11370   Magid Gloves & Safety                         Lakeland A/P Check                    140.73
10/27/99     11371   Manpower                                      Lakeland A/P Check                  3,609.57
10/27/99     602645  Manpower                                      Hamilin A/P Check                   4,969.80
10/27/99     602646  Markson Lab Sales                             Hamilin A/P Check                     155.61
10/27/99     11372   Mc Master Carr                                Lakeland A/P Check                    541.37
10/27/99     11373   Mci Commercial Service - Se                   Lakeland A/P Check                     80.32
10/27/99     11374   Mci Telecommunications                        Lakeland A/P Check                    828.20
10/27/99     11375   Mci Telecommunications                        Lakeland A/P Check                 52,330.63
10/27/99     602647  Mcmaster-Carr Supply Co                       Hamilin A/P Check                     906.38
10/27/99     602648  Metal Finishing Supply Co.                    Hamilin A/P Check                     395.00
10/27/99     602649  Mexicana De Electronica Ind                   Hamilin A/P Check                   1,609.05
10/27/99     WIRE    Molex, Inc.                                   A/P Lakeland Wires                  8,424.00
10/27/99     602617  Motion Industries                             Hamilin A/P Check                     115.92
10/27/99     602650  Msc Industrial Supply Co                      Hamilin A/P Check                     247.17
10/27/99     11376   Msc Industrial Supply Co Inc                  Lakeland A/P Check                    416.77
10/27/99     11377   National Bag Co. Inc                          Lakeland A/P Check                     78.75
10/27/99     11310   National Safety Council                       Lakeland A/P Check                    250.00
10/27/99     WIRE    Nextel Finance                                A/P Lakeland Wires                  1,005.37
10/27/99     602651  Nippon Electric Glass Americ                  Hamilin A/P Check                  45,990.71
10/27/99     602652  Norrell                                       Hamilin A/P Check                   5,823.88
10/27/99     11379   Nss Industries                                Lakeland A/P Check                 13,292.65
10/27/99     WIRE    OEA, inc.                                     A/P Lakeland Wires                 75,942.93
10/27/99     11313   Onsite Commercial Staffing                    Lakeland A/P Check                  2,687.93
10/27/99     WIRE    Oml Federal Credit Union                      AP - SRS Wires                      8,277.29
10/27/99     WIRE    P.N. Farrar Enterprises                       A/P Lakeland Wires                  7,080.00
10/27/99     11381   Permabond Int'L.                              Lakeland A/P Check                  1,642.30
10/27/99     11412   Pesa Labeling Systems                         Lakeland A/P Check                    152.40
10/27/99     602653  Plc Direct By Koyo, Inc.                      Hamilin A/P Check                      30.30
10/27/99     WIRE    Powerboss Malaysia                            A/P Lakeland Wires                208,492.00
10/27/99     11314   Reilly, John P.                               Lakeland A/P Check                 10,000.00
10/27/99     11315   Riess, John M.                                Lakeland A/P Check                  5,000.00
10/27/99     11296   Roadway Express Inc.                          Lakeland A/P Check                    171.63
10/27/99     11299   Roadway Express Inc.                          Lakeland A/P Check                    131.63
10/27/99     11316   Robert'S Express Inc                          Lakeland A/P Check                  1,294.71
10/27/99     11317   Romac International                           Lakeland A/P Check                  1,320.00
10/27/99     11382   Roylco                                        Lakeland A/P Check                    230.00
10/27/99     11413   Sears Industrial Sales                        Lakeland A/P Check                    185.12
10/27/99     11385   Serfilco                                      Lakeland A/P Check                     54.60
10/27/99     602654  Serfilco, Ltd.                                Hamilin A/P Check                     284.06
10/27/99     11414   Sheri Webb / Petty Cash                       Lakeland A/P Check                    493.05
</TABLE>

Master Account 0999                                                Page 60 of 71
<PAGE>

                              Cash Disbursements
                Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note:  The Debtors Master Account is tied to various Zero-Balance Accounts,
which fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
 Date       Check      Name                                         Description / Location           Amount
 ----       -----      -----                                        ----------------------           ------
<S>         <C>        <C>                                          <C>                           <C>
10/27/99    21761      Sloan Fluid Accessor                         AP Checks SRS                  1,504.65
10/27/99    11387      Softek                                       Lakeland A/P Check             2,015.00
10/27/99    11389      Southwestern Bell                            Lakeland A/P Check            15,598.27
10/27/99    602655     Stacy Otte                                   Hamilin A/P Check                 63.25
10/27/99    602656     Star Cinema                                  Hamilin A/P Check                120.00
10/27/99    11301      State Fire Marshall                          Lakeland A/P Check               144.00
10/27/99    602657     Subway                                       Hamilin A/P Check                 50.56
10/27/99    11318      Syntel                                       Lakeland A/P Check             8,564.00
10/27/99    11391      Tampa Pallet                                 Lakeland A/P Check               445.50
10/27/99    602658     Techstaff, Inc.                              Hamilin A/P Check              4,020.00
10/27/99    WIRE       Teknor Apex                                  A/P Lakeland Wires            32,519.93
10/27/99    11393      Tenn-Tech Metrology                          Lakeland A/P Check                88.80
10/27/99    602659     Tgi Friday'S                                 Hamilin A/P Check                 90.00
10/27/99    602615     Unisource Worldwide Inc.                     Hamilin A/P Check                128.78
10/27/99    11312      United States Bankruptcy Court Chap          Lakeland A/P Check               570.20
10/27/99    11397      Us Filter/Fluid Dynamics                     Lakeland A/P Check            16,120.00
10/27/99    WIRE       Velcro Automotive                            AP - SRS Wires                10,000.00
10/27/99    11398      Visteon Automotive Systems                   Lakeland A/P Check            20,227.20
10/27/99    11297      Void                                         Lakeland A/P Check                 0.00
10/27/99    11302      Void                                         Lakeland A/P Check                 0.00
10/27/99    11311      Void                                         Lakeland A/P Check                 0.00
10/27/99    11324      Void                                         Lakeland A/P Check                 0.00
10/27/99    11325      Void                                         Lakeland A/P Check                 0.00
10/27/99    11334      Void                                         Lakeland A/P Check                 0.00
10/27/99    11340      Void                                         Lakeland A/P Check                 0.00
10/27/99    11350      Void                                         Lakeland A/P Check                 0.00
10/27/99    11378      Void                                         Lakeland A/P Check                 0.00
10/27/99    11380      Void                                         Lakeland A/P Check                 0.00
10/27/99    11383      Void                                         Lakeland A/P Check                 0.00
10/27/99    11384      Void                                         Lakeland A/P Check                 0.00
10/27/99    11386      Void                                         Lakeland A/P Check                 0.00
10/27/99    11388      Void                                         Lakeland A/P Check                 0.00
10/27/99    11390      Void                                         Lakeland A/P Check                 0.00
10/27/99    11392      Void                                         Lakeland A/P Check                 0.00
10/27/99    11394      Void                                         Lakeland A/P Check                 0.00
10/27/99    11395      Void                                         Lakeland A/P Check                 0.00
10/27/99    11396      Void                                         Lakeland A/P Check                 0.00
10/27/99    11408      Void                                         Lakeland A/P Check                 0.00
10/27/99    602622     Void Check                                   Hamilin A/P Check                  0.00
10/27/99    602623     Void Check                                   Hamilin A/P Check                  0.00
10/27/99    11399      Volden Pest Control Inc                      Lakeland A/P Check               600.00
10/27/99    11400      Vwr Scientific                               Lakeland A/P Check                13.78
10/27/99    11303      Watkins Motor Lines, Inc.                    Lakeland A/P Check               137.75
10/27/99    11415      Watkins Motor Lines, Inc.                    Lakeland A/P Check            10,000.00
10/27/99    WIRE       Weiss Aug                                    A/P Lakeland Wires            36,649.92
10/27/99    11401      West Coast Golf Cars                         Lakeland A/P Check               232.88
10/27/99    21758      Whitmark                                     AP Checks SRS                     75.00
10/27/99    11416      Wiegel Tool Works Inc                        Lakeland A/P Check             4,637.68
10/27/99    602660     Wttn-Am Radio                                Hamilin A/P Check                 79.97
10/27/99    11402      Xpedx / Zellerbach                           Lakeland A/P Check               117.00
10/27/99    WIRE       Yazaki North America                         A/P Lakeland Wires             1,590.00
10/28/99    21807      A. Schulman Plastics                         AP Checks SRS                   1620.00
10/28/99    553163     A. Schulman Plastics                         AP Checks SRS                  1,620.00
10/28/99    552855     Absopure Water Co.                           AP Checks SRS                     43.25
</TABLE>

Master Account 0999                                                Page 61 of 71
<PAGE>

                              Cash Disbursements
                Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date       Check  Name                                     Description / Location           Amount
  ----       -----  ----                                     ----------------------           ------
<S>         <C>     <C>                                      <C>                          <C>
10/28/99    552856  Accurate Machining                       AP Checks SRS                    290.00
10/28/99    552853  A-Cinci Machine Serv                     AP Checks SRS                  2,524.00
10/28/99     11451  Action Welding Supply, Inc.              Lakeland A/P Check             1,683.87
10/28/99    552857  Actwu Southern Regl.                     AP Checks SRS                  1,142.64
10/28/99    552859  Adecco Employment Service                AP Checks SRS                  2,885.69
10/28/99    552858  Adecco Employment Services               AP Checks SRS                  4,495.80
10/28/99    552860  Advance Paperworks Inc.                  AP Checks SRS                  6,000.00
10/28/99    552861  Aep Industries                           AP Checks SRS                  1,634.28
10/28/99    552862  Aerotek Contract Eng                     AP Checks SRS                    744.80
10/28/99    552863  Airtouch Cellular                        AP Checks SRS                     48.11
10/28/99    552864  Alabama Power                            AP Checks SRS                 35,893.36
10/28/99    553100  Alan Nobles Storage                      AP Checks SRS                    177.42
10/28/99     21789  All Fasteners Direct                     AP Checks SRS                    100.90
10/28/99     21796  Allied Electronics,                      AP Checks SRS                    662.39
10/28/99     21778  Allison-Erwin Compan                     AP Checks SRS                    224.00
10/28/99    552867  Almont Screw Product                     AP Checks SRS                  4,080.00
10/28/99     11417  Alro Metals (Steel Div.)                 Lakeland A/P Check               212.92
10/28/99    552868  American Components                      AP Checks SRS                  1,850.00
10/28/99     WIRE   American Express                         A/P Lakeland Wires               300.00
10/28/99    602665  American Freightways                     Hamilin A/P Check                353.57
10/28/99    552870  American Red Cross                       AP Checks SRS                    200.00
10/28/99     21803  Amerigas                                 AP Checks SRS                    901.93
10/28/99    552872  Ameritech                                AP Checks SRS                  3,362.74
10/28/99    552873  Ameritech Aads                           AP Checks SRS                  5,075.28
10/28/99    552875  Anchor Tool & Die Co                     AP Checks SRS                 46,925.63
10/28/99     11418  Angel San Inocencio                      Lakeland A/P Check             6,080.00
10/28/99     21779  Apca Finishers, Inc                      AP Checks SRS                  2,100.00
10/28/99     11452  Applied Industrial Technology            Lakeland A/P Check               402.72
10/28/99    552876  Aramark Corp - Allie                     AP Checks SRS                  5,909.48
10/28/99     WIRE   Ashland Chemical                         A/P Lakeland Wires            23,613.00
10/28/99    552880  Ashland Chemical Com                     AP Checks SRS                      0.50
10/28/99    552882  Associates Leasing, Inc.                 AP Checks SRS                    306.44
10/28/99    552883  Astro Enterprises                        AP Checks SRS                      0.01
10/28/99    552884  At & T Messaging                         AP Checks SRS                    540.60
10/28/99    552885  At&T                                     AP Checks SRS                      4.50
10/28/99    552887  Autoliv North America                    AP Checks SRS                  1,548.00
10/28/99    552888  Automatic Spring Pro                     AP Checks SRS                 34,459.05
10/28/99    602669  Autosplice Inc                           Hamilin A/P Check                436.50
10/28/99     WIRE   Aztec Wire                               A/P Lakeland Wires            18,928.00
10/28/99     21795  Barrera Supply Compa                     AP Checks SRS                    431.20
10/28/99    552891  Bates Fabricating, I                     AP Checks SRS                  3,448.86
10/28/99     21775  Bergen Cable Technology, Inc             AP Checks SRS                107,400.10
10/28/99    552893  Berns Landscaping Svcs, Inc.             AP Checks SRS                    310.00
10/28/99    552895  Blue Water Plastic                       AP Checks SRS                    380.90
10/28/99    552897  Bobier Tool Supply, Inc.                 AP Checks SRS                    616.25
10/28/99    552898  Bowman Distribution                      AP Checks SRS                     56.95
10/28/99    552899  Bradford Industries                      AP Checks SRS                 39,710.07
10/28/99    552900  Breeding Insulation                      AP Checks SRS                     27.11
10/28/99     21780  Broadax Systems, Inc                     AP Checks SRS                  7,538.00
10/28/99    552901  Brown Corporation of America             AP Checks SRS                    525.00
10/28/99    552902  Browning-Ferris Co.                      AP Checks SRS                  1,469.43
10/28/99     11453  Buehler, Ltd.                            Lakeland A/P Check               834.80
10/28/99    552903  Burns International                      AP Checks SRS                    669.14
10/28/99    602668  C & H Distributors                       Hamilin A/P Check                247.04
</TABLE>

Master Account 0999                                                Page 62 of 71
<PAGE>

                              Cash Disbursements
                Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date       Check   Name                                Description / Location           Amount
  ----       -----   ----                                ----------------------           ------
<S>         <C>      <C>                                 <C>                          <C>
10/28/99    552904   C & M Sandblasting                  AP Checks SRS                     75.00
10/28/99    553060   C.B. Lay Customs Bro                AP Checks SRS                  4,487.50
10/28/99     11437   Cambridge Stamping Inc              Lakeland A/P Check             2,027.20
10/28/99     WIRE    Camcar Textron                      AP - SRS Wires                 5,809.40
10/28/99    552910   Camcar Textron                      AP Checks SRS                    250.00
10/28/99    552913   Canyon Compressor Co                AP Checks SRS                    977.57
10/28/99     WIRE    Carpenter Technologies              A/P Lakeland Wires            18,233.77
10/28/99    602664   Ccx Con-Way Central Express         Hamilin A/P Check                 99.28
10/28/99    552918   Cellular One                        AP Checks SRS                    924.81
10/28/99    552919   Central Child Support               AP Checks SRS                    774.27
10/28/99    552920   Central Kentucky Pro                AP Checks SRS                  9,086.41
10/28/99     Wire    Ceridian Payroll Tax                Payroll Tax                   74,884.77
10/28/99     Wire    Ceridian Payroll Tax                Payroll Tax                   48,758.61
10/28/99     Wire    Ceridian Payroll Tax                Payroll Tax                    4,757.23
10/28/99     Wire    Ceridian Payroll Tax                Payroll Tax                    4,404.91
10/28/99     Wire    Ceridian Payroll Tax                Payroll Tax                    4,343.88
10/28/99     Wire    Ceridian Payroll Tax                Payroll Tax                    3,906.71
10/28/99     Wire    Ceridian Payroll Tax                Payroll Tax                    1,659.24
10/28/99     Wire    Ceridian Payroll Tax                Payroll Tax                    1,128.38
10/28/99     Wire    Ceridian Payroll Tax                Payroll Tax                      906.05
10/28/99    553209   Chapter 13                          AP Checks SRS                  1,157.00
10/28/99     11419   Charrette Corp                      Lakeland A/P Check               640.06
10/28/99     Wire    Checks Clearing                     Payroll                       14,834.38
10/28/99    552921   Chenowth Racing Prod                AP Checks SRS                  4,724.60
10/28/99    552924   Christenberry Truck1                AP Checks SRS                  7,876.75
10/28/99    552925   Cintas                              AP Checks SRS                    444.37
10/28/99    552927   Clanant Corporation                 AP Checks SRS                 16,833.33
10/28/99     11454   Clearinghouse                       Lakeland A/P Check               142.50
10/28/99     WIRE    Coats Bell                          A/P Lakeland Wires            10,000.00
10/28/99    552928   Cochise County Deq                  AP Checks SRS                    222.30
10/28/99     11438   Component Plastics Inc              Lakeland A/P Check            10,000.00
10/28/99    552929   Compound Technologies               AP Checks SRS                 14,069.80
10/28/99    552930   Computer Sales International        AP Checks SRS                  1,925.13
10/28/99    552931   Comtec Mfg., Inc                    AP Checks SRS                    399.67
10/28/99    552932   Continental Midland,                AP Checks SRS                 75,000.00
10/28/99    552934   Cookeville Plating                  AP Checks SRS                  1,459.20
10/28/99    552936   Copper State Bolt &                 AP Checks SRS                  4,121.00
10/28/99    552937   Crompton & Knowles C                AP Checks SRS                  5,776.00
10/28/99    552939   Cumberland Clarklift                AP Checks SRS                    150.56
10/28/99     21781   Curbell, Inc                        AP Checks SRS                    477.25
10/28/99    552940   Customer Service Electric           AP Checks SRS                    415.96
10/28/99     11455   Cuyahoga County                     Lakeland A/P Check               214.74
10/28/99    552942   Davis Hose & Supply                 AP Checks SRS                  1,393.32
10/28/99    552943   Dayton Polymeric Pro                AP Checks SRS                    639.00
10/28/99    552945   Del Norte Industrial Supply         AP Checks SRS                    600.00
10/28/99    552947   Deprag, Inc.                        AP Checks SRS                    263.55
10/28/99    552948   Detroit Testing Lab,                AP Checks SRS                  1,520.00
10/28/99    552949   Dexter Safety & Ind. Prod.          AP Checks SRS                     82.60
10/28/99    552950   Dickson Associates                  AP Checks SRS                  3,1l7.91
10/28/99     21782   Dieugenio Tool Center               AP Checks SRS                    110.55
10/28/99    552951   Digital Equipment Corp.             AP Checks SRS                  5,091.87
10/28/99    552952   Direct Safety Co.                   AP Checks SRS                    750.00
10/28/99    552953   Distinctive Maintenance Inc.        AP Checks SRS                  9,337.13
10/28/99    553176   Dixie Numerics Llc                  AP Checks SRS                  3,009.24
</TABLE>

Master Account 0999                                                Page 63 of 71
<PAGE>

                              Cash Disbursements
                Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date         Check  Name                                 Description / Location             Amount
  ----         -----  ----                                 ----------------------             ------
<S>           <C>     <C>                                  <C>                            <C>
10/28/99       11420  Dixon Tool Company                   Lakeland A/P Check              17,000.00
10/28/99      552956  Document Services Inc.               AP Checks SRS                       70.00
10/28/99       11421  Doe And Ingalls                      Lakeland A/P Check                 491.15
10/28/99      552959  Dudek And Bock Sprin                 AP Checks SRS                      335.25
10/28/99       21783  Dura Cast Incorporat                 AP Checks SRS                   99,583.00
10/28/99      552963  Duromatic                            AP Checks SRS                   16,041.06
10/28/99      552967  Dynamerica Manufacturing Co          AP Checks SRS                      362.05
10/28/99      552968  Dynamic Technology                   AP Checks SRS                      535.00
10/28/99       21784  Eastman Kodak                        AP Checks SRS                      388.80
10/28/99      552969  Eaton Corporation                    AP Checks SRS                      926.25
10/28/99       21790  Ecl                                  AP Checks SRS                      444.00
10/28/99       21797  Eclipse Mold, Incorp                 AP Checks SRS                   70,000.00
10/28/99      552971  Edwards Medical Supply               AP Checks SRS                      123.51
10/28/99      552972  El Camino Resources,                 AP Checks SRS                      855.00
10/28/99       11457  El Paso District Clerk               Lakeland A/P Check                 208.72
10/28/99       21800  El Paso Industrial Supplies          AP Checks SRS                   13,479.26
10/28/99       11422  Electrical Mechanical Drives         Lakeland A/P Check               1,029.27
10/28/99       11436  Electro Lab. 2. Inc.                 Lakeland A/P Check                 125.00
10/28/99      552978  Elliott's Tennessee Boot Co          AP Checks SRS                      551.71
10/28/99      552979  Emc Corporation                      AP Checks SRS                    1,277.21
10/28/99      552981  Enterprise Oil Company               AP Checks SRS                    1,200.00
10/28/99      552983  Epic Components                      AP Checks SRS                  105,800.00
10/28/99      552984  Epic Components                      AP Checks SRS                   38,600.00
10/28/99      552986  Epic Components                      AP Checks SRS                    8,500.00
10/28/99      552987  Epic Components                      AP Checks SRS                    5,000.00
10/28/99      552988  Epic Components                      AP Checks SRS                    3,620.00
10/28/99      552989  Epic Components                      AP Checks SRS                    1,290.00
10/28/99      552990  Epic Components                      AP Checks SRS                    1,050.00
10/28/99       WIRE   Esec                                 A/P Lakeland Wires                 937.00
10/28/99      552992  Eyelematic Mfg. Co.,                 AP Checks SRS                      705.60
10/28/99      552993  Fanco Group                          AP Checks SRS                      352.66
10/28/99      552995  Ferguson Inc.                        AP Checks SRS                    1,560.59
10/28/99       WIRE   Ferro                                A/P Lakeland Wires              48,695.37
10/28/99       11458  Five Star Staffing                   Lakeland A/P Check              38,496.16
10/28/99       11459  Florida Seal & Rubber Co             Lakeland A/P Check                 170.00
10/28/99      553000  Fortress Forms, Inc                  AP Checks SRS                   60,927.90
10/28/99       11460  Framatome Connectors                 Lakeland A/P Check               5,410.56
10/28/99      553001  Franklins Printing                   AP Checks SRS                      350.50
10/28/99      553002  Free-Gate Fasteners                  AP Checks SRS                    2,411.29
10/28/99       11461  Friend Of The Court                  Lakeland A/P Check                 425.50
10/28/99       11462  Friend Of The Court                  Lakeland A/P Check                 261.63
10/28/99       11463  Friend Of The Court                  Lakeland A/P Check                 267.59
10/28/99       11464  Friend Of The Court                  Lakeland A/P Check                 486.60
10/28/99       11465  Friend Of The Court                  Lakeland A/P Check               1,039.47
10/28/99       11466  Friend Of The Court                  Lakeland A/P Check                 650.55
10/28/99      553003  G.D. Testing Corporation             AP Checks SRS                    1,785.00
10/28/99       11439  G.E. Plastics                        Lakeland A/P Check              50,000.00
10/28/99       11423  G.M.F. Industries                    Lakeland A/P Check                 305.28
10/28/99      553004  Ge Capital                           AP Checks SRS                      133.56
10/28/99       Wire   Gelco (Breed)                        Travel & Entertainment           2,304.27
10/28/99       Wire   Gelco (SRS)                          Travel & Entertainment           1,579.54
10/28/99      553006  General Kinematics                   AP Checks SRS                    1,387.00
10/28/99      553007  General Labels                       AP Checks SRS                    8,281.10
10/28/99      553008  General Sessions Court               AP Checks SRS                      121.31
</TABLE>

Master Account 0999                                                Page 64 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date         Check  Name                                  Description / Location           Amount
  ----         -----  ----                                  ----------------------           ------
<S>           <C>     <C>                                   <C>                           <C>
10/28/99       11440  Genesis Molding                       Lakeland A/P Check            15,000.00
10/28/99      553009  Geocomm                               AP Checks SRS                  9,043.69
10/28/99      553011  Gerber Garment Technology             AP Checks SRS                    950.00
10/28/99      553012  Gerber Technology                     AP Checks SRS                    642.51
10/28/99       11441  Giovanni Magistrali                   Lakeland A/P Check            26,565.00
10/28/99       11442  Global Automation                     Lakeland A/P Check               528.75
10/28/99      553015  Global Technology Assoc Ltd.          AP Checks SRS                  9,674.64
10/28/99      553016  Goodrich Consulting                   AP Checks SRS                    520.00
10/28/99       11467  Grainger, Inc. - Tx                   Lakeland A/P Check               256.01
10/28/99       11424  Gulf Controls                         Lakeland A/P Check               190.20
10/28/99      553021  H & L Tool                            AP Checks SRS                  3,994.87
10/28/99      553020  H & M Company Inc.                    AP Checks SRS                    542.43
10/28/99       WIRE   Hamlin Tool and Machine               AP - SRS Wires                50,073.99
10/28/99       11468  Hardinge Brothers, Inc.               Lakeland AP Check              1,164.00
10/28/29       21776  Header Products                       AP Checks SRS                 44,407.86
10/28/99      553026  Hewlett Packard                       AP Checks SRS                 21,794.08
10/28/99      553027  Higgings Electric Inc                 AP Checks SRS                    324.00
10/28/99       WIRE   Highland                              A/P Lakeland Wires           100,000.00
10/28/99       WIRE   Hitachi Metals America                A/P Lakeland Wires            57,348.08
10/28/99      553064  Hodel - Natco Ind. Inc.               AP Checks SRS                    123.75
10/28/99      553028  Holston Gases Inc.                    AP Checks SRS                      7.85
10/28/99       11443  Hoover Precision Products, Inc        Lakeland A/P Check               244.80
10/28/99       WIRE   Hyland Machine                        A/P Lakeland Wires            60,000.O0
10/28/99      553330  Ibm Corporation                       AP Checks SRS                    368.22
10/28/99      553031  Ikard & Newsom                        AP Checks SRS                    525.00
10/28/99      602666  Imprint Enterprises Inc               Hamilin A/P Check                 83.33
10/28/59       21785  Industrial Specialty                  AP Checks SRS                  8,490.00
10/28/99      553039  Interim Technology                    AP Checks SRS                    440.00
10/28/99       WIRE   International Paper                   AP - SRS Wires               150,000.00
10/28/99      553041  Iro, Inc.                             AP Checks SRS                    367.46
10/28/99      553042  Itw Deltar Engineere                  AP Checks SRS                    394.00
10/28/99      553044  Jackson Spring & Man                  AP Checks SRS                    495.00
10/28/99       11444  Jae Electronics                       Lakeland A/P Check             1,318.00
10/28/99      553388  Jakob Muller Of Amer                  AP Checks SRS                  4,849.19
10/28/99      552894  James A. Carroll                      AP Checks SRS                    236.25
10/28/99       11473  James Orth                            Lakeland A/P Check                87.00
10/28/99       11425  Janitorial Ind. Maint. Supplie        Lakeland A/P Check                97.44
10/28/99      553046  Jimmy Johnson                         AP Checks SRS                     70.37
10/28/99      553047  Jms Southeast                         AP Checks SRS                  1,112.69
10/28/99      553049  K & F Electronics. I                  AP Checks SRS                    765.00
10/28/99      553050  Kay Automotive Graphics               AP Checks SRS                    320.00
10/28/99      553051  Kbc Tools, Inc.                       AP Checks SRS                    199.83
10/28/99       11426  Kelly Services, Inc.(FI)              Lakeland A/P Check             1,870.88
10/28/99      553034  Kelsan, Inc.                          AP Checks SRS                  6,150.50
10/28/99      553054  Knox County 4Th Circuit Ct.           AP Checks SRS                    799.05
10/28/99      553055  Knox County Chancery Court            AP Checks SRS                     68.25
10/28/99      553056  Knox County Juvenile Court            AP Checks SRS                    238.61
10/28/99      553057  Knox Rag Service                      AP Checks SRS                    389.70
10/28/99       11428  Koolant Koolers Inc                   Lakeland A/P Check               262.00
10/28/99      553058  Labeltronix                           AP Checks SRS                    204.97
10/28/99      553059  Landreth Engineering                  AP Checks SRS                    989.75
10/28/99      553061  Ledds Development Co                  Ap Checks SRS                127,577.20
10/28/99      553063  Link Staffing Services                AP Checks SRS                    722.38
10/28/99       11469  Lps International                     Lakeland A/P Check               678.00
</TABLE>

Master Account 0999                                                Page 65 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date      Check    Name                                  Description / Location      Amount
  ----      -----    ----                                  ----------------------      ------
<S>         <C>      <C>                                   <C>                     <C>
10/28/99    553055   Lps International                     AP Checks SRS             2,305.00
10/28/99    602553   Madison Freight                       Hamilin A/P Check            32.49
10/28/99    553067   Magnatag                              AP Checks SRS               468.79
10/28/99    553086   Manhattan Supply Com                  AP Checks SRS               305.28
10/28/99    553069   Manpower Inc.                         AP Checks SRS            27,943.49
10/28/99    553068   Manpower Temporary S                  AP Checks SRS             5,680.49
10/28/99    553070   Markem Corporation                    AP Checks SRS               607.24
10/28/99     11429   Mc Gee Tire Stores                    Lakeland A/P Check          406.49
10/28/99    553072   Mci Telecommunications                AP Checks SRS            10,568.65
10/28/99    553073   Mcmaster-Carr Supply                  AP Checks SRS               212.76
10/28/99    553074   Metal Coatings Inter                  AP Checks SRS             7,426.00
10/28/99    553076   Metro Weighing & Aut                  AP Checks SRS               182.90
10/28/99    553077   Mfp Technology Servi                  AP Checks SRS            26,004.90
10/28/99    553078   Mg Industries                         AP Checks SRS             8,183.66
10/28/99      WIRE   Micro-Line Assoc.                     A/P Lakeland Wires        5,300.00
10/28/99     11445   Micro-Line Associates                 Lakeland A/P Check       20,000.00
10/28/99    553081   Mim Industries                        AP Checks SRS               528.79
10/28/99     21792   Minarik Corporation                   AP Checks SRS               357.80
10/28/99    552917   Modern Engineering                    AP Checks SRS            15,006.98
10/28/99      WIRE   MOMO SPA                              A/P Lakeland Wires      268,868.06
10/28/99    553085   Motion Industries                     AP Checks SRS               778.94
10/28/99     11470   Mountz                                Lakeland A/P Check          798.00
10/28/99    553087   Msx International In                  AP Checks SRS            22,665.27
10/28/99    553089   National Bag                          AP Checks SRS               328.93
10/28/99    553092   National Linen Servi                  AP Checks SRS               100.25
10/28/99    553090   National Sanitary Su                  AP Checks SRS               132.00
10/28/99    553094   Naumann Material Handling             AP Checks SRS             7,858.90
10/28/99    553096   Neutrex Inc                           AP Checks SRS               241.30
10/28/99    553097   New Dimension, Inc.                   AP Checks SRS            11,153.79
10/28/99    553099   Newbridge Networks                    AP Checks SRS             4,584.25
10/28/99    553101   Norstan Communicatio                  AP Checks SRS             2,577.96
10/28/99    553102   North Coast Rivet                     AP Checks SRS             2,626.20
10/28/99    553103   Northern Diecast Cor                  AP Checks SRS            97,784.40
10/28/99    553104   Northern Diecast Cor                  AP Checks SRS            72,367.50
10/28/99    553105   Northwest Blue Print                  AP Checks SRS               654.18
10/28/99     11471   Novell Research Order Desk            Lakeland A/P Check           89.00
10/28/99    553106   Nucon, Incorporated                   AP Checks SRS               403.55
10/28/99    553111   Oakland Office Equipment Plu          AP Checks SRS                16.96
10/28/99    553108   Oakland Resources                     AP Checks SRS            16,287.75
10/28/99    553109   Odin Grinding, Inc                    AP Checks SRS                50.00
10/28/99    553112   Olymco Incorporated                   AP Checks SRS             1,321.91
10/28/99    553113   Olymco Incorporated                   AP Checks SRS               393.29
10/28/99     11472   Omega Engineering                     Lakeland A/P Check          241.00
10/28/99     21777   O'Neal Steel                          AP Checks SRS               574.46
10/28/99    553114   Orchid International                  AP Checks SRS            59,620.20
10/28/99      WIRE   P.D. George                           AP - Hamlin Wires         1,230.00
10/28/99      WIRE   Pasubio Spa                           A/P Lakeland Wires      538,229.20
10/28/99    553117   Pax Machine Works, I                  AP Checks SRS            53,505.06
10/28/99    553118   Pb&S Chemical Company                 AP Checks SRS               459.35
10/28/99     11430   Pcb Piezotronics, Inc.                Lakeland A/P Check          278.28
10/28/99     21791   Penn Engineering & Mfg                AP Checks SRS             4,190.50
10/28/99      WIRE   Perfection Spring Stamping            AP - SRS Wires            1,632.30
10/28/99     21788   Pesa Labeling System                  AP Checks SRS             2,022.60
10/28/99     11446   Photo Milling, Inc.                   Lakeland A/P Check          695.00
</TABLE>

Master Account 0999                                                Page 66 of 71
<PAGE>

                              Cash Disbursements
                Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date       Check  Name                               Description / Location           Amount
  ----       -----  ----                               ----------------------           ------
<S>         <C>     <C>                                <C>                          <C>
10/28/99     11474  Phyllis Bracher, Trustee           Lakeland A/P Check               150.00
10/28/99    553123  Pilgrim Software Inc               AP Checks SRS                  6,300.00
10/28/99     11447  Piolax Corporation                 Lakeland A/P Check             1,774.40
10/28/99    553124  Pittsburgh Paint                   AP Checks SRS                  4,565.08
10/28/99    553125  Plastomer Corporatio               AP Checks SRS                  3,225.01
10/28/99     WIRE   PLS                                A/P Lakeland Wires           950,000.00
10/28/99    553126  Polymer Menschen                   AP Checks SRS                  1,332.55
10/28/99    553127  Polymer Service Corp               AP Checks SRS                  1,663.20
10/28/99    553128  Pop Fasteners Divisi               AP Checks SRS                    436.90
10/28/99    553129  Pop Fasteners Divisi               AP Checks SRS                    188.70
10/28/99    553130  Porta Pot                          AP Checks SRS                    220.00
10/28/99     WIRE   Powdertek, Inc.                    A/P Lakeland Wires             9,572.00
10/28/99    553131  Powell Scale Company               AP Checks SRS                    481.47
10/28/99    553133  Ppg Industries                     AP Checks SRS                  2,112.00
10/28/99     21774  Ppg Industries Inc                 AP Checks SRS                 11,700.00
10/28/99     11448  Precision Metal Parts, Inc.        Lakeland A/P Check            14,000.00
10/28/99    553136  Premier Laboratory                 AP Checks SRS                 43,936.00
10/28/99    602667  Price Engineering Co., Inc.        Hamilin A/P Check                 40.78
10/28/99     21805  Primex Plastics Corp               AP Checks SRS                  9,691.50
10/28/99    553137  Primex Plastics Corp               AP Checks SRS                    480.00
10/28/99    553142  Q One Liasons Inc.                 AP Checks SRS                    500.00
10/28/99    553143  Quality Seals                      AP Checks SRS                     65.00
10/28/99    553145  R & D Screw                        AP Checks SRS                  1,914.43
10/28/99    553146  Radar Industries                   AP Checks SRS                 15,073.39
10/28/99    553147  Ramcel Engineering C               AP Checks SRS                  3,521.11
10/28/99    553148  Rapid Purge                        AP Checks SRS                    182.50
10/28/99    553149  Rco Engineering, Inc               AP Checks SRS                  3,601.60
10/28/99    553150  Reeves Brothers                    AP Checks SRS                 30,640.94
10/28/99    553151  Ref Alabama, Inc.                  AP Checks SRS                  2,110.11
10/28/99    553152  Regal Steel Company                AP Checks SRS                  2,433.94
10/28/99     11475  Registry Of The Court              Lakeland A/P Check               113.00
10/28/99    553154  Rinke Toyota                       AP Checks SRS                    583.76
10/28/99    553155  Rio Grande Plastic Products        AP Checks SRS                 40,600.00
10/28/99     WIRE   Robert Bosch Corp                  AP - SRS Wires               310,080.00
10/28/99    553158  Roden Electronics                  AP Checks SRS                  3,045.52
10/28/99     11431  Sae                                Lakeland A/P Check                85.00
10/28/99    553159  Safety Kleen Systems, Inc          AP Checks SRS                    383.20
10/28/99     11432  Safety Shoe Distributors           Lakeland A/P Check               379.38
10/28/99     21804  Safety Wear                        AP Checks SRS                    142.77
10/28/99    553160  Sanborn Wire Product               AP Checks SRS                    757.50
10/28/99    553161  Sandvik Steel - Spri               AP Checks SRS                 13,192.00
10/28/99    553162  Sandvik Steel - Wire               AP Checks SRS                    897.60
10/28/99    553164  Sectional Stamping Inc.            AP Checks SRS                364,200.00
10/28/99    553165  Secure Data Corporat               AP Checks SRS                     83.33
10/28/99    553167  Sefferovich Construc               AP Checks SRS                    717.40
10/28/99     11449  Sgm Armtek Inc.                    Lakeland A/P Check             2,807.00
10/28/99     11433  Sigma Systems Inc                  Lakeland A/P Check             6,141.00
10/28/99    553169  Sirco Rubber Company               AP Checks SRS                    555.74
10/28/99     21806  Sonoco Products Comp               AP Checks SRS                  1,840.86
10/28/99    553173  Southwestern Bell Te               AP Checks SRS                  2,417.42
10/28/99    553174  Specialty Metals                   AP Checks SRS                    614.34
10/28/99     11434  Spectrum Solutions                 Lakeland A/P Check             2,480.00
10/28/99    553175  Sprinter Marking Inc               AP Checks SRS                 14,376.69
10/28/99     11450  Stelron Components                 Lakeland A/P Check             3,995.00
</TABLE>

Master Account 0999                                                Page 67 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                               October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date        Check  Name                                  Description / Location          Amount
  ----        -----  ----                                  ----------------------          ------
<S>          <C>     <C>                                   <C>                         <C>
10/28/99     553178  Stokes Electric                       AP Checks SRS                    13.42
10/28/99     553179  Sullivan County General               AP Checks SRS                   189.24
10/28/99      11476  Sunstate Communications Inc           Lakeland A/P Check               94.34
10/28/99      21799  Superior Plastics                     AP Checks SRS                   976.90
10/28/99     552905  T. A. Caid Industrie                  AP Checks SRS                 1,800.30
10/28/99     553182  Takata Corporation                    AP Checks SRS                 4,305.00
10/28/99      WIRE   Target Container                      A/P Lakeland Wires           20,000.00
10/28/99     553183  Tech Mechanical                       AP Checks SRS                   520.26
10/28/99     553184  Tennessee Coatings                    AP Checks SRS                45,242.31
10/28/99      11477  Tennessee Valley Personnel Assoc      Lakeland A/P Check              240.00
10/28/99     553187  Terminix                              AP Checks SRS                    22.67
10/28/99     553186  Terminix Services                     AP Checks SRS                   165.00
10/28/99      21802  Terry Machine                         AP Checks SRS                15,293.72
10/28/99     553188  Terry Machine                         AP Checks SRS                 1,431.16
10/28/99     553189  Textron Automotive I                  AP Checks SRS                   492.28
10/28/99      21786  The Eagle Industrial                  AP Checks SRS                58,424.00
10/28/99     553066  The Machine Shop                      AP Checks SRS                10,300.00
10/28/99     553121  The Photo Center                      AP Checks SRS                    69.92
10/28/99     553190  Thomas & Betts Automotive             AP Checks SRS                   211.12
10/28/99      WIRE   Thomson Precision                     A/P Lakeland Wires           16,957.33
10/28/99     553191  Thoreson Mccosh, Inc.                 AP Checks SRS                    31.60
10/28/99      WIRE   Ticona LLC                            A/P Lakeland Wires          113,199.82
10/28/99     553023  Timco                                 AP Checks SRS                 1,400.00
10/28/99     553192  Tokai Financial Services              AP Checks SRS                   272.34
10/28/99     553194  Trc Staffing Services                 AP Checks SRS                   459.11
10/28/99     553196  Trinary Systems, Inc                  AP Checks SRS                   283.56
10/28/99     553197  Trw Fastener Divisio                  AP Checks SRS                   245.00
10/28/99     553198  Tucson Container Cor                  AP Checks SRS                   330.20
10/28/99     553199  Tucson Hydraulics                     AP Checks SRS                   405.90
10/28/99     553200  U.S. Department of Education          AP Checks SRS                    61.12
10/28/99     553201  U.S. Filter                           AP Checks SRS                   173.20
10/28/99      21794  U.S. Herr Industrial Metals           AP Checks SRS                 1,037.14
10/28/99     553025  U.S. Herr Industrial Metals           AP Checks SRS                 1,834.05
10/28/99     553202  Ultraform Industries                  AP Checks SRS                 3,758.40
10/28/99     553203  Uniform Color Company                 AP Checks SRS                   670.14
10/28/99     553204  Union Camp Corporati                  AP Checks SRS                17,338.01
10/28/99      21798  Unique Molded Produc                  AP Checks SRS               170,665.77
10/28/99      WIRE   Unisource                             A/P Lakeland Wires              409.50
10/28/99     553207  United Plastics Corp                  AP Checks SRS                   429.00
10/28/99     553208  United Way Of Greater Knox            AP Checks SRS                    80.65
10/28/99     553210  Us Filter                             AP Checks SRS                   472.74
10/28/99     553211  Us West Communicatio                  AP Checks SRS                   758.26
10/28/99      21787  Valley Lubricants                     AP Checks SRS                   492.00
10/28/99      21793  Varosa Company                        AP Checks SRS                    63.50
10/28/99      11478  Vision Care Plan                      Lakeland A/P Check           82,569.42
10/28/99      11427  Void                                  Lakeland A/P Check                0.00
10/28/99      11456  Void                                  Lakeland A/P Check                0.00
10/28/99      11435  Vwr Scientific                        Lakeland A/P Check            1,515.73
10/28/99     553017  W W Grainger, Inc                     AP Checks SRS                   691.98
10/28/99     553215  Wagner Lighting                       AP Checks SRS                 5,850.00
10/28/99     553216  Wallover Oil Hamilton Inc             AP Checks SRS                13,620.00
10/28/99     553217  Waltonen Engineering                  AP Checks SRS                 4,005.50
10/28/99      WIRE   Weiss Aug                             A/P Lakeland Wires          120,000.00
10/28/99      11479  Weltman, Weinberg & Reis Co. Lpa      Lakeland A/P Check              241.34
</TABLE>

Master Account 0999                                                Page 68 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date       Check  Name                                  Description / Location                    Amount
  ----       -----  ----                                  -----------------------                   ------
<S>         <C>     <C>                                   <C>                                   <C>
10/28/99     WIRE   Westbrook MFG, Inc                    A/P Lakeland Wires                      1,593.40
10/28/99    553220  Wiegand Disposal, In                  AP Checks SRS                             870.00
10/28/99    553223  Xpedx                                 AP Checks SRS                             261.40
10/28/99     WIRE   Yazaki North America                  AP - SRS Wires                         15,000.00
10/28/99     21801  Yellow Freight System                 AP Checks SRS                             173.85
10/28/99     BREED France                                 Transfer From Non-Debtor              160,022.75
10/28/99     BREED UK                                     Transfer From Non-Debtor              140,887.50
10/28/99    Adjustment for Closed AP Accounts                                                       250.00
10/29/99     11491  Action Staffing                       Lakeland A/P Check                      1,638.90
10/29/99     WIRE   Aegis Technologies, Inc.              A/P Lakeland Wires                     69,387.00
10/29/99     11492  Airgas Lyons Inc                      Lakeland A/P Check                      5,000.00
10/29/99     11480  Alphagraphics                         Lakeland A/P Check                        530.42
10/29/99    602670  American Freightways                  Hamilin A/P Check                         298.14
10/29/99    11493   Anacreon                              Lakeland A/P Check                      4,162.50
10/29/99    602676  Aramark Uniform Services              Hamilin A/P Check                         309.15
10/29/99     Wire   ASB - nonunion                        Employee Contribution                   8,114.29
10/29/99     Wire   ASB - nonunion                        PNC Bank - 401(k) Loan                    888.11
10/29/99     Wire   ASB - nonunion                        401 (k) Plan Match                      3,368.71
10/29/99    602677  At&T                                  Hamilin A/P Check                         309.28
10/29/99    602678  At&T                                  Hamilin A/P Check                          78.70
10/29/99     WIRE   Atlantic Research                     A/P Lakeland Wires                    700,000.00
10/29/99     11494  Automotive Occupant Restraint         Lakeland A/P Check                     12,500.00
10/29/99     Wire   BankAmerica                           DIP BaseRate Interest                 149,027.78
10/29/99     Wire   BankAmerica                           DIP Cash Collateral Interest          361,965.17
10/29/99     Wire   BankAmerica                           DIP Unused Fee Interest                38,263.89
10/29/99     11481  Bohne Spring Ind. Ltd.                Lakeland A/P Check                      3,122.16
10/29/99    602679  Braas Company                         Hamilin A/P Check                         830.13
10/29/99     Wire   BTI                                   Employee Contribution                  66,772.50
10/29/99     Wire   BTI                                   PNC Bank - 401(k) Loan                 10,875.30
10/29/99     Wire   BTI                                   401 (k) Plan Match                     23,443.52
10/29/99     Wire   BTI - Hamlin                          Employee Contribution                  11,562.23
10/29/99     Wire   BTI - Hamlin                          PNC Bank - 401(k) Loan                    519.72
10/29/99     Wire   BTI - Hamlin                          401 (k) Plan Match                      4,156.89
10/29/99     Wire   BTU - union                           Employee Contribution                   3,450.05
10/29/99     Wire   BTU - union                           PNC Bank - 401(k) Loan                    152.64
10/29/99     Wire   BTU - union                           401 (k) Plan Match                      1,419.74
10/29/99    602673  Burlington Air Express                Hamilin A/P Check                         223.02
10/29/99     WIRE   Camcar Textron                        A/P Lakeland Wires                     12,128.70
10/29/99     21816  Camcar Textron                        AP Checks SRS                           5,199.81
10/29/99     21815  Camcar Textron - Raycarl              AP Checks SRS                           8,547.88
10/29/99    602680  Chapter 13 Trustee                    Hamilin A/P Check                          62.00
10/29/99     Wire   Checks Clearing                       Payroll                                33,079.52
10/29/99    602681  Cinderella/Sheps Cleaning             Hamilin A/P Check                       1,573.85
10/29/99     21814  Consolidated Products                 AP Checks SRS                             950.44
10/29/99     WIRE   CR Mold Ltd.                          A/P Lakeland Wires                     56,600.00
10/29/99    602682  Cti-Cryogenics                        Hamilin A/P Check                       2,707.50
10/29/99     WIRE   Davenport Machine                     A/P Lakeland Wires                     20,000.00
10/29/99    602701  Dexter Magnetic Material              Hamilin A/P Check                          65.17
10/29/99     WIRE   Diamond Ground                        A/P Lakeland Wires                        398.00
10/29/99     21817  Emhart Industries, I                  AP Checks SRS                             248.00
10/29/99     11495  Eugene Breheny                        Lakeland A/P Check                        400.00
10/29/99    602683  Exacto Spring                         Hamilin A/P Check                      10,964.16
10/29/99     11496  Figley Die                            Lakeland A/P Check                        520.00
10/29/99    602684  Flambeau Micro Co                     Hamilin A/P Check                       6,687.45
</TABLE>

Master Account 0999                                                Page 69 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
Account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date       Check  Name                                       Description / Location                 Amount
  ----       -----  ----                                       ----------------------                 ------
<S>          <C>    <C>                                        <C>                                <C>
10/29/99     WIRE   Flexsign, S.A. de C.V.                     A/P Lakeland Wires                   2,202.48
10/29/99     WIRE   GE Capital Financial                       A/P Lakeland Wires                  30,000.00
10/29/99     Wire   Gelco (Breed)                              Travel & Entertainment               3,847.92
10/29/99     Wire   Gelco (SRS)                                Travel & Entertainment                 821.21
10/29/99     21827  Geocomm Corporation                        AP Checks SRS                       20,707.14
10/29/99     11483  Hai (Howard-Ayusa)                         Lakeland A/P Check                   2,818.37
10/29/99     21824  Hamlin Tool & Machine                      AP Checks SRS                      405,709.87
10/29/99     WIRE   Hamlin Tool and Machine                    AP - SRS Wires                     405,000.00
10/29/99    602703  Howard Precision Metals                    Hamilin A/P Check                    1,510.98
10/29/99     21813  Ingersoll-Rand Air C                       AP Checks SRS                       47,755.00
10/29/99    602685  Interntl/Magnaproducts                     Hamilin A/P Check                      546.50
10/29/99    602674  Jung Express                               Hamilin A/P Check                      360.00
10/29/99     11485  Kelly Services, Inc.( Fl)                  Lakeland A/P Check                   5,458.32
10/29/99     WIRE   Kendall Electric                           A/P Lakeland Wires                   8,126.82
10/29/99     WIRE   MAB Industries                             A/P Lakeland Wires                   7,987.60
10/29/99    602686  Markgraf Collection Agency                 Hamilin A/P Check                       25.00
10/29/99     11498  Mayco Plastics Inc                         Lakeland A/P Check                 110,000.00
10/29/99    602687  Mci Telecommunications                     Hamilin A/P Check                    1,359.61
10/29/99    602688  Messmer, Todd                              Hamilin A/P Check                       63.26
10/29/99     WIRE   Metal Impact                               A/P Lakeland Wires                  20,792.00
10/29/99     WIRE   Methode                                    A/P Lakeland Wires                 284,868.33
10/29/99     21812  Michigan Data Supply, Inc.                 AP Checks SRS                        6,019.10
10/29/99     21828  Mim Industries                             AP Checks SRS                       41,080.00
10/29/99    602689  Mongue & Witt S.C.                         Hamilin A/P Check                       30.00
10/29/99    602690  Msc Industrial Supply Co                   Hamilin A/P Check                      316.11
10/29/99    602700  Newark Electronics                         Hamilin A/P Check                      756.98
10/29/99     21811  Northern Diecast Cor                       AP Checks SRS                      146,000.30
10/29/99     11499  Northern Diecast Corp                      Lakeland A/P Check                  81,654.53
10/29/99    602702  Northern Precision Casting Co              Hamilin A/P Check                    5,130.00
10/29/99     21810  Ohio Carbon Blank                          AP Checks SRS                          126.40
10/29/99     11500  Onsite Commercial Staffing                 Lakeland A/P Check                   1,527.79
10/29/99     WIRE   Orberg Industries                          A/P Lakeland Wires                  13,113.72
10/29/99     11501  Penn Engineering                           Lakeland A/P Check                   2,740.00
10/29/99     21808  Pop Fasteners Divisi                       AP Checks SRS                        4,000.00
10/29/99     21825  Ppg-Chemfil Corp                           AP Checks SRS                        2,089.04
10/29/99    602691  Proforma Technigraphics                    Hamilin A/P Check                    4,137.97
10/29/99     21818  Proto Gage Tool & Die, Inc.                AP Checks SRS                      180,000.00
10/29/99     21823  Prudential Relocation                      AP Checks SRS                        3,208.09
10/29/99     21809  Purchased Parts Grou                       AP Checks SRS                        1,640.48
10/29/99     11490  R & L Carriers                             Lakeland A/P Check                      93.68
10/29/99     WIRE   Ramcel Engineering                         AP - SRS Wires                      33,960.00
10/29/99     WIRE   RB W Metal Forming                         A/P Lakeland Wires                  55,000.00
10/29/99    602692  Rettschlag, Jode                           Hamilin A/P Check                       15.55
10/29/99     11502  Rita Temporaries                           Lakeland A/P Check                   1,268.83
10/29/99     WIRE   Roadway Express                            A/P Lakeland Wires                     317.67
10/29/99    602693  Roi Systems, Inc.                          Hamilin A/P Check                    2,674.43
10/29/99     11503  Romac International                        Lakeland A/P Check                     264.00
10/29/99    602694  Safeco Life Insurance Compan               Hamilin A/P Check                   12,131.34
10/29/99     WIRE   Salvador Camacho                           A/P Lakeland Wires                   4,000.00
10/29/99     11504  Sarcol Inc                                 Lakeland A/P Check                  53,100.00
10/29/99     11497  Scott Gagnon                               Lakeland A/P Check                     300.00
10/29/99     11486  Shell Oil Company                          Lakeland A/P Check                      43.00
10/29/99     21820  Southeast Plastics C                       AP Checks SRS                       25,509.90
10/29/99     21821  Southeast Plastics C                       AP Checks SRS                        6,000.00
</TABLE>

Master Account 0999                                                Page 70 of 71
<PAGE>

                              Cash Disbursements
                 Bank of America - Master Account #81889-10116
                              October 1-31, 1999

Note: The Debtors Master Account is tied to various Zero-Balance Accounts, which
fund disbursements. The Debtor records these disbursements in the Master
Account, wherefore, to avoid duplicating these transactions, all disbursements
tied to the Master Account are shown below.

<TABLE>
<CAPTION>
  Date        Check  Name                                          Description / Location              Amount
  ----        -----  ----                                          ----------------------              ------
<S>          <C>     <C>                                           <C>                        <C>
10/29/99      WIRE   SunTrust                                      Flex Spending                     2,445.84
10/29/99     602695  Superior Services-Ft Atkinso                  Hamilin A/P Check                   969.00
10/29/29     602672  Technic                                       Hamilin A/P Check                 1,215.00
10/29/99      11505  Temporary Corporate Housing                   Lakeland A/P Check                2,682.00
10/29/99      21819  Therm Alliance Co.                            AP Checks SRS                     2,135.00
10/29/99      WIRE   Uniform Color Co                              A/P Lakeland Wires                9,520.73
10/2999      602695  United States Postal Service                  Hamilin A/P Check                   900.00
10/29/99      WIRE   UPS Truck Leasing                             A/P Lakeland Wires                1,000.00
10/29/99      11489  Venture                                       Lakeland A/P Check               36,258.23
10/29/99      WIRE   VESTA GmbH                                    AP - SRS Wires                    2,291.11
10/29/99      11482  Void                                          Lakeland A/P Check                    0.00
10/29/99      11484  Void                                          Lakeland A/P Check                    0.00
10/29/99      11487  Void                                          Lakeland A/P Check                    0.00
10/29/99      11488  Void                                          Lakeland A/P Check                    0.00
10/29/99     602575  Void Check                                    Hamilin A/P Check                     0.00
10/29/99     602697  Vwr Scientific Inc                            Hamilin A/P Check                   947.38
10/29/99      21822  Whittar Steel                                 AP Checks SRS                   650,000.00
10/29/99     602698  William Chatterton, Trustee                   Hamilin A/P Check                    17.00
10/29/99     602699  Wisconsin Sctf                                Hamilin A/P Check                   358.00
10/29/99     602671  Yellow Freight Systems                        Hamilin A/P Check                   488.69
              Less:  10/31/99 Outstanding Checks-Hamlin                                           (200,464.44)
              Less:  10/31/99 Outstanding Checks-Lakeland                                       (1,348,583.61)
              Less:  10/31/99 Outstanding Checks-SRS                                              (612,600.68)
10/26/09     602613  Enthone-Omi, Inc.                             Hamilin A/P Check                   592.90
             602310  Void Check                                    Hamilin A/P Check                     0.00
             602317  Void Check                                    Hamilin A/P Check                     0.00
                                                                                              ---------------
                                                                   TOTAL                        82,541,698.04
                                                                                              ---------------
</TABLE>

Master Account 0999                                                Page 71 of 71
<PAGE>

                              Cash Disbursements
              Bank of America - Insurance Reserve #1233-1-21117
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date   Check   Name               Reference         Description          Amount
-----  -----   ----               ---------         -----------          ------
<S>    <C>     <C>                <C>               <C>                  <C>


               NO ACTIVITY
                                                                      ----------
                                              TOTAL                         0.00
                                                                      ----------
</TABLE>
<PAGE>

                              Cash Disbursements
              Chase Bank - Collection Funding Account #808005863
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date   Check   Name               Reference         Description          Amount
-----  -----   ----               ---------         -----------          ------
<S>    <C>     <C>                <C>               <C>                  <C>


               NO ACTIVITY
                                                                      ----------
                                              TOTAL                         0.00
                                                                      ----------
</TABLE>
<PAGE>

                              Cash Disbursements
                         Bank One - Lockbox #0304-233
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date   Check   Name               Reference         Description          Amount
-----  -----   ----               ---------         -----------          ------
<S>    <C>     <C>                <C>               <C>                  <C>


               NO ACTIVITY
                                                                      ----------
                                              TOTAL                         0.00
                                                                      ----------
</TABLE>
<PAGE>

                              Cash Disbursements
                 CitiBank - Foreign Sales Account #0012754019
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date   Check   Name               Reference         Description          Amount
-----  -----   ----               ---------         -----------          ------
<S>    <C>     <C>                <C>               <C>                  <C>


               NO ACTIVITY
                                                                      ----------
                                              TOTAL                         0.00
                                                                      ----------
</TABLE>
<PAGE>

                              Cash Disbursements
                 SunTrust - Payroll Funding ZBA #625215850312
                               October 1-31 1999

<TABLE>
<CAPTION>
Date   Check   Name               Reference         Description          Amount
-----  -----   ----               ---------         -----------          ------
<S>    <C>     <C>                <C>               <C>                  <C>


               NO ACTIVITY
                                                                      ----------
                                              TOTAL                         0.00
                                                                      ----------
</TABLE>
<PAGE>

                              Cash Disbursements
                   SunTrust - Payroll Account #0215252163455

<TABLE>
<CAPTION>
Date       Check   Name                                        Reference                 Description          Amount
-----      -----   ----                                        ---------                 -----------          ------
<S>        <C>     <C>                                         <C>                <C>                   <C>
10/13/99           Transfer to Master Account to close account                    Transfer to Debtor      628,688.55
                                                                                                        ------------
                                                                                  TOTAL                   628,688.55
                                                                                                        ------------
</TABLE>
<PAGE>

                              Cash Disbursements
               SunTrust - Flex Spending Account #0032020393720
                              October 1-31, 1999

<TABLE>
<CAPTION>
 Date       Check   Name                                    Reference                 Description             Amount
 ----       -----   ----                                   ----------                 -----------             ------
<S>         <C>     <C>                                    <C>                     <C>                      <C>
10/01/99    5610    Flex Benefits Checks to Participant                            Employee Benefits           666.72
10/01/99    10286   Flex Benefits Checks to Participant                            Employee Benefits           454.55
10/04/99    5616    Flex Benefits Checks to Participant                            Employee Benefits           273.32
10/04/99    10284   Flex Benefits Checks to Participant                            Employee Benefits           318.19
10/05/99    10289   Flex Benefits Checks to Participant                            Employee Benefits           420.00
10/06/99    5617    Flex Benefits Checks to Participant                            Employee Benefits         1,925.00
10/06/99    Wire    Flex Benefits Checks to Participant                            Employee Benefits            29.00
10/07/99    Wire    Flex Benefits Checks to Participant                            Employee Benefits            15.00
10/08/99    10287   Flex Benefits Checks to Participant                            Employee Benefits           102.00
10/12/99    10290   Flex Benefits Checks to Participant                            Employee Benefits            50.00
10/12/99   10291    Flex Benefits Checks to Participant                            Employee Benefits           121.00
10/12/99    Wire    Flex Benefits Checks to Participant                            Employee Benefits            15.00
10/13/99    5620    Flex Benefits Checks to Participant                            Employee Benefits           437.77
10/14/99    5615    Flex Benefits Checks to Participant                            Employee Benefits           245.00
10/15/99    5621    Flex Benefits Checks to Participant                            Employee Benefits           208.34
10/15/99    10276   Flex Benefits Checks to Participant                            Employee Benefits           687.98
10/18/99    5618    Flex Benefits Checks to Participant                            Employee Benefits            70.00
10/18/99    10292   Flex Benefits Checks to Participant                            Employee Benefits            30.00
10/18/99    10293   Flex Benefits Checks to Participant                            Employee Benefits           238.37
10/20/99    5622    Flex Benefits Checks to Participant                            Employee Benefits            66.66
10/20/99    Wire    Flex Benefits Checks to Participant                            Employee Benefits            15.00
10/20/99    5619    Flex Benefits Checks to Participant                            Employee Benefits           117.00
10/22/99    5603    Flex Benefits Checks to Participant                            Employee Benefits            27.64
10/25/99    10267   Flex Benefits Checks to Participant                            Employee Benefits            35.00
10/26/99    5623    Flex Benefits Checks to Participant                            Employee Benefits         2,499.00
10/26/99    5626    Flex Benefits Checks to Participant                            Employee Benefits           789.48
10/27/99    5625    Flex Benefits Checks to Participant                            Employee Benefits           263.31
10/27/99    10294   Flex Benefits Checks to Participant                            Employee Benefits           238.00
10/27/99    10296   Flex Benefits Checks to Participant                            Employee Benefits            88.00
10/28/99    5628    Flex Benefits Checks to Participant                            Employee Benefits             4.33
10/28/99    10288   Flex Benefits Checks to Participant                            Employee Benefits            57.84
10/28/99    10295   Flex Benefits Checks to Participant                            Employee Benefits           238.37
10/29/99    Wire    Flex Benefits Checks to Participant                            Employee Benefits            15.00
10/29/99    Wire    Flex Benefits Checks to Participant                            Employee Benefits            11.05
                                                                                                        -------------
                                                                                   TOTAL                    10,773.02
                                                                                                        -------------
</TABLE>
<PAGE>

                              Cash Disbursements
               Smith Barney - Investment Account #2249201118351
                              October 1-31, 1999

Date       Check     Name            Reference      Description        Amount
----       -----     ----            ---------      -----------        ------

                     NO ACTIVITY
                                                                      -------
                                                TOTAL                    0.00
                                                                      -------
<PAGE>

                              Cash Disbursements
            National WESTMINSTER - UK OPERATIONS ACCOUNT 1763563630
                              October 1-31, 1999
                              (Converted to $USD)

<TABLE>
<CAPTION>
 Date      Check      Name                                        Reference     Description             Amount
 ----      -----      ----                                        ---------     -----------             ------
<S>        <C>        <C>                                         <C>           <C>               <C>
10/01/99              Transfer to Fund UK Disbursement Account                                            643.15
10/07/99              Transfer to Fund UK Disbursement Account                                            489.85
10/08/99              Transfer to Fund UK disbursement Account                                         21,867.98
10/12/99              Transfer to Fund UK Disbursement Account                                        116,289.19
10/14/99              Transfer to Fund UK Disbursement Account                                         13,633.78
10/15/99              Transfer to Fund UK Disbursement Account                                          8,433.98
10/20/99              Transfer to Fund UK Disbursement Account                                          2,345.81
10/21/99              Transfer to Fund UK Disbursement Account                                          2,166.76
10/22/99              Transfer to Fund UK Disbursement Account                                            502.66
10/25/99              Transfer to Fund UK Disbursement Account                                             31.94
                                                                                                  --------------
                                                                          TOTAL                       166,405.10
                                                                                                  --------------
</TABLE>
<PAGE>

                              CASH DISBURSEMENTS
                   ABN AMRO - Yen Account #000001352180JPY
                              October 1-31, 1999
                              (Converted to $USD)

<TABLE>
<CAPTION>
  Date       Check   Name                 REFERENCE                   DESCRIPTION    Amount
  ----       -----   ----                 ---------                   -----------    ------
<S>          <C>     <C>                  <C>                         <C>            <C>
10/29/99             Bank Service Fee                                                 33.58

                                                                                     ------
                                                         TOTAL                        33.58
                                                                                     ------
</TABLE>
<PAGE>

                              CASH DISBURSEMENTS
                    ABN AMRO - Peso Account #071013000062
                             October 1 - 31, 1999
                              (Converted to $USD)

<TABLE>
<CAPTION>
  DATE    Check  Name                                         Reference           Description     Amount
  ----    -----  ----                                         ---------           -----------     ------
<S>       <C>    <C>                                          <C>                 <C>             <C>
10/05/99         Transfer to Mexican A/P Disbursement Account                                     1,521,676.77
10/13/99         Transfer to Mexican A/P Disbursement Account                                     2,406,340.92
10/18/99         Transfer to Mexican A/P Disbursement Account                                           528.98
10/19/99         Transfer to Mexican A/P Disbursement Account                                     1,419,051.75
10/27/99         Transfer to Mexican A/P Disbursement Account                                     1,575,021.32
                                                                                                 -------------
                                                                         TOTAL                    5,922,619.74
                                                                                                 -------------
</TABLE>
<PAGE>

                              CASH DISBURSEMENTS
               Societe Generale - Franc Account #1151091000125
                              October 1 - 31, 1999

<TABLE>
<CAPTION>
 Date      Check   Name          Reference         Description  Amount
 ----      -----   ----          ---------         -----------  ------
<S>        <C>     <C>           <C>               <C>          <C>
                   NO ACTIVITY
                                                                -----
                                             TOTAL               0.00
                                                                -----
</TABLE>
<PAGE>

                              CASH DISBURSEMENTS
                Bank of China - Chinese Account #1001094200065
                   OCTOBER 1 - 31, 1999 (Converted To $USD)

<TABLE>
<CAPTION>
 Date       Check    Name                                            Reference   Description                   Amount
 ----       -----    ----                                            ---------   -----------                   ------
<S>         <C>      <C>                                             <C>        <C>                            <C>
10/01/99             Distributions to fund Chinese Disbursement Account         Various Operating Expenses     3,579.71
                                                                                                               --------
                                                                                TOTAL                          3,579.71
                                                                                                               --------
</TABLE>
<PAGE>

                              CASH DISBURSEMENTS
                   CITIC of China - Chinese ACCOUNT #109140
                           OCTOBER 1 - 31, 1999
                              (CONVERTED TO $USD)


<TABLE>
<CAPTION>
 Date      Check   Name                        Reference            Description        Amount
 ----      -----   ----                        ---------            -----------        ------
<S>        <C>     <C>                         <C>                  <C>               <C>
10/12/99           Payroll Funding                                                     3,820.00
10/18/99           Transfer to Fund Operations                                         5,000.00
10/18/99           Service Charge                                                         15.00
10/19/99           Transfer to Fund Operations                                         4,000.00
10/19/99           Service Charge                                                         12.00
10/29/99           Transfer to Fund Operations                                         4,000.00
10/29/99           Service Charge                                                         12.00
                                                                                      ---------
                                                            TOTAL                     16.859.00
                                                                                      ---------
</TABLE>
<PAGE>

                              Cash DISBURSEMENTS
              San Paolo IMI - Italian Lire Account #N.13/9286278
                              October 1-31, 1999
                              (Converted to $USD)

<TABLE>
<CAPTION>
 Date        Check   Name                Reference         Description    Amount
 ----        -----   ----                ---------         -----------    ------
<S>          <C>     <C>                 <C>               <C>            <C>
10/07/99             Bank Service Charge                                   14.95
                                                                          ------
                                                    TOTAL                  14.95
                                                                          ------
</TABLE>
<PAGE>

                              Cash Disbursements
            Chase Bank - Breed Automotive LP Account #06700277467
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date     Check   Name                                    Reference              Description       Amount
----     -----   ----                                    ---------              -----------       ------
<S>      <C>     <C>                                     <C>                    <C>               <C>
10/1/99          See Attached Listing of Checks Written                                           49,296.23
10/l/99          Prior Period Checks Clearing                                                      3,830.52
                 Less Outstanding Checks as of 10/31/99                                           (8,303.11)
                                                                                                 ----------
                                                                        TOTAL                     44.823.64
                                                                                                 ----------
</TABLE>
<PAGE>


                           BREED AUTOMOTIVE, L.P.
                             CHECKING ACCOUNT
                FROM _________________ TO:_____________________

COMPANY: BREED AUTOMOTIVE
CUSTODIAN: CARMEN VASQUEZ
LOCATION: BROWNSVILLE, TEXAS

<TABLE>
<CAPTION>

                                                                                                                --------------------
                                                                                                                  BALANCE FORWARD
------------------------------------------------------------------------------------------------------------------------------------
                                                                          ACCOUNT                              EMPLOYEE   CHECKING
 DATE      CH#         PAID TO               COMMENTS             CCN      NUMBER    WITHDRAWALS   DEPOSITS     FUNDS      ACCOUNT
------------------------------------------------------------------------------------------------------------------------------------
<S>      <C>      <C>                 <C>                         <C>     <C>        <C>           <C>         <C>      <C>
                                                                                                                $373.48   $2,973.35
------------------------------------------------------------------------------------------------------------------------------------
09/29/99  N/A      BAC                 Unused monies from $20,000
                                       Sept. wire transfers               108510-0020                ($599.68)            $2,373.67
------------------------------------------------------------------------------------------------------------------------------------
09/29/99  CASH     BAC                 Overage on deposit made
                                       on 9/16/99                  620    560200-5013                  ($0.19)            $2,373.48
------------------------------------------------------------------------------------------------------------------------------------
09/29/99  N/A      Chase Bank          September End Bank Fees     220    590050-2500    ($38.00)                          2,335.48
------------------------------------------------------------------------------------------------------------------------------------
10/01/99  1886     Federal Express     COD on air freight: pkg
                                       for VH2                     220    610060-2504   ($240.20)                          2,095.28
------------------------------------------------------------------------------------------------------------------------------------
10/04/99  XXXXXXX  BAX Global          COD on air freight: pkg
                                       for VH2                     220    610060-2504    ($33.15)                          2,062.13
------------------------------------------------------------------------------------------------------------------------------------
10/04/99  XXXXXXX  BAX Global          COD on air freight: pkg
                                       for VH2                     220    610060-2504   ($537.83)                          1,524.30
------------------------------------------------------------------------------------------------------------------------------------
10/04/99  N/A      Chase Bank          Fees on cashier's checks    220    590050-2500    ($10.00)                          1,514.30
------------------------------------------------------------------------------------------------------------------------------------
10/05/99  1887     UPS CustomHouse

                   Brokerage           COD on duties: pkg for VH2  220    610150-2650   ($125.42)                           1,388.88
------------------------------------------------------------------------------------------------------------------------------------
10/05/99  1888     UPS CustomHouse

                   Brokerage           COD on duties: pkg for VH2  220    610150-2650   ($125.42)                           1,263.46
------------------------------------------------------------------------------------------------------------------------------------
10/05/99  1889     Perkins Division

                   Automatic           manual                      220    560200-5050    ($25.00)                           1,238.46
------------------------------------------------------------------------------------------------------------------------------------
10/05/99  XXXXXXX  BAX Global          COD on air freight: pkg
                                       for VH2                     220    610060-2504 ($1,260.36)                             -21.90
------------------------------------------------------------------------------------------------------------------------------------
10/05/99  XXXXXXX  BAX Global          COD on air freight: pkg
                                       for ATM                     650    610060-2675    ($34.20)                             -58.10
------------------------------------------------------------------------------------------------------------------------------------
10/04/99  N/A      Chase Bank          Fees on cashier's checks    220    590050-2500    ($10.00)                             -66.10
------------------------------------------------------------------------------------------------------------------------------------
10/05/99  1890     Watkins Motor Lines COD on freight: pkg for VH2 220    510050-2650   ($528.37)                            -594.47
------------------------------------------------------------------------------------------------------------------------------------
10/05/99  1891     Watkins Motor Lines COD on freight: pkg for VH2 220    610050-2650    ($49.16)                            -643.63
------------------------------------------------------------------------------------------------------------------------------------
10/06/99  1892     Rich Paull AMP      COD on Material                CO4706P1        ($1,319.97)                          -1,963.60
------------------------------------------------------------------------------------------------------------------------------------
10/06/99  1893     Rich Paull AMP      COD on Material                CO4706P1           ($57.71)                          -2,021.31
------------------------------------------------------------------------------------------------------------------------------------
10/07/99  N/A      Chase Bank          wire transfer to cover
                                       CODs                               108510-0020              $10,000.00               7,978.69
------------------------------------------------------------------------------------------------------------------------------------
10/07/99  1894     Yellow Freight      COD on freight: pkg
                                       for PEBAC                   220    610050-2650   ($302.54)                           7,676.15
------------------------------------------------------------------------------------------------------------------------------------
10/07/99  1895     Yellow Freight      COD on freight: pkg for VH2 220    610050-2650   ($128.23)                           7,547.92
------------------------------------------------------------------------------------------------------------------------------------
10/07/99  1896     Yellow Freight      COD on freight: customer     xx
                                       rtn                         220    610050-2650   ($139.82)                           7,408.10
------------------------------------------------------------------------------------------------------------------------------------
10/07/99  1897     Yellow Freight      COD on freight: pkg for VH2 220    610050-2650    ($98.43)                           7,309.67
------------------------------------------------------------------------------------------------------------------------------------
10/07/99  1898     UPS CustomHouse     COD on duties: pkg for
                   Brokerage           PEBAC                       220    610150-2650   ($118.99)                           7,190.68
------------------------------------------------------------------------------------------------------------------------------------
10/08/99  N/A      Chase Bank          Wire transfer to cover
                                       cost of Compressor
                                       (CK #1901)                  220    560200-2730              $3,400.000              10,590.68
------------------------------------------------------------------------------------------------------------------------------------
10/08/99  1899     Community Pallets
                   Woodcraft of TX     COD on pallets              220    530270-2500   ($270.63)                          10,320.05
------------------------------------------------------------------------------------------------------------------------------------
10/11/99  1900     The Grinding of
                   Plastic             COD on pallets              220    530270-2500   ($300.00)                          10,020.05
------------------------------------------------------------------------------------------------------------------------------------
10/11/99  1901     Pameco              compressor                  220    580200-2730 ($3,469.33)                           6,550.72
------------------------------------------------------------------------------------------------------------------------------------
10/11/99  1902     Roadway Express
                   Inc.                COD on freight: pkg for VH3 620    610050-2656   ($325.54)                           6,225.18
------------------------------------------------------------------------------------------------------------------------------------
10/11/99  1903     Roadway Express
                   Inc.                COD on freight: pkg for VH1 220    610050-2650   ($229.51)                           5,995.67
------------------------------------------------------------------------------------------------------------------------------------
10/11/99  1904     Roadway Express
                   Inc.                COD on freight: pkg for VH2 220    610050-2650   ($120.89)                           5,874.78
------------------------------------------------------------------------------------------------------------------------------------
10/11/99  1905     Carmen Vasquez-     COD on air freight: pkg
                   Petty Cash          for VH2                     220    610060-2504 ($3,056.94)                           2,817.84
------------------------------------------------------------------------------------------------------------------------------------
10/11/99  1906     Carmen Vasquez-
                   Petty Cash          COD on Material                CO9935W1          ($267.30)                           2,550.54
------------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                          ACCOUNT                              EMPLOYEE   CHECKING
 DATE      CH#         PAID TO               COMMENTS             CCN      NUMBER    WITHDRAWALS   DEPOSITS     FUNDS      ACCOUNT
------------------------------------------------------------------------------------------------------------------------------------
<S>      <C>      <C>                 <C>                         <C>    <C>         <C>          <C>         <C>      <C>
                                                                                                                $373.48   $2,973.35
------------------------------------------------------------------------------------------------------------------------------------
10/11/99  1906     VOID                VOID                           VOID                 $0.00        $0.00              2,550.54
------------------------------------------------------------------------------------------------------------------------------------
10/13/99  1907     Carmen Vasquez-     COD on air freight: pkg
                   Petty Cash          for VH2                     220    610060-2504   ($277.30)                          2,273.24
------------------------------------------------------------------------------------------------------------------------------------
10/13/99  1908     INSCO               COD on controller           220    530200-2730   ($300.94)                          1,972.30
------------------------------------------------------------------------------------------------------------------------------------
10/14/99  1909     UPS CustomHouse
                   Brokerage           COD on duties: pkg for ATM  850    610150-2675    ($25.06)                          1,947.24
------------------------------------------------------------------------------------------------------------------------------------
10/14/99  1910     PAMECO              COD on filters              220    560200-2730    ($41.50)                          1,905.74
------------------------------------------------------------------------------------------------------------------------------------
10/14/99  1911     Prairie Tech        COD on silicon                 C11893P1          ($900.83)                          1,004.91
------------------------------------------------------------------------------------------------------------------------------------
10/14/99  1912     DME Corp            COD on Mold-cleaners        220    580200-5110    ($38.89)                            966.02
------------------------------------------------------------------------------------------------------------------------------------
10/14/99  1913     Central Transport   COD on freight: pkg for ATM 650    610050-2675    ($50.85)                            915.17
------------------------------------------------------------------------------------------------------------------------------------
10/14/99  1914     Central Transport   COD on freight: pkg for ATM 650    610050-2675   ($118.20)                            796.97
------------------------------------------------------------------------------------------------------------------------------------
10/14/99  1915     Roadway Express     COD on freight: pkg for VH1 650    610050-2675   ($217.27)                            579.70
------------------------------------------------------------------------------------------------------------------------------------
10/14/99  1916     Carmen Vasquez-     purchase Money Orders for
                   Petty Cash          air freight CODs (B'Ville)  220    610060-2650   ($105.30)                            474.40
------------------------------------------------------------------------------------------------------------------------------------
10/14/99  1916     Carmen Vasquez-     purchase Money Orders for
                   Petty Cash          air freight CODs (ATM)      650    610060-2675   ($107.36)                            367.04
------------------------------------------------------------------------------------------------------------------------------------
10/14/99  1916     Carmen Vasquez-     purchase Money Orders for
                   Petty Cash          air freight CODs (VH2)      220    610060-2504   ($406.25)                            -39.21
------------------------------------------------------------------------------------------------------------------------------------
10/14/99  1917     El Toro             T-shirts for employee
                                       soccer team                    118100-0000                              ($225.00)    -264.21
------------------------------------------------------------------------------------------------------------------------------------
10/15/99  CASH     Chase Bank          Cash provided by PEBAC to
                                       cover ck 1911                  C11893P1                        $900.83                636.62
------------------------------------------------------------------------------------------------------------------------------------
10/15/99  N/A      Chase Bank          wire transfer to cover
                                       CODs                           108510-0020                   $5,000.00              5,636.62
------------------------------------------------------------------------------------------------------------------------------------
10/15/99  1918     Roadway Express     COD on freight: mtl for
                                       PEBAC                       220    510060-2650 ($3,014.55)                          2,622.07
------------------------------------------------------------------------------------------------------------------------------------
10/15/99  1919     Carmen Vasquez-     purchase Money Orders for
                   Petty Cash          air freight CODs (PEBAC)    220    610060-5029   ($912.75)                          1,709.32
------------------------------------------------------------------------------------------------------------------------------------
10/15/99  1919     Carmen Vasquez-     purchase Money Orders for
                   Petty Cash          air freight CODs (B'Ville)  220    610060-2650    ($31.70)                          1,677.62
------------------------------------------------------------------------------------------------------------------------------------
10/15/99  1919     Carmen Vasquez-     purchase Money Orders for
                   Petty Cash          air freight CODs (VH2)      220    610060-2504    ($32.20)                          1,645.42
------------------------------------------------------------------------------------------------------------------------------------
10/15/99  1919     Carmen Vasquez-     purchase Money Orders for
                   Petty Cash          air freight CODs            220    610060-2650   ($106.92)                          1,538.50
------------------------------------------------------------------------------------------------------------------------------------
10/18/99  1920     Yellow Freight      COD on freight charges;
                                       mtl for PEBAC               220    610050-2650   ($273.36)                          1,265.14
------------------------------------------------------------------------------------------------------------------------------------
10/18/99  1921     Yellow Freight      COD on freight charges;
                                       mtl for PEBAC               220    610050-2650    ($95.00)                          1,170.14
------------------------------------------------------------------------------------------------------------------------------------
10/18/99  1922     UPS CustomHouse
                   Brokerage           COD on duties: pkg for VH1  650    610150-2675    ($20.16)                          1,149.98
------------------------------------------------------------------------------------------------------------------------------------
10/18/99  1923     Yellow Freight      COD on freight charges;
                                       mtl for B'ville             220    610050-2650   ($139.82)                          1,010.16
------------------------------------------------------------------------------------------------------------------------------------
10/18/99  1924     Yellow Freight      COD on freight charges;
                                       mtl for VH1                 650    610050-2675   ($105.59)                            904.57
------------------------------------------------------------------------------------------------------------------------------------
10/18/99  1925     Yellow Freight      COD on freight charges;
                                       mtl for PEBAC               220    610060-2650    ($98.43)                            806.14
------------------------------------------------------------------------------------------------------------------------------------
10/19/99  1926     Central Transport   COD on freight charges;
                                       mtl for VH1                 650    610050-2675    ($50.85)                            755.29
------------------------------------------------------------------------------------------------------------------------------------
10/19/99  1927     Roadway Express     COD on freight charges;
                                       mtl for ATM                 650    610060-2675    ($55.57)                            699.72
------------------------------------------------------------------------------------------------------------------------------------
10/20/99  1928     D & B General
                   Cleaning Contractor lawn/landscaping svc        220    550200-2500   ($135.31)                            564.41
------------------------------------------------------------------------------------------------------------------------------------
10/20/99  1929     VOID                VOID                           VOID                 $0.00        $0.00     $0.00      564.41
------------------------------------------------------------------------------------------------------------------------------------
10/20/99  N/A      Chase Bank          Wire transfer to cover
                                       CODs                           108510-0020                  $10,000.00             10,584.41
------------------------------------------------------------------------------------------------------------------------------------
10/21/99  1930     Roadway Express     COD on freight charges;
                                       mtl for VH1                 650    610050-2675   ($203.84)                         10,360.57
------------------------------------------------------------------------------------------------------------------------------------
10/21/99  1931     Roadway Express     COD on freight charges;
                                       mtl for VH3                 620    610050-2656    ($70.54)                         10,290.03
------------------------------------------------------------------------------------------------------------------------------------
10/21/99  1932     Central Freight     COD on freight charges;
                   Lines               mtl for VH2                 220    610050-2650   ($118.72)                         10,171.31
------------------------------------------------------------------------------------------------------------------------------------
10/21/99  1933     Central Freight     COD on freight charges;
                   Lines               mtl for VH2                 220    610050-2650   ($248.69)                          9,922.62
------------------------------------------------------------------------------------------------------------------------------------
10/21/99  1934     Carmen Vasquez-     COD on air freight charges;
                   Petty Cash          mtl for VH2                 220    610060-2504 ($7,770.59)                          2,152.03
------------------------------------------------------------------------------------------------------------------------------------
10/21/99  1934     Carmen Vasquez-     COD on air freight charges;
                   Petty Cash          mtl for PEBAC               220    610060-5029   ($282.30)                          1,869.73
------------------------------------------------------------------------------------------------------------------------------------
10/21/99  1935     Central Transport   COD on freight charges;
                                       Lkld rtn                    220    610050-2650   ($111.70)                          1,758.03
------------------------------------------------------------------------------------------------------------------------------------
10/21/99  N/A      Chase Bank          wire transfer to cover
                                       CODs                          108510-0020                   $8,000.00               9,758.03
------------------------------------------------------------------------------------------------------------------------------------
10/22/99  1936     Yellow Freight      COD freight charges;
                                       mtl for PEBAC               220    610100-2650   ($128.89)                          9,629.14
</TABLE>

<PAGE>



<TABLE>
<CAPTION>

------------------------------------------------------------------------------------------------------------------------------------
                                                                          ACCOUNT                              EMPLOYEE    CHECKING
 DATE      CH#         PAID TO               COMMENTS              CCN    NUMBER      WITHDRAWALS   DEPOSITS     FUNDS      ACCOUNT
------------------------------------------------------------------------------------------------------------------------------------
<S>      <C>       <C>                 <C>                        <C>     <C>           <C>          <C>         <C>      <C>
                                                                                                                 $373.48  $2,973.35
------------------------------------------------------------------------------------------------------------------------------------
10/22/99  1937     The Grinding of     COD on pallets              220    500270-2500   ($300.00)                          9,329.14
                   Plastic
------------------------------------------------------------------------------------------------------------------------------------
10/22/99  1938     Rawson              COD on recorder pens        220    530250-2730   ($521.51)                          8,807.63

------------------------------------------------------------------------------------------------------------------------------------
10/22/99  1939     VOID                VOID                             VOID             $0.00          $0.00      $0.00   8,807.63
------------------------------------------------------------------------------------------------------------------------------------
10/22/99  1940     UPACO               COD on material for
                                       VH1                             C2022B1          ($361.20)                          8,446.43
------------------------------------------------------------------------------------------------------------------------------------
10/22/99  1941     Roadway Express     COD on freight charges;
                                       mtl for VH1                 650    610050-2675    ($90.54)                           8355.89
------------------------------------------------------------------------------------------------------------------------------------
10/22/99  104324   Employee Funds      Coke Commission;
                                       Sept. 99 end                   118100-0000                      $20.14      $20.14  8,376.03
------------------------------------------------------------------------------------------------------------------------------------
10/22/99  1942     Office Depot        copy paper; storage
                                       boxes                       220    590000-2500   ($168.77)                          8,207.26
------------------------------------------------------------------------------------------------------------------------------------
10/22/99  1943     Dixie Tool          supplies                    220    530250-1214   ($480.75)                          7,726.51
------------------------------------------------------------------------------------------------------------------------------------
10/25/99  1944     VOID                VOID                             VOID               $0.00                           7,726.51
------------------------------------------------------------------------------------------------------------------------------------
10/25/99  1945     VOID                VOID                             VOID               $0.00                           7,726.51
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1946     Roadway Express     COD on freight charges;
                                       mtl for VH3                 620    610050-2656    ($55.57)                          7,670.94
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1947     Roadway Express     COD on freight charges;
                                       mtl for VH3                 620    610050-2656   ($337.67)                          7,333.27
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  N/A      Chase Bank          wire transfer to cover
                                       CODs                           106510-0020                  $10,000.00             17,333.27
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1948     Roadway Express     COD on freight charges;
                                       mtl for PEBAC               220    610050-2650   ($147.11)                         17,186.16
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1949     Gateway Transfer    COD on rental of trailers   620    560300-5013 ($3,960.00)                         13,226.16
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1950     Gateway Transfer    COD on rental of trailers   620    560300-5013 ($3,960.00)                          9,266.16
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1951     AMP Inc.            COD on material; for PEBAC     C04706P1          ($364.12)                          8,902.04
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1952     AMP Inc.            COD on material; for PEBAC     C04706P1          ($465.10)                          8,436.94
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1953     AMP Inc.            COD on material; for PEBAC     C04706P1          ($465.10)                          7,971.84
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1954     AMP Inc.            COD on material; for PEBAC     C04706P1          ($501.34)                          7,470.50
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1955     AMP Inc.            COD on material; for PEBAC     C04706P1          ($361.57)                          7,108.93
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1956     American            COD on freight charges;
                   Freightways         mtl for VH3                 620    610050-2656    ($48.50)                          7,060.43
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1957     Yellow Freight      COD on freight charges;
                   System              customer rtn                220    610050-2650   ($477.67)                          6,582.76
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1958     Motion Industries   COD on material for
                                       PEBAC                       220    560200-5044    ($53.00)                          6,529.76
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1959     D & B General       COD on carpet svc           220    550200-2500   ($172.12)                          6,357.64
                   Contractor
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1960     Central Transport   COD on freight charges;
                                       mtl for ATM                 650    510050-2675    ($77.38)                          6,280.26
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1961     Carmen Vasquez-     Reimburse Petty Cash Box
                   Petty Cash          (Receipts: 9/30 - 10/21)       Various           ($945.83)                          5,334.43
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1962     Carmen Vasquez-     Purchase money order
                   Petty Cash          for air freight fees        220    510060-2650 ($1,167.87)                          4,166.56
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1963     Roadway Express     COD on freight charges;
                                       mtl for VH2                 220    610050-2650    ($70.54)                          4,096.02
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1964     Roadway Express     COD on freight charges;
                                       mtl for VH3                 620    610050-2656   ($325.97)                          3,770.05
------------------------------------------------------------------------------------------------------------------------------------
10/26/99  1965     Central Transport   COD on freight charges;
                                       mtl for ATM                 650    610050-2675    ($50.85)                          3,719.20
------------------------------------------------------------------------------------------------------------------------------------
10/27/99  1966     Valley B & CS Inc   COD on rpr of battery
                                       chargers                    220    560200-2500   ($304.51)                          3,414.69
------------------------------------------------------------------------------------------------------------------------------------
10/27/99  1967     AMP Inc.            COD on material; for
                                       PEBAC                         C04706P1           ($440.92)                          2,973.77
------------------------------------------------------------------------------------------------------------------------------------
10/27/99  1968     Roadway Express     COD on freight charges;
                                       mtl for ATM                 650    610050-2675   ($55.57)                           2,918.20
------------------------------------------------------------------------------------------------------------------------------------
10/28/99  1969     Roadway Express     COD on freight charges;
                                       mtl for VH1                 650    610050-2675  ($446.05)                           2,472.15
------------------------------------------------------------------------------------------------------------------------------------
10/28/99  1970     Central Freight     COD on freight charges;
                   Lines               mtl for ATM                 650    610050-2675   ($41.42)                           2,430.73
-----------------------------------------------------------------------------------------------------------------------------------
10/28/99  1971     VOID                VOID                             VOID             $0.00          $0.00     $0.00    2,430.73
------------------------------------------------------------------------------------------------------------------------------------
10/28/99  1972     Roadway Express     COD on freight charges;
                                       mtl for PEBAC               220    610050-2650  ($536.19)                           1,894.54
------------------------------------------------------------------------------------------------------------------------------------
10/28/99  1973     Central Freight     COD on freight charges;
                   Lines               mtl for PEBAC               220    610050-2650  ($169.06)                           1,725.48
------------------------------------------------------------------------------------------------------------------------------------
10/28/99  1974     Watkins Motor       COD on freight charges;
                   Lines               mtl for VH1                 650    610050-2675  ($648.72)                           1,676.76
------------------------------------------------------------------------------------------------------------------------------------
</TABLE>

<PAGE>



<TABLE>
<CAPTION>

------------------------------------------------------------------------------------------------------------------------------------
                                                                          ACCOUNT                              EMPLOYEE    CHECKING
 DATE      CH#         PAID TO               COMMENTS              CCN    NUMBER      WITHDRAWALS   DEPOSITS     FUNDS      ACCOUNT
------------------------------------------------------------------------------------------------------------------------------------
<S>      <C>       <C>                 <C>                        <C>     <C>           <C>          <C>         <C>      <C>
                                                                                                                $373.48   $2,973.35
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  1975     Central Transport   COD on freight charges;
                                       mtl for ATM                 650    610050-2675  ($328.68)                           1,348.08
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  1976     Gasier Tool         COD on material             220    530400-5044  ($109.50)                           1,238.58
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  1977     Roadway Express     COD on freight charges;
                                       mtl for VH3                 620    610050-2656  ($120.64)                           1,117.94
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  1978     VOID                VOID                             VOID              $0.00        $0.00               1,117.94
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  1979     Roadway Express     COD on freight charges;
                                       mtl for VH1                 620    610050-2675  ($70.54)                           1,047.40
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  1980     Roadway Express     COD on freight charges;
                                       mtl for VH4(B'ville)        220    510050-2650  ($94.48)                             952.92
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  1981     Yellow Freight      COD on freight charges;
                   System              mtl for VH2                 220    510050-2650 ($106.13)                             846.79
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  1982     Yellow Freight      COD on freight charges;
                   System              mtl for VH2                 220    610050-2650  ($78.47)                             768.32
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  1983     Central Transport   COD on freight charges;
                                       customer rtn                220    610050-2650  ($48.72)                             719.60
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  1984     Carmen Vasquez-     Reimburse Petty Cash Box
                   Petty Cash          (Receipts 10/26-10/28)       Various           ($396.13)                             323.47
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  1985     Dixie Tool          COD on freight charges
                                       on P.O.                     220    610200-1214 ($105.25)                             218.22
------------------------------------------------------------------------------------------------------------------------------------
10/29/99  N/A      Chase Bank          October End Bank Fees       220    580050-2500  ($45.00)                             173.22
------------------------------------------------------------------------------------------------------------------------------------
                                                                   MONTHLY SPENDING   ($49,296.23)                $168.62   773.09
                                                                                                                 ---------
                                                         REIMBURSABLE EXPENSES         ($1,995.40)
                                                                                       ($1,395.53)
</TABLE>

                   PREPARED BY:______________________________

                   APPROVED BY:______________________________

<TABLE>
<CAPTION>                                                          -----------------------------------------------------------------
                                                                   <S>                          <C>                      <C>
                                                                   BALANCE                                                 $173.22
                                                                   -----------------------------------------------------------------
                                                                   (+) REIMBURSEABLE EXPENSES                            $1,995.40
                                                                   -----------------------------------------------------------------
                                                                                                  TOTAL                  $2,168.62
                                                                   -----------------------------------------------------------------
                                                                   (-) Employee Funds                                     ($168.62)
                                                                   -----------------------------------------------------------------
                                                                                                  TOTAL BAC              $2,000.00
                                                                   -----------------------------------------------------------------
</TABLE>

<PAGE>

                              CASH DISBURSEMENTS
         Bank of America - Breed Automotive West, Inc. #000640057428
                              October 1 -31, 1999

<TABLE>
<CAPTION>
 Date      Check  Name                    Reference                   Description     AMOUNT
 ----      -----  ----                    ---------                   -----------     ------
<S>        <C>    <C>                     <C>                         <C>             <C>
l0/0l/99   20011  Operating Disbursement  Breed Automotive West                       461.75
10/6/99    20015  Operating Disbursement  Breed Automotive West                       461.75
10/29/99          Bank Service Charges                                                  9.00
                                                                                      ------
                                                                 TOTAL                932.50
                                                                                      ------
</TABLE>
<PAGE>

                              CASH DISBURSEMENTS
        Bank of America - Breed Electronics of Nevada, Inc. #370179376
                             October 1 - 31, 1999

<TABLE>
<CAPTION>
 Date    Check   Name           Reference       Description           Amount
 ----    -----   ----           ---------       -----------           ------
<S>      <C>     <C>            <C>             <C>                   <C>
10/01/99 20014   Janice George                  Payroll-Quarterly      461.75

                                                                      -------
                                            TOTAL                      461.75
                                                                      -------
</TABLE>
<PAGE>

                              CASH DISBURSEMENTS
                     Bank One - Hamlin Lockbox #020716585
                              October 1-31, 1999

<TABLE>
<CAPTION>
Date     Check   Name                         Reference          Description              Amount
----     -----   ----                         ---------          -----------              ------
<S>      <C>     <C>                          <C>                <C>                    <C>
10/01/99         A/P Wire                      Hamilin           Operating Expense       12,500.00
10/04/99         Payroll Checks Paid/Various                     Operating Expense          349.78
10/20/99         A/P Wire                      Hamilin           Operating expense          546.00
10/25/09         Transfer To Master Account    Hamilin           Transfer to Debtor     150,000.00
10/25/99         Miscellaneous Fees            Hamilin                                      255.28
                                                                                       -----------
                                                            TOTAL                       163.651.06
                                                                                       -----------
</TABLE>

<PAGE>

Case Name: BREED TECHNOLOGIES, INC. ET AL.
Case Number: 99.03399 MFW THRU 99-03415

Accounts Receivable Aging (Debtors only)
-------------------------------------------------------------
as of October 31,1999

                                                                    $'s (000'S)
                                                                    ----------
    Current                                                             70,387
    1-30 Days                                                           19,668
    31-60 Days                                                          10,095
    61+ Days                                                            22,336
                                                                    ----------
    Total Accounts Receivable                                          122,486
    Less: Amount Considered Uncollectible                              (13,807)
                                                                    ----------
    Accounts Receivable, Net                                           108,679


Aging of Post-petition Accounts Payable (Debtors only)
-------------------------------------------------------------

                           O-30      31-60     61-90      91+
    Reporting Unit         Days      Days      Days      Days    Total
    ----------------      ------    -------   -------   ------  -------
    Lakeland                                                          0
    Sterling Heights        INFORMATION NOT AVAILABLE AT THIS TIME    0
    Hamlin                                                            0
                          ------    -------   -------   ------  -------
    TOTAL                      0          0         0        0        0


Status of Post-petition Taxes
-------------------------------------------------------------

    Payroll Taxes
    ---------------

    Payroll is processed through an outside service, who remits the applicable
    taxes to the appropriate taxing authorities. All payroll taxes have been
    paid in the normal course of business.

    Other Taxes
    ---------------

    Other post-petition taxes are being paid in the normal course of business.
<PAGE>

Case Name: BREED TECHNOLOGIES, INC. ET AL.
Case Number: 99-03399MFW THRU 99-03415

BANK RECONCILIATIONS & BANK STATEMENTS

Attached for all accounts with the exception of the minor accounts, listed
below, for which reconciliations are not available at this time.

  1) Bank of America Account #1233-1-21 117, Insurance Reserve Account
  2) Chase Bank Account #808005863, Collection Funding Account
  3) BankOne Account #0304-233, Lockbox Account
  4) Smith Barney Account #2249201118351, Investment Account
<PAGE>

                         BANK OF AMERICA MAIN ACCOUNT
                           ACCOUNT #8188-9-10116 NEW
                                100 105070 0000
                               OCTOBER 31, 1999

<TABLE>
          <S>                              <C>                 <C>
          Bank balance                                         29,131,864.16

          GL Balance A/C 105070            22,652,145.05
          GL Balance A/C 106000             5,825,350.14
                                           -------------
          Total GL Balance                                     28,477,495.19
                                                               -------------
                   Variance                                       654,368.97

          Reconciling items:
          OCT INTEREST                         17,830.68
          FIM A/R POSTING ERROR               628,688.55
          UNPOSTED CHECK TRANSACTIONS
            PER TREASURY REPORT:
                       Acct# 87658-01474        7,954.74
                       Acct# 87650-01473         (105.00)
                                           -------------
                                                                   654,368.97
                                                                  -----------
                       Unexplained variance                              0.00
                                                                  ===========
</TABLE>

          Prepared By:  Jerry Harper              12/16/99
                       ---------------------


          Reviewed By: _____________________
<PAGE>

Bank of America
                                                               Corporate Deposit
                                                                       Statement
--------------------------------------------------------------------------------

CDA USCG ILLINOIS NORTH #8188        ACCOUNT NUMBER:  8188-9-10116
231 LA SALLE
CHICAGO IL 60697                     ACCOUNT TYPE: CORP CHECKING ACCOUNT

                                     LAST STATEMENT:   09/30/99

                                     THIS STATEMENT:   10/29/99


FOR STATEMENT INQUIRIES
CALL 800-262-2726


PARENT ID: 07427

1029991010-C                     BREED TECHNOLOGIES INC.        PAGE   1 OF 82
E 3                              ATTN, MS SHEILA SHORTLAND      ENCLOSURES 3
                                 ASSISTANT TREASURER
                                 5300 OLD TAMPA RD
                                 LAKELAND   FL  33807


               -------------STATEMENT CYCLE SUMMARY-----------------------------

               10/01/99 OPENING LEDGER BALANCE                     20,170,159.24
               OPENING FLOAT                             1,168.00
               OPENING COLLECTED BALANCE            20,168,991.24

                    10 DEPOSIT(S)                                   1,637,406.96
                    43 ELECTRONIC CREDIT(S)                        32,394,317.21
                    61 WIRE TRANSFER CREDIT(S)                     12,568,965.28
                    15 COLLECTION/DISB TRF CREDIT(S)                   18,816.79
                   176 LOCKBOX CREDIT(S)                           71,863,569.20
                     2 MISC CREDIT(S)                                     327.52

                              TOTAL CREDITS                       118,483,402.96

                   150 ELECTRONIC DEBIT(S)                         42,988,502.36
                   597 WIRE TRANSFER DEBIT(S)                      39,028,867.24
                    90 COLLECTION/DISB TRF DEBIT(S)                27,492,587.53
                     4 MISC DEBIT(S)                                   11,740.91

                              TOTAL DEBITS                        109,521,698.04

               10/29/99 CLOSING LEDGER BALANCE                     29,131,864.16
               TOTAL FLOAT                           7,535,593.00
               CLOSING COLLECTED BALANCE            21,596,271.16
               -----------------------------------------------------------------
--------------------------------------------------------------------------------
                              DEPOSITS AND CHECKS
--------------------------------------------------------------------------------
POST DATE            CUSTOMER REFERENCE OR ITEM DESCRIPTION           AMOUNT
---------            --------------------------------------           ------
10/01        DEPOSIT       XXXXXXXXXXX     REF # 123301303189700   72,571.53 CR
                         0 DAY FLOAT        0.53
                         1 DAY FLOAT   68,200.00
                         2 DAY FLOAT    4,370.00
                         3 DAY FLOAT        1.00
10/08        UNENCODED DEPOSIT  7549       REF # 689209880103915  178,725.78 CR
                         0 DAY FLOAT        0.78
                         3 DAY FLOAT  178,725.00
10/08        UNENCODED DEPOSIT  7551       REF # 689209880103895    9,273.92 CR
                         0 DAY FLOAT        0.92
                         3 DAY FLOAT    9,273.00
10/12        DEPOSIT       XXXXXXXXXXX     REF # 123300853849300  267,063.95 CR
                         0 DAY FLOAT        0.95
                         2 DAY FLOAT  251,040.00
                         3 DAY FLOAT   16,023.00
10/13        DEPOSIT       XXXXXXXXXXX     REF # 123300613671400   49,749.41 CR
                         0 DAY FLOAT        0.41
                         1 DAY FLOAT   24,608.00
                         2 DAY FLOAT   23,633.00
                         3 DAY FLOAT    1,508.00

-------------------------------------------------------------------------------
<PAGE>

Bank of America
                                                               Corporate Deposit
                                                                       Statement
--------------------------------------------------------------------------------

CDA USCG ILLINOIS NORTH #8188
231 LA SALLE                          ACCOUNT NUMBER:    8188-9-10116
CHICAGO IL 60697

PHONE NUMBER 800-262-2726


1029991010


                                                                 PAGE  2 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------------------

                                                        DEPOSITS AND CHECKS
---------------------------------------------------------------------------------------------------------------------------------
POST DATE                           CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------             -------------------------------------------------------------------            -----------------------------
<S>                   <C>                                                                            <C>
  10/13                DEPOSIT                ****************  REF # 123300613669600                         27,780.80 CR
                                  O DAY  FLOAT                48.80
                                  2 DAY  FLOAT            26,069.00
                                  3 DAY  FLOAT             1,663.00
  10/20                DEPOSIT                 **************** REF # 123300505358700                        628,688.55 CR
                                  O DAY  FLOAT                0.55
                                  2 DAY  FLOAT          590,967.00
                                  3 DAY  FLOAT           37,721.00
  10/20                DEPOSIT                 **************** REF # 123300328476900                          1,126.19 CR
                                  0 DAY  FLOAT                0.19
                                  2 DAY  FLOAT            1,032.00
                                  3 DAY  FLOAT               92.00
                                  4 DAY  FLOAT                2.00
  10/27                DEPOSIT                 **************** REF # 123300311477700                        400,281.48 CR
                                  O DAY  FLOAT                0.48
                                  1 DAY  FLOAT            5,293.00
                                  2 DAY  FLOAT          374,559.00
                                  3 DAY  FLOAT           20,429.00
  10/27                DEPOSIT                 **************** REF # 123300213503500                          2,145.35 CR
                                  O DAY  FLOAT                0.35
                                  2 DAY  FLOAT            2,017.00
                                  3 DAY  FLOAT              128.00

                                                                        TOTAL CREDITS                     1,637,406 .96

------------------------------------------------------------------------------------------------------------------------------------

<CAPTION>


                                                        OTHER ELECTRONIC TRANSACTIONS
------------------------------------------------------------------------------------------------------------------------------------
POST DATE                                     CUSTOMER REFERENCE OR ITEM DESCRIPTION                                 AMOUNT
---------              -------------------------------------------------------------------------------        ----------------------
<S>                    <C>                                                                                    <C>
  10/05                ELECTRONIC CREDIT                        REF#  533300049545359                                270.00 CR
                       MISC PAY     XEROX CORP               CO ID: 1160468020
                          BREED ELECTRONIC             ID# F10000000728460
                          REF: 8188910116 07100003904300009533181299100522
  10/07                ELECTRONIC CREDIT                        REF # 533300050715708                          3,750,000.00 CR
                       NATIONS FD NATIONS FUNDS              CO ID: 3043083407
                          BREED TECHNOLOGIES INC       ID# 0232-0003473345
                          REF :8188910116 12110825012110825732011899100722
  10/08                ELECTRONIC CREDIT                        REF # 533300050831624                            270,468.85 CR
                       PURCHASE    SATURN                    CO ID: 1382577506
                          ALLIED SIG/STRLNG HT         ID# 0010559
                          REF:8188910116 07100003906400002741077099100822
  10/08                ELECTRONIC CREDIT                        REF # 533300051003440                                308.00 CR
                       MISC PAY    XEROX CORP                CO ID: 1160468020
                          BREED ELECTRONIC             ID# F10000000729798
                          REF:8188910116 07100003904300009015558799100822
  10/08                ELEC SETTLEMENT                          REF # 533300051075176                                100.00 CR
                       REVERSAL    BREED AUTOMOTIVE          CO ID: 1222767118
                          BREED TECHNOLOGI             ID# 1222767118
                          REF:8188910116 12110825012110825759768199100822
  10/12                ELECTRONIC CREDIT                        REF # 533300051913763                          3,440,000.00 CR
                       NATIONS FD NATIONS FUNDS              CO ID: 3043083407
                          BREED TECHNOLOGIES INC       ID# 0232-0003473345
                          REF:818891O116 12110825012110825536726599101222
</TABLE>
<PAGE>

Bank of America
                                                               Corporate Deposit
                                                                       Statement
--------------------------------------------------------------------------------

CDA USCG ILLINOIS NORTH #8188
231 LA SALLE                          ACCOUNT NUMBER: 8188-9-10116
CHICAGO IL 60697

PHONE NUMBER 800-262-2726

1029991010

                                                                PAGE   3 OF 82
--------------------------------------------------------------------------------
                    OTHER ELECTRONIC TRANSACTIONS
--------------------------------------------------------------------------------

<TABLE>
<CAPTION>

POST DATE          CUSTOMER REFERENCE OR ITEM DESCRIPTION                        AMOUNT
---------  ---------------------------------------------------------        -----------------
<S>        <C>                                                              <C>
  10/12     ELECTRONIC CREDIT                REF # 533300051925542                 837.21 CR
            ACH RETS   PAY CHECK RETURN   CO ID: 2212212212
             UNITED STEERING        ID # 1593405344
             REF:8188910116 12100035812110825400728999101222
  10/12     ELECTRONIC CREDIT                REF# 533300051498884                  462.00 CR
            MISC PAY  XEROX CORP          CO ID: 1160468020
             BREED ELECTRONIC       ID # F10000000730416
             REF:8188910116 07100003904300009108679899101222
  10/13     ELECTRONIC CREDIT                REF # 533300052441936           3,940,000.00 CR
            NATIONS FD NATIONS FUNDS      CO ID: 3043083407
             BREED TECHNOLOGIES INC ID # 0232-0003473345
             REF:8188910116 12110825012110825337602899101322
  10/14     ELECTRONIC CREDIT                REF # 533300052946833           5,380,000.00 CR
            NATIONS FD NATIONS FUNDS      CO ID: 3043083407
             BREED TECHNOLOGIES INC ID # 0232-0003473345
             REF:8188910116 12110825012110825660618299101422
  10/15     ELECTRONIC CREDIT                REF # 533300054225408           1,452,477.69 CR
            NATIONS FD NATIONS FUNDS      CO ID: 3043083407
             BREED TECHNOLOGIES INC ID # 0232-0003473345
             REF:8188910116 12110825012110825392032599101522
  10/18     ELECTRONIC CREDIT                REF # 533300054743555               2,256.80 CR
            ACH RETS   PAY CHECK RETURN   CO ID: 2212212212
             BREED TECH             ID # 1222767118
             REF:8188910116 12100035812110825156031599101822
  10/19     ELECTRONIC CREDIT                REF # 533300055187717           1,300,000.00 CR
            NATIONS FD NATIONS FUNDS      CO ID: 3043083407
             BREED TECHNOLOGIES INC ID # 0232-0003473345
             REF:8188910116 12110825012110825803107499101922
  10/19     TRADE FINANCE CR                 REF # 453500000000027             112,713.81 CR
            INTERNATIONAL SERVICES  LETTERS OF CREDIT TRANS
            YOUR REF: DATED: 05/26/99 BA # 02097404 VALUE
            10/19/99
  10/19     TRADE FINANCE CR                 REF# 453500000000032               91,489.17 CR
            INTERNATIONAL SERVICES  LETTERS OF CREDIT TRANS
            YOUR REF: DATED: 07/19/99 BA # 02102117 VALUE
            10/19/99
  10/19     TRADE FINANCE CR                 REF# 453500000000028               66,782.00 CR
            INTERNATIONAL SERVICES  LETTERS OF CREDIT TRANS
            YOUR REF: INV 14511 DATED: 06/02/99 BA# 02097932
            VALUE 10/19/99
  10/19     TRADE FINANCE CR                 REF# 453500000000034               59,290.00 CR
            INTERNATIONAL SERVICES LETTERS OF CREDIT TRANS
            YOUR REF: DATED: 07/19/99 BA# 02102117 VALUE
            10/19/99
  10/19     TRADE FINANCE CR                 REF# 453500000000030               50,969.00 CR
            INTERNATIONAL SERVICES LETTERS OF CREDIT TRANS
            YOUR REF: INV. 14516 DATED: 06/02/99 BA# 02097932
            VALUE 10/19/99
  10/19     TRADE FINANCE CR                 REF# 453500000000033               13,231.50 CR
            INTERNATIONAL SERVICES LETTERS OF CREDIT TRANS
            YOUR REF: DATED: 07/19/99 BA# 02102117 VALUE
            10/19/99
</TABLE>
<PAGE>

Bank of America
                                                               Corporate Deposit
                                                                       Statement
--------------------------------------------------------------------------------

CDA USCG ILLINOIS NORTH #8188
231 LA SALLE                           ACCOUNT NUMBER: 8188-9-10116
CHICAGO IL 60697

PHONE NUMBER 800-262-2726
1029991010

                                                              PAGE 4 OF 82
--------------------------------------------------------------------------------
                           OTHER ELECTRONIC TRANSACTIONS
--------------------------------------------------------------------------------

<TABLE>
<CAPTION>
   POST DATE       CUSTOMER REFERENCE OR ITEM DESCRIPTION                  AMOUNT
   ---------  ------------------------------------------------    --------------------
   <S>        <C>                                                 <C>
   10/20      ELECTRONIC CREDIT        REF # 533300055650991           1,150,000.00 CR
              NATIONS ED NATIONS FUNDS  CO ID: 3043083407
               BREED TECHNOLOGIES INC ID# 0232-0003473345
               REF:8188910116 12110825012110825805046899102022
   10/20      ELECTRONIC CREDIT        REF # 533300055573804             163,757.38 CR
              PAYMENTS NISSAN
               064000046 BREED TECHNOLOGY
               REF:8188910116 07100003906400004592770499102022
   10/21      ELECTRONIC CREDIT        REF # 533300056076170           1,060,000.00 CR
              NATIONS FD NATIONS FUNDS  CO ID: 3043083407
               BREED TECHNOLOGIES INC ID#         0232-0003473345
               REF:8188910116 12110825012110825539679099102122
   10/21      TRADE FINANCE CR         REF # 453500000000009              81,037.34 CR
              INTERNATIONAL SERVICES LETTERS OF CREDIT TRANS
              YOUR REF: INV. 14505 DATED:   06/02/99 BA# 02097932
              VALUE 10/21/99
   10/21      ELECTRONIC CREDIT        REF # 533300055914428               6,604.00 CR
              ACH PYMT JABIL CIRCUIT ME     CO ID: 9005100046
               BREED ELECTRONICS LTD. ID#
               REF:81889-10116 07100003907200032255269799102122
   10/22      ELECTRONIC CREDIT        REF # 533300056338289           2,979,331.15 CR
              EPOSPYMNTS CHEVROLET-PONTIA  CO ID: 9GM-CPC-DC
               BREED ELECTRONICS LIMI ID#    DC5101437953
               REF: 8188910116 07100003907200032331796799102222
   10/22      TRADE FINANCE CR         REF # 453500000000023             124,506.75 CR
              INTERNATIONAL SERVICES LETTERS OF CREDIT TRANS
              YOUR REF: INV 14439 DATED: 05/26/99 BA# 02097404
              VALUE 10/22/99
   10/22      ELECTRONIC CREDIT        REF # 533300056338290               3,100.60 CR
              EPOSPYMNTS CHEVROLET-PONTIA   CO ID: 9GM-CPE-DC
               BREED ELECTRONICS LIMI ID#    DC5101437954
               REF:8188910116 071 00003907200032331796899102222
   10/22      ELECTRONIC CREDIT        REF # 533300056583441               2,832.00 CR
              MISC PAY XEROX CORP           CO ID: 1160468020
               BREED ELECTRONIC ID#          F10000000735671
               REF:8188910116 07100003904300009016937399102222
   10/25      ELECTRONIC CREDIT        REF # 533300057086345           3,000,000.00 CR
              NATIONS FD NATIONS FUNDS      CO ID: 3043083407
               BREED TECHNOLOGIES INC ID#   0232-0003473345
               REF:8188910116 12110825012110825519684799102522
   10/25      ELECTRONIC CREDIT        REF # 533300057034640             834,396.23 CR
              PO/REMIT NAO WEST (SAS)       CO ID: 9GM-STAFFA
               BREED ELECTRONICS LIMI ID#  SAS101002539
               REF:8188910116 07100003903110020070958899102522
   10/25     ELECTRONIC CREDIT         REF # 533300056749086             206,185.98 CR
             PURCHASE SATURN               CO ID: 1382577506
              ALLIED SIG/STRLNG HT ID#                    0010559
              REF:8188910116 07100003906400002476633299102522
   10/25     ELECTRONIC CREDIT         REF # 533300056890479             150,000.00 CR
             Transfer HAMLIN INC.          CO ID: 1391128574
              BREED TECHNOLOGIES INC ID#  1
              REF:381889-10116 07100003911100061186554199102522
</TABLE>
<PAGE>

Bank Of America
                                                               Corporate Deposit
                                                                       Statement

--------------------------------------------------------------------------------

CDA USCG ILLINOIS NORTH #8188
231 LA SALLE                               ACCOUNT NUMBER: 8188-9-10116
CHICAGO IL 60697

PHONE NUMBER 800-262-2726
1029991010

                                                                    Page 5 of 82

--------------------------------------------------------------------------------
                         OTHER ELECTRONIC TRANSACTIONS
--------------------------------------------------------------------------------

<TABLE>
<CAPTION>
POST DATE            CUSTOMER REFERENCE OR ITEM DESCRIPTION                                      AMOUNT
---------          -------------------------------------------                               ---------------
<S>                <C>                                                                       <C>
   10/25            ELECTRONIC CREDIT                    REF # 533300057100769                     389.43  CR
                    ACH RETS    PAY CHECK RETURN      CO ID: 2212212212
                     BREED TECH                 ID# 1222767118
                     REF:8188910116 12100035812110825487108899102522
   10/25            ELECTRONIC CREDIT                    REF # 533300057100145                     122.34  CR
                    COLLECTION BOFA BALTIMORE         CO ID: 1281110002
                     BREED TECHNOLOGIES         ID#  9K028243C0004
                     REF:8188910116 07100003912110825528438499102522
   10/26            TRADE FINANCE CR                     REF # 453500000000009                  23,148.00  CR
                    INTERNATIONAL SERVICES LETTERS OF CREDIT TRANS
                    YOUR REF: DATED: 05/26/99 BA#  02097404 VALUE
                    10/26/99
   10/26            ELECTRONIC CREDIT                    REF # 533300057454439                     639.58  CR
                    ACH RETS   PAY CHECK RETURN       CO ID: 2212212212
                     BREED AUTOMOTIVE           ID# 1222767118
                     REF:8188910116   12100035812110825213458499102622
   10/26            ELEC SETTLEMENT                      REF # 533300057288697                     100.00  CR
                    REVERSAL    BREED AUTOMOTIVE      CO ID: 1222767118
                     BREED TECHNOLOGI           ID# 1222767118
                     REF:8188910116 12110825012110825495843299102622
   10/27            ELECTRONIC CREDIT                    REF # 533300057879945               2,525,352.99  CR
                    NATIONS FD NATIONS FUNDS          CO ID: 3043083407
                     BREED TECHNOLOGIES INC ID# 0232-0003473345
                     REF:8188910116 12110825012110825641389699102722
   10/27            ELECTRONIC CREDIT                    REF # 533300057841179                     696.00  CR
                    MISC PAY      XEROX CORP          CO ID: 1160468020
                     BREED ELECTRONIC           ID# F10000000737158
                     REF:8188910116 07100003904300009201410399102722
   10/27            ELECTRONIC CREDIT                    REF # 533300-057625198                    437.40  CR
                    EPOSPYMNTS CHEVROLET-PONTIA      CO ID: 9GM-CPC-DC
                     BREED ELECTRONICS LIMI ID# DCS5101438865
                     REF:8188910116 07100003907200032621266599102722
   10/28            ELECTRONIC CREDIT                    REF # 533300057955359                 146,964.62  CR
                    EPOSPYMNTS CHEVROLET-PONTIA      CO ID: 9GM-CPC-DC
                     BREED ELECTRONICS LIMI ID# DCS101441369
                     REF:8188910116 07100003907200032802746299102822
   10/28            ELECTRONIC CREDIT                    REF # 533300057919988                     979.39  CR
                    PO/REMIT   NAO WEST (SAS)         CO ID: 9GM-STAFFA
                     BREED ELECTRONICS LIMI     ID# SAS101002997
                     REF:8188910116 07100003903110020218045399102822
   10/29            ELECTRONIC CREDIT                    REF # 533300058855739                   2,080.00  CR
                    ACH PYMT   JABIL CIRCUIT ME       CO ID: 9005100046
                     BREED ELECTRONICS LTD. ID #
                     REF:81889-10116 07100003907200032100160999102922

                                                                 TOTAL CREDITS             32,394,317 .21

   10/01            ELECTRONIC DEBIT                     REF # 533300046972453                   3,309.80 DB
                    GELCO      GELCO PAYMNT SYS       CO ID: 9411622701
                     BREED TECHNOLOGIES         ID# 040788023161924
                     REF:8188910116 12110825009100001181496599100127
   10/01            ELECTRONIC DEBIT                     REF# 600000000003046                    1,905.94 DB
                    ORG BREED TECHNOLOGIES INC FX TRANS REF 937411 DEM
                      3,489.78  RATE 1.831000000
</TABLE>


<PAGE>

Bank of America

                                                         Corporate Deposit
                                                                 Statement
--------------------------------------------------------------------------

CDA USCG ILLINOIS NORTH #8188
231 LA SALLE                      ACCOUNT NUMBER: 8188-9-10116
CHICAGO IL 60697

PHONE NUMBER 800-262-2726

1029991010

                                                   PAGE  6 OF 82
-------------------------------------------------------------------------------
                         OTHER ELECTRONIC TRANSACTIONS
-------------------------------------------------------------------------------

<TABLE>
<CAPTION>
POST DATE                         CUSTOMER REFERENCE OR ITEM DESCRIPTION                         AMOUNT
---------                 ------------------------------------------------------            ----------------
<S>                       <C>                                                               <C>
  10/01                   ELECTRONIC DEBIT    REF # 533300046972454                                581.39 DB
                          GELCO GELCO PAYMNT SYS CO ID: 9411622701
                           BREED TECH-SRS ID # 041035023162076
                           REF:8188910116 12110825009100001181517199100127
  10/04                   ELECTRONIC DEBIT    REF # 600000000000890                            170,172.07 DB
                          ORG BREED TECHNOLOGIES INC FX TRANS REF 940343 FRF
                           1,038,390.00 RATE 6.102000000
  10/04                   ELECTRONIC DEBIT    REF # 533300048742858                            118,416.52 DB
                          USATAXPYMT EFTPS - CHICAGO CO ID: 9999999999
                           BREED TECHNOLOGI ID# 120927777568456
                           REF:8188910116 12110825007103620295797999100427
  10/04                   ELECTRONIC DEBIT    REF # 600000000001721                             24,262.10 DB
                          ORG BREED TECHNOLOGIES INC FX TRANS REF 940280 DEM
                           44,423.91 RATE 1.831000000
  10/04                   ELECTRONIC DEBIT    REF # 600000000004213                             13,031.68 DB
                          ORG BREED TECHNOLOGIES INC FX TRANS REF 940278 DEM
                           23,861.00 RATE 1.831000000
  10/04                   ELECTRONIC DEBIT    REF # 533300048956573                                889.29 DB
                          GELCO GELCO PAYMNT SYS CO ID: 9411622701
                           BREED TECH--SRS ID# 041035023176824
                           REF:8188910116 12110825009100001037250499100427
  10/04                   ELECTRONIC DEBIT    REF # 533300048956572                                471.49 DB
                          GELCO GELCO PAYMNT SYS CO ID: 9411622701
                           BREED TECHNOLOGIES ID# 040788023176735
                           REF:8188910116 12110825009100001037236699100427
  10/05                   ELECTRONIC DEBIT    REF # 600000000003439                          1,527,835.25 DB
                          ORG BREED TECHNOLOGIES INC FX TRANS REF 944867 MXN
                           14,383,041.00 RATE 9.414000000
  10/05                   ELECTRONIC DEBIT    REF # 533300049737578                             60,132.43 DB
                          PAYROLL UNITED STEERING CO ID: 1593405344
                           UNITED STEERING ID# 159340-7294598*
                           REF:8188910116 12110825012110825729459899100527P
  10/05                   ELECTRONIC DEBIT    REF # 533300049710929                             24,296.50 DB
                          REG SALARY BREED TECH. CO ID: 1222767118
                           BREED TECHNOLOGI ID# 122276-7470514*
                           REF: 8188910116 12110825012110825747051499100527P
  10/05                   ELECTRONIC DEBIT    REF # 533300049702645                             14,689.13 DB
                          REG SALARY BREED TECH. CO ID: 1222767118
                           BREED TECHNOLOGI ID# 122276-0245167*
                           REF:8188910116 12110825012110825024516799100527P
  10/05                   ELECTRONIC DEBIT    REF # 533300049710050                              6,392.59 DB
                          REG SALARY BREED TECH. CO ID: 1222767118
                           BREED TECHNOLOGI ID# 122276-7470200*
                           REF:8188910116 12110825012110825747020099100527P
  10/05                   ELECTRONIC DEBIT    REF # 533300049286972                                251.10 DB
                          GELCO GELCO PAYMNT SYS CO ID: 9411622701
                           BREED TECHNOLOGIES ID# 040788023197359
                           REF:8188910116 12110825009100001051589899100527
  10/05                   ELECTRONIC DEBIT    REF # 533300049286973                                240.82 DB
                          GELCO GELCO PAYMNT SYS CO ID: 9411622701
                           BREED TECH-SRS ID# 041035023197446
                           REF:8188910116 12110825009100001051603699100527
</TABLE>

<PAGE>

[LOGO OF Bank of America]                                     Corporate Deposit
                                                                       Statement

        CDA USCG ILLINOIS NORTH #8188
        231 LA SALLE                      ACCOUNT NUMBER:   8188-9-10116
        CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                           PAGE          7 OF 82

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                        OTHER ELECTRONIC TRANSACTIONS
------------------------------------------------------------------------------------------------------------------------------------
        POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                   AMOUNT
        ---------                --------------------------------------                                                   ------
<S>                   <C>                                                                                     <C>
                10/06  ELECTRONIC DEBIT               REF# 533300050189636                                        15,660,000.00  DB
                       NATIONS FD NATIONS FUNDS    CO ID:  3043083407
                        BREED TECHNOLOGIES INC ID# 0232-0003473345
                        REF:8188910116 12110825012110825219890299100627
                10/06  ELECTRONIC DEBIT            REF# 533300050197530                                              509,274.75   DB
                       PAYROLL BREED TECHNOLOGI    CO ID:  1222767118
                        BREED TECHNOLOGI       ID# 122276-6194091*
                        REF:8188910116 12110825012110825619409199100627P
                10/06  ELECTRONIC DEBIT REF# 533300050199360                                                         118,488.62   DB
                       PAYROLL BREED AUTOMOTIVE CO ID: 1222767118
                        BREED TECHNOLOGI ID# 122276-6196923*
                        REF:8188910116 12110825012110825619692399100627P
                10/06  ELECTRONIC DEBIT REF# 533300050199150                                                          57,931.08   DB
                       PAYROLL BREED AUTOMOTIVE CO ID: 1222767118
                        BREED TECHNOLOGI ID# 122276-6196169*
                        REF:8188910116 12110825012110825619616999100627P
                10/06  ELECTRONIC DEBIT REF# 533300050197127                                                          35,204.50   DB
                       PAYROLL BREED TECHNOLOGI CO ID: 1222767118
                        BREED TECHNOLOGI ID# 122276-6193402*
                        REF:8188910116 12110825012110825619340299100627P
                10/06  ELECTRONIC DEBIT REF# 533300050116619                                                          34,513.43   DB
                       ASO COLLEC GWLA ASO ISSUED CO ID: 9001267256
                        BREED TECHNOLOGIES ID# 53945
                        REF:8188910116 12110825009100002428261299100627
                10/06  ELECTRONIC DEBIT REF# 600000000003734                                                          34,132.55   DB
                       ORG BREED TECHNOLOGIES INC FX TRANS REF 948090 DEM
                        62,121.24 RATE 1.820000000
                10/06  ELECTRONIC DEBIT REF# 533300050196369                                                          20,339.87   DB
                       PAYROLL BREED TECHNOLOGI CO ID: 1222767118
                        BREED TECHNOLOGI ID# 122276-6192091*
                        REF:8188910116 12110825012110825619209199100627P
                10/06  ELECTRONIC DEBIT REF# 533300050116620                                                          18,738.38   DB
                       ASO COLLEC GWLA ASO ISSUED CO ID: 9001267256
                        HAMLIN INC. ID# 54066
                        REF:8188910116 12110825009100002428266399100627
                10/06  ELECTRONIC DEBIT REF# 533300050205706                                                           9,396.69   DB
                       PAYROLL BREED-MOWEST, IN CO ID: 1222767118
                        BREED TECHNOLOGI ID# 122276-6198784*
                        REF:8188910116 12110825012110825619878499100627P
                10/06  ELECTRONIC DEBIT REF# 533300050193439                                                           3,347.63   DB
                       PAYROLL BSRS RESTRAINT S CO ID: 1582431853
                        BSRS RESTRAINT ID# 158243-6189806*
                        REF:8188910116 12110825012110825618980699100627P
                10/06  ELECTRONIC DEBIT REF# 533300050075346                                                           2,888.49   DB
                       GELCO GELCO PAYMNT SYS CO ID: 9411622701
                        BREED TECH-SRS ID# 041035023231614
                        REF:8188910116 12110825009100001053412499100627
                10/06  ELECTRONIC DEBIT REF# 533300050116618                                                           2,643.50   DB
                       ASO COLLEC GWLA ASO ISSUED CO ID: 9001267256
                        BSRS RESTRAINT SYSTEMS ID# 357307
                        REF:8188910116 12110825009100002428236299100627
                10/06  ELECTRONIC DEBIT REF# 533300050061816                                                           1,971.45   DB
                       GELCO GELCO PAYMNT SYS CO ID: 9411622701
                        BREED TECHNOLOGIES ID# 040788023231300
                        REF:8188910116 12110825009100001053376199100627
</TABLE>
<PAGE>

[LOGO OF Bank of America]                                     Corporate Deposit
                                                                       Statement
         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                         ACCOUNT NUMBER:    8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                           PAGE          8 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------------------
                                                        OTHER ELECTRONIC TRANSACTIONS
---------------------------------------------------------------------------------------------------------------------------------
        POST DATE              CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                     AMOUNT
        ---------              --------------------------------------                                                     ------
<S>                            <C>                                                                               <C>
           10/06               ELECTRONIC DEBIT                   REF# 533300050199704                                 1,640.11   DB
                               PAYROLL        BREED-MOMO USA I           CO ID: 122276711
                               BREED TECHNOLOGI                   ID# 122276-6198756*
                                REF:8188910116 12110825012110825619875699100627P
           10/07               ELECTRONIC DEBIT REF# 533300050489035                                                 288,052.35   DB
                               P/R TAXES CERIDIAN AKA CDC CO ID: 1411902914
                                BREED TECHNOLGIES INC ID# 00245-007007964
                                REF:8188910116 07100003904300009087515499100727
           10/07               ELECTRONIC DEBIT REF# 533300050489037                                                  72,365.11   DB
                               P/R TAXES CERIDIAN AKA CDC CO ID: 1411902914
                                BREED TECHNOLOGIES INC ID# 00245-037007966
                                REF:8188910116 07100003904300009087515699100727
           10/07               ELECTRONIC DEBIT REF# 533300050489041                                                  47,103.07   DB
                               P/R TAXES CERIDIAN AKA CDC CO ID: 1411902914
                                BREED TECHNOLGIES INC ID# 00245-187007970
                                REF:8188910116 07100003904300009087516099100727
           10/07               ELECTRONIC DEBIT REF# 600000000002278                                                  40,237.50   DB
                               ORG BREED TECHNOLOGIES INC FX TRANS REF 951417 CAD
                                58,634.08 RATE 1.457200000
           10/07               ELECTRONIC DEBIT REF# 533300050489040                                                  27,338.93   DB
                               P/R TAXES CERIDIAN AKA CDC CO ID: 1411902914
                                BREED TECHNOLGIES INC ID# 00245-177007969
                                REF:8188910116 07100003904300009087515999100727
           10/07               ELECTRONIC DEBIT REF# 533300050489036                                                  27,274.35   DB
                               P/R TAXES CERIDIAN AKA CDC CO ID: 1411902914
                                BREED TECHNOLOGIES INC ID# 00245-027007965
                                REF:8188910116 07100003904300009087515599100727
           10/07               ELECTRONIC DEBIT REF# 533300050489045                                                  23,748.05   DB
                               P/R TAXES CERIDIAN AKA CDC CO ID: 1411902914
                                UNITED STEERING SYSTEM ID# 96812-007009114
                                REF:8188910116 07100003904300009087629799100727
           10/07               ELECTRONIC DEBIT REF# 533300050489038                                                   5,290.59   DB
                               P/R TAXES CERIDIAN AKA CDC CO ID: 1411902914
                                BREED TECHNOLOGIES INC ID# 00245-057007967
                                REF:8188910116 07100003904300009087515799100727
           10/07               ELECTRONIC DEBIT REF# 533300050408229                                                   2,600.99   DB
                               GELCO GELCO PAYMNT SYS CO ID: 9411622701
                                BREED TECHNOLOGIES ID# 040788023262177
                                REF:8188910116 12110825009100001052596699100727
           10/07               ELECTRONIC DEBIT REF# 533300050408230                                                   1,169.02   DB
                               GELCO GELCO PAYMNT SYS CO ID: 9411622701
                                BREED TECH-SRS ID# 041035023262392
                                REF:8188910116 12110825009100001052623199100727
           10/07               ELECTRONIC DEBIT REF# 533300050474065                                                     909.36   DB
                               PR TAXES BNF CTS CO ID: 1411902914
                                BSRS RESTRAINT SYSTEM ID# B5785-007004419
                                REF: 81889 10116 07100003912110825301466899100727
           10/07               ELECTRONIC DEBIT REF# 533300050489039                                                     868.36   DB
                               P/R TAXES CERIDIAN AKA CDC CO ID: 1411902914
                                BREED TECHNOLOGIES INC ID# 00245-067007968
                                REF:8188910116 07100003904300009087515899100727
           10/08               ELECTRONIC DEBIT REF# 600000000005900                                                 459,771.02   DB
                               ORG BREED TECHNOLOGIES INC FX TRANS REF 951431 DEM
                                   834,484.40 RATE 1.815000000
</TABLE>
<PAGE>

[LOGO OF Bank of America]                                     Corporate Deposit
                                                                       Statement
        CDA USCG ILLINOIS NORTH #8188
        231 LA SALLE                    ACCOUNT NUMBER: 8188-9-10116
        CHICAGO IL 60697

        PHONE NUMBER 800-262-2726

        1029991010
                                                                    PAGE 9 OF 82
<TABLE>
<CAPTION>
       -------------------------------------------------------------------------------------------------------------------------
                                                  OTHER ELECTRONIC TRANSACTIONS
       -------------------------------------------------------------------------------------------------------------------------
       POST DATE   CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                      AMOUNT
       ---------   --------------------------------------                                                      ------
<S>                <C>                                                                                         <C>

          10/08    ELECTRONIC DEBIT                          REF# 533300050998383                                  3,963.23   DB
                   GELCO      GELCO PAYMNT SYS       CO ID: 9411622701
                    BREED TECH-SRS           ID# 041035023283838
                    REF:8188910116    12110825009100001103354699100827
          10/08    ELECTRONIC DEBIT                          REF# 533300050998382                                  1,202.70   DB
                   GELCO      GELCO PAYMNT SYS       CO ID: 9411622701
                    BREED TECHNOLOGIES       ID# 040788023283721
                    REF:8188910116    12110825009100001103338099100827
          10/12    ELECTRONIC DEBIT                          REF# 600000000008094                              2,477,680.66   DB
                   ORG BREED TECHNOLOGIES INC FX TRANS REF 961562 MXN
                    23,314,975.00 RATE 9.410000000
          10/12    ELECTRONIC DEBIT                          REF# 533300051679391                                631,983.10   DB
                   PAYROLL    BTI MICHIGAN, IN       CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-5957984*
                    REF:8188910116    12110825012110825595798499101227P
          10/12    ELECTRONIC DEBIT                          REF# 533300051524402                                122,895.17   DB
                   USATAXPYMT EFTPS - CHICAGO        CO ID: 9999999999
                    BREED TECHNOLOGI         ID# 120928578276692
                    REF:8188910116    12110825007103620589320599101227
          10/12    ELECTRONIC DEBIT                          REF# 533300051686666                                 94,341.30   DB
                   PAYROLL    BREED TENNESSEE        CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-5960055*
                    REF:8188910116    12110825012110825596005599101227P
          10/12    ELECTRONIC DEBIT                          REF# 533300051369124                                 90,646.85   DB
                   PAYROLL    BREED TENNESSEE        CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-5960608*
                    REF:8188910116    12110825012110825596060899101227P
          10/12    ELECTRONIC DEBIT                          REF# 533300051400550                                 69,057.17   DB
                   PAYROLL    BREED ALABAMA, I       CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-5961407*
                    REF:8188910116    12110825012110825596140799101227P
          10/12    ELECTRONIC DEBIT                          REF# 533306051388150                                 51,112.02   DB
                   PAYROLL    BREED ARIZONA, I       CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-5961151*
                    REF:8188910116    12110825012110825596115199101227P
          10/12    ELECTRONIC DEBIT                          REF# 533300051645254                                 49,767.28   DB
                   PAYROLL    BREED AUTOMOTIVE       CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-5957286*
                    REF:8188910116    12110825012110825595728699101227P
          10/12    ELECTRONIC DEBIT                          REF# 533300051941951                                 24,141.11   DB
                   REG SALARY BREED TECH.            CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-1279100*
                    REF:8188910116    12110825012110825127910099101227P
          10/12    ELECTRONIC DEBIT                          REF# 533300051658892                                 19,782.22   DB
                   PAYROLL    BTI MICHIGAN, IN       CO ID: 1222767118
                    BREED TECHNOLDOI         ID# 122276-5957594*
                    REF:8188910116    12110825012110825595759499101227P
          10/12    ELECTRONIC DEBIT                          REF# 533300051634924                                 17,082.32   DB
                   PAYROLL    BREED AUTOMOTIVE       CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-5957205*
                    REF:8188910116    12110825012110825595720599101227P
          10/12    ELECTRONIC DEBIT                          REF# 533300051936206                                 14,865.06   DB
                   REG SALARY BREED TECH.            CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-1278146*
                    REF:8188910116    12110825012110825127814699101227P
</TABLE>
<PAGE>

[LOGO OF Bank of America]                                     Corporate Deposit
                                                                       Statement
        CDA USCG ILLINOIS NORTH #8188
        231 LA SALLE                    ACCOUNT NUMBER: 8188-9-10116
        CHICAGO IL 60697

        PHONE NUMBER 800-262-2726

        1029991010

                                                                   PAGE 10 OF 82
<TABLE>
<CAPTION>
        ----------------------------------------------------------------------------------------------------------------------------
                                                  OTHER ELECTRONIC TRANSACTIONS
       -------------------------------------------------------------------------------------------------------------------------
       POST DATE   CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                      AMOUNT
       ---------   --------------------------------------                                                      ------
<S>                <C>                                                                                         <C>

          10/12    ELECTRONIC DEBIT                          REF# 533300051936795                                  5,646.24   DB
                   REG SALARY BREED TECH.            CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-1278784*
                    REF:8188910116    12110825012110825127878499101227P
          10/12    ELECTRONIC DEBIT                          REF# 533300051409777                                  3,345.05   DB
                   PAYROLL    BREED ARIZONA, I       CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-5961764*
                    REF:8188910116    12110825012110825596176499101227P
          10/12    ELECTRONIC DEBIT                          REF# 533300051517267                                    601.52   DB
                   GELCO      GELCO PAYMNT SYS       CO ID: 9411622701
                    BREED TECHNOLOGIES       ID# 040788023299165
                    REF:8188910116    12110825009100001033331699101227
          10/12    ELECTRONIC DEBIT                          REF# 533300051517268                                    402.54   DB
                   GELCO      GELCO PAYMNT SYS       CO ID: 9411622701
                    BREED TECH-SRS           ID# 041035023299253
                    REF:8188910116    12110825009100001033344299101227
          10/13    ELECTRONIC DEBIT                          REF# 533300052451102                              1,760,000.00   DB
                   NATIONS FD NATIONS FUNDS          CO ID: 3043083407
                    BREED TECHNOLOGIES INC   ID# 0232-0003473345
                    REF:8188910116    12110825012110825815338999101327
          10/13    ELECTRONIC DEBIT                          REF# 533300052402803                                610,468.79   DB
                   ASO COLLEC GWLA ASO ISSUED        CO ID: 9001267256
                    BREED TECHNOLOGIES       ID# 357008
                    REF:8188910116    12110825009100002731567599101327
          10/13    ELECTRONIC DEBIT                          REF# 533300052402805                                 98,810.80   DB
                   ASO COLLEC GWLA ASO ISSUED        CO ID: 9001267256
                    BREED TECHNOLOGIES       ID# 53945
                    REF:8188910116    12110825009100002731608699101327
          10/13    ELECTRONIC DEBIT                          REF# 600000000004321                                 62,985.00   DB
                   ORG BREED  TECHNOLOGIES INC FX TRANS REF 961884 GBP
                    38,000.00 RATE 1.657500000
          10/13    ELECTRONIC DEBIT                          REF# 533300052474124                                 19,181.49   DB
                   PAYROLL    BREED TECHNOLOGI       CO ID: 1222767118
                    BREED TECHNOLOGI         ID# 122276-2303792*
                    REF:8188910116   12110825012110825230379299101327P
          10/13    ELECTRONIC DEBIT                          REF# 533300052402806                                 13,139.61   DB
                   ASO COLLEC GWLA ASO ISSUED        CO ID: 9001267256
                    HAMLIN INC.              ID# 54066
                    REF:8188910116    121108250091000027316 13799101327
          10/13    ELECTRONIC DEBIT                          REF# 533300052402804                                  8,863.71   DB
                   ASO COLLEC GWLA ASO ISSUED        CO ID: 9001267256
                    BSRS RESTRAINT SYSTEMS   ID# 357307
                    REF:8188910116    12110825009100002731581099101327
          10/13    ELECTRONIC DEBIT                          REF# 533300052402807                                  3,609.49   DB
                   ASO COLLEC GWLA ASO ISSUED        CO ID: 9001267256
                    UNITED STEERING SYSTEM   ID# 54076
                    REF:8188910116    12110825009100002731614299101327
          10/13    ELECTRONIC DEBIT                          REF# 533300052138044                                  2,270.23   DB
                   GELCO      GELCO PAYMNT SYS       CO ID: 9411622701
                    BREED TECH-SRS           ID# 041035023317989
                    REF:8188910116    12110825009100001015805699101327
          10/13    ELECTRONIC DEBIT                          REF# 533300052138043                                  1,215.21   DB
                   GELCO      GELCO PAYMNT SYS       CO ID: 9411622701
                    BREED TECHNOLOGIES       ID# 040788023317891
                    REF:8188910116    12110825009100001015789299101327
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement

         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                 ACCOUNT NUMBER: 8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                                   PAGE 11 OF 82

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                   OTHER ELECTRONIC TRANSACTIONS
------------------------------------------------------------------------------------------------------------------------------------
        POST DATE      CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                                AMOUNT
        ---------      --------------------------------------                                                                ------
<S>                    <C>                                                                                       <C>
           10/14       ELECTRONIC DEBIT                     REF# 533300052938100                                       530,000.00 DB
                       NATIONS FD NATIONS FUNDS         CO ID: 3043083407
                         BREED TECHNOLOGIES INC      ID# 0232-0003473345
                         REF:8188910116         12110825012110825004064799101427
           10/14       ELECTRONIC DEBIT                     REF# 533300052614453                                         5,255.37 DB
                       GELCO GELCO PAYMNT SYS           CO ID: 9411622701
                         BREED TECHNOLOGIES          ID# 040788023367299
                         REF:8188910116         12110825009100001039759799101427
           10/14       ELECTRONIC DEBIT                     REF# 533300052614454                                         2,551.65 DB
                       GELCO GELCO PAYMNT SYS           CO ID: 9411622701
                         BREED TECH--SRS             ID# 041035023367673
                         REF:8188910116         12110825009100001039800599101427
           10/15       ELECTRONIC DEBIT                     REF# 600000000002118                                        25,499.04 DB
                       ORG BREED TECHNOLOGIES INC FX TRANS REF 967415 DEM
                         46,229.76 RATE          1.813000000
           10/15       ELECTRONIC DEBIT                     REF# 600000000006588                                        19,938.67 DB
                       ORG BREED TECHNOLOGIES INC FX TRANS REF 967427 DEM
                         36,148.80 RATE          1.813000000
           10/15       ELECTRONIC DEBIT                     REF# 533300053740478                                         2,505.58 DB
                       GELCO GELCO PAYMNT SYS           CO ID: 9411622701
                         BREED TECH--SRS             ID# 041035023396044
                         REF:8188910116          12110825009100001157365599101527
           10/15       ELECTRONIC DEBIT                     REF# 533300053740477                                           402.11 DB
                       GELCO GELCO PAYMNT SYS           CO ID: 9411622701
                         BREED TECHNOLOGIES          ID# 040788023395958
                         REF: 8188910116         12110825009100001157351099101527
           10/18       ELECTRONIC DEBIT                     REF# 533300054738210                                     6,270,000.00 DB
                       NATIONS FD NATIONS FUNDS         CO ID: 3043083407
                         BREED TECHNOLOGIES INC      ID# 0232-0003473345
                         REF:8188910116          12110825012110825133674499101827
           10/18       ELECTRONIC DEBIT                     REF# 600000000003446                                     1,471,710.40 DB
                       ORG BREED TECHNOLOGIES INC FX TRANS REF 972056 GBP
                         887,000.00 RATE         1.659200000
           10/18       ELECTRONIC DEBIT                     REF# 533300054681701                                       117,267.78 DB
                       USATAXPYMT EFTPS - CHICAGO       CO ID: 9999999999
                         BREED TECHNOLOGI            ID# 120929178980637
                         REF:8188910116          12110825007103620876014799101827
           10/18       ELECTRONIC DEBIT                     REF# 533300054398382                                         3,818.18 DB
                       GELCO GELCO PAYMNT SYS           CO ID: 9411622701
                         BREED TECHNOLOGIES          ID# 040788023410070
                         REF: 8188910116         12110825009100001027459299101827
           10/18       ELECTRONIC DEBIT                     REF# 533300054398383                                         1,512.34 DB
                       GELCO GELCO PAYMNT SYS           CO ID: 9411622701
                         BREED TECH-SRS              ID# 041035023410168
                         REF:8188910116          12110825009100001027472099101827
           10/19       ELECTRONIC DEBIT                     REF# 600000000003258                                     1,407,757.91 DB
                       ORG BREED TECHNOLOGIES INC FX TRANS REF 979868 MXN
                         13,613,019.00 RATE 9.670000000
           10/19       ELECTRONIC DEBIT                     REF# 533300054886430                                      136,005.67 DB
                       ASO COLLEC GWLA ASO ISSUED       CO ID: 9001267256
                         BREED TECHNOLOGIES          ID# 357008
                         REF:8188910116          12110825009100002278801999101927
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement
         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                 ACCOUNT NUMBER: 8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                                   PAGE 12 OF 82


<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                   OTHER ELECTRONIC TRANSACTIONS
------------------------------------------------------------------------------------------------------------------------------------
        POST DATE      CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                                AMOUNT
        ---------      --------------------------------------                                                                ------
<S>                    <C>                                                                                       <C>
           10/19       ELECTRONIC DEBIT                     REF# 533300054886432                                        60,377.62 DB
                       ASO COLLEC GWLA ASO ISSUED       CO ID: 9001267256
                         BREED TECHNOLOGIES          ID# 53945
                         REF:8188910116         12110825009100002278852899101927
           10/19       ELECTRONIC DEBIT                     REF# 533300054886433                                        28,407.27 DB
                       ASO COLLEC GWLA ASO ISSUED       CO ID: 9001267256
                         HAMLIN INC                  ID# 54066
                         REF:8188910116         12110825009100002278858499101927
           10/19       ELECTRONIC DEBIT                     REF# 533300055129284                                        22,819.16 DB
                       REG SALARY BREED TECH.           CO ID: 1222767118
                         BREED TECHNOLOGI            ID# 122276-5080672*
                         REF:8188910116         12110825012110825508067299101927P
           10/19       ELECTRONIC DEBIT                     REF# 533300054886434                                        21,114.13 DB
                       ASO COLLEC GWLA ASO ISSUED       CO ID: 9001267256
                         UNITED STEERING SYSTEM      ID# 54076
                         REF:8188910116         12110825009100002278858999101927
           10/19       ELECTRONIC DEBIT                     REF# 533300055139132                                        15,280.06 DB
                       REG SALARY BREED TECH.           CO ID: 1222767118
                         BREED TECHNOLOGI            ID# 122276-5079701*
                         REF:8188910116         12110825012110825507970199101927P
           10/19       ELECTRONIC DEBIT                     REF# 533300055139339                                         5,596.87 DB
                       REG SALARY BREED TECH.           CO ID: 1222767118
                         BREED TECHNOLOGI            ID# 122276-5080341*
                         REF: 8188910116        12110825012110825508034199101927P
           10/19       ELECTRONIC DEBIT                     REF# 533300054886431                                         4,033.46 DB
                       ASO COLLEC GWLA ASO ISSUED       CO ID: 9001267256
                         BSRS RESTRAINT SYSTEMS      ID# 357307
                         REF:8188910116         12110825009100002278818099101927
           10/19       ELECTRONIC DEBIT                     REF# 533300054843393                                           655.33 DB
                       GELCO GELCO PAYMNT SYS           CO ID: 9411622701
                         BREED TECHNOLOGIES          ID# 040788023441521
                         REF:8188910116         12110825009100001020294099101927
           10/19       ELECTRONIC DEBIT                     REF# 533300054843394                                           599.31 DB
                       GELCO GELCO PAYMNT SYS           CO ID: 9411622701
                         BREED TECH-SRS              ID# 041035023441592
                         REF:8188910116         12110825009100001020304399101927
           10/20       ELECTRONIC DEBIT                     REF# 533300055661232                                       495,411.71 DB
                       PAYROLL BREED TECHNOLOGI         CO ID: 1222767118
                         BREED TECHNOLOGI            ID# 122276-3468592*
                         REF:8188910116         12110825012110825346859299102027P
           10/20       ELECTRONIC DEBIT                     REF# 533300055662387                                       123,584.26 DB
                       PAYROLL BREED AUTOMOTIVE         CO ID: 1222767118
                         BREED TECHNOLOGI            ID# 122276-3471421*
                         REF: 8188910116        12110825012110825347142199102027P
           10/20       ELECTRONIC DEBIT                     REF# 533300055661416                                        57,962.69 DB
                       PAYROLL BREED AUTOMOTIVE         CO ID: 1222767118
                         BREED TECHNOLOGI            ID# 122276-3470669*
                         REF: 8188910116        12110825012110825347066999102027P
           10/20       ELECTRONIC DEBIT                     REF# 533300055654834                                        56,893.28 DB
                       PAYROLL UNITED STEERING          CO ID: 1593405344
                         UNITED STEERING             ID# 159340-3464338*
                         REF:8188910116         12110825012110825346433899102027P
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement
         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                               ACCOUNT NUMBER: 8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010
                                                                   PAGE 13 OF 82

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                   OTHER ELECTRONIC TRANSACTIONS
------------------------------------------------------------------------------------------------------------------------------------
        POST DATE      CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                    AMOUNT
        ---------      --------------------------------------                                                    ------
<S>                    <C>                                                                                       <C>
           10/20       ELECTRONIC DEBIT                      REF# 533300055659186                                     32,479.61   DB
                       PAYROLL BREED TECHNOLOGI                 CO ID: 1222767118
                        BREED TECHNOLOGI                       ID# 122276-3466515*
                        REF: 8188910116         12110825012110825346651599102027P
           10/20       ELECTRONIC DEBIT                      REF# 533300055660416                                     20,186.61   DB
                       PAYROLL BREED TECHNOLOGI                 CO ID: 1222767118
                        BREED TECHNOLOGI                       ID# 122276-3466970*
                        REF:8188910116          12110825012110825346697099102027P
           10/20       ELECTRONIC DEBIT                      REF# 533300055648350                                      7,788.81   DB
                       PAYROLL BREED-MOWEST, IN                 CO ID: 1222767118
                        BREED TECHNOLOGI                       ID# 122276-3473363*
                        REF:8188910116          12110825012110825347336399102027P
           10/20       ELECTRONIC DEBIT                      REF# 533300055486496                                      5,914.08   DB
                       GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
                        BREED TECHNOLOGIES                    ID# 040788023482574
                        REF:8188910116           12110825009100001062019999102027
           10/20       ELECTRONIC DEBIT                      REF# 533300055662752                                      1,422.20   DB
                       PAYROLL BREED-MOMO USA I                 CO ID: 1222767118
                        BREED TECHNOLOGI                       ID# 122276-3473334*
                        REF:8188910116         121108250121 10825347333499102027P
           10/20       ELECTRONIC DEBIT                      REF# 533300055486497                                        631.34   DB
                       GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
                        BREED TECH-SRS                        ID# 041035023482806
                        REF:8188910116           12110825009100001062048399102027
           10/20       ELECTRONIC DEBIT                      REF# 533300055318153                                        288.66   DB
                       EDI REVS FLA DEPT REVENUE                CO ID: 1596001874
                        BREED AUTOMOTIVE                         ID# 630008104924
                        REF:8188910116           12110825006300004771812899102027
           10/21       ELECTRONIC DEBIT                      REF# 533300055827256                                     84,628.29   DB
                       GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
                        BREED TECH-SRS                        ID# 012853023491443
                        REF:8188910116           12110825009100001046143199102127
           10/21       ELECTRONIC DEBIT                      REF# 533300055827255                                     69,535.66   DB
                       GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
                        BREED TECHNOLOGIES                    ID# 012853023491217
                        REF: 8188910116          12110825009100001046142999102127
           10/21       ELECTRONIC DEBIT                      REF# 533300055701162                                     29,715.43   DB
                       P/R TAXES CERIDIAN AKA CDC               CO ID: 1411902914
                        UNITED STEERING SYSTEM                ID# 96812-007063117
                        REF:8188910116           07100003904300009073733499102127
           10/21       ELECTRONIC DEBIT                      REF# 600000000002016                                     19,226.88   DB
                       ORG BREED TECHNOLOGIES INC FX TRANS REF 984222 DEM
                        34,752.58 RATE 1.807500000
           10/21       ELECTRONIC DEBIT                      REF# 533300055827253                                      7,887.80   DB
                       GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
                        BREED TECHNOLOGIES                    ID# 040788023511258
                        REF:8188910116           12110825009100001045626199102127
           10/21       ELECTRONIC DEBIT                      REF# 533300055827254                                      2,593.70   DB
                       GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
                        BREED TECH-SRS                        ID# 041035023511436
                        REF:8188910116           12110825009100001045649299102127
           10/22       ELECTRONIC DEBIT                      REF# 533300056667534                                  2,760,000.00   DB
                       NATIONS FD NATIONS FUNDS                 CO ID: 3043083407
                        BREED TECHNOLOGIES INC                ID# 0232-0003473345
                        REF:8188910116           12110825012110825112350199102227
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement
         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                               ACCOUNT NUMBER: 8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                                   PAGE 14 OF 82


<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                   OTHER ELECTRONIC TRANSACTIONS
------------------------------------------------------------------------------------------------------------------------------------
        POST DATE      CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                    AMOUNT
        ---------      --------------------------------------                                                    ------
<S>                    <C>                                                                                       <C>
           10/22       ELECTRONIC DEBIT                          REF# 533300056265166                                  1,749.61   DB
                       GELCO GELCO PAYMNT SYS                    CO ID: 9411622701
                        BREED TECHNOLOGIES                ID# 040788023536298
                        REF:8188910116         12110825009100001107099799102227
           10/22       ELECTRONIC DEBIT                          REF# 533300056265167                                    194.60   DB
                       GELCO GELCO PAYMNT SYS                    CO ID: 9411622701
                        BREED TECH-SRS                    ID# 041035023536435
                        REF:8188910116         12110825009100001107118699102227
           10/25       ELECTRONIC DEBIT                          REF# 533300056852456                                109,005.20   DB
                       USATAXPYMT EFTPS - CHICAGO                CO ID: 9999999999
                        BREED TECHNOLOGI                  ID# 120929879728373
                        REF:8188910116         12110825007103620186816499102527
           10/25       ELECTRONIC DEBIT                          REF# 533300056734188                                    773.07   DB
                       GELCO GELCO PAYMNT SYS                    CO ID: 9411622701
                        BREED TECHNOLOGIES                ID# 040788023558052
                        REF:8188910116         12110825009100001029675399102527
           10/25       ELECTRONIC DEBIT                          REF# 533300056734189                                    210.54   DB
                       GELCO GELCO PAYMNT SYS                    CO ID: 9411622701
                        BREED TECH-SRS                    ID# 041035023558147
                        REF:8188910116         12110825009100001029689399102527
           10/26       ELECTRONIC DEBIT                          REF# 600000000004905                              1,550,352.41   DB
                       ORG BREED TECHNOLOGIES INC FX TRANS REF 998239 MXN
                        14,887,259.00 RATE 9.602500000
           10/26       ELECTRONIC DEBIT                          REF# 600000000005961                                914,709.75   DB
                       ORG BREED TECHNOLOGIES INC FX TRANS REF 999601 DEM
                        1,666,601.16 RATE 1.822000000
           10/26       ELECTRONIC DEBIT                          REF# 533300057316772                                118,898.73   DB
                       PAYROLL BTI MICHIGAN, IN                  CO ID: 1222767118
                        BREED TECHNOLOGI                  ID# 122276-4131812*
                        REF: 8188910116        12110825012110825413181299102627P
           10/26       ELECTRONIC DEBIT                          REF# 533300057190358                                100,918.09   DB
                       ASO COLLEC GWLA ASO ISSUED                CO ID: 9001267256
                        BREED TECHNOLOGIES                ID# 357008
                        REF:8188910116         12110825009100002610579199102627
           10/26       ELECTRONIC DEBIT                          REF# 533300057190360                                 60,279.34   DB
                       ASO COLLEC GWLA ASO ISSUED                CO ID: 9001267256
                        BREED TECHNOLOGIES                ID# 53945
                        REF:8188910116         12110825009100002610620199102627
           10/26       ELECTRONIC DEBIT                          REF# 533300057454731                                 26,985.32   DB
                       REG SALARY BREED TECH.                    CO ID: 1222767118
                        BREED TECHNOLOGI                  ID# 122276-0768205*
                        REF:8188910116         12110825012110825076820599102627P
           10/26       ELECTRONIC DEBIT                          REF# 533300057190361                                 21,230.32   DB
                       ASO COLLEC GWLA ASO ISSUED                CO ID: 9001267256
                        HAMLIN INC.                       ID# 54066
                        REF:8188910116         12110825009100002610625099102627
           10/26       ELECTRONIC DEBIT                          REF# 533300057453289                                 18,712.58   DB
                       REG SALARY BREED TECH.                    CO ID: 1222767118
                        BREED TECHNOLOGI                  ID# 122276-0764583*
                        REF:8188910116         12110825012110825076458399102627P
           10/26       ELECTRONIC DEBIT                          REF# 533300057190362                                 10,420.47   DB
                       ASO COLLEC GWLA ASO ISSUED                CO ID: 9001267256
                        UNITED STEERING SYSTEM            ID# 54076
                        REF:8188910116         12110825009100002610625599102627
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement
         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                               ACCOUNT NUMBER: 8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                                   PAGE 15 OF 82
<TABLE>
<CAPTION>
---------------------------------------------------------------------------------------------------------------
                                         OTHER ELECTRONIC TRANSACTIONS
---------------------------------------------------------------------------------------------------------------
POST DATE    CUSTOMER REFERENCE OR ITEM DESCRIPTION                                               AMOUNT
---------    --------------------------------------                                               ------
<S>          <C>                                                                                  <C>
  10/26      ELECTRONIC DEBIT                        REF# 533300057323025                          9,454.55  DB
             PAYROLL BREED TENNESSEE                    CO ID: 1222767118
              BREED TECHNOLOGI                         ID# 122276-4133128*
              REF:8188910116            12110825012110825413312899102627P
  10/26      ELECTRONIC DEBIT                        REF# 533300057190359                          7,540.99  DB
             ASO COLLEC GWLA ASO ISSUED                 CO ID: 9001267256
              BSRS RESTRAINT SYSTEMS                           ID# 357307
              REF:8188910116             12110825009100002610592799102627
  10/26      ELECTRONIC DEBIT                        REF# 600000000002356                          7,029.98  DB
             ORG BREED TECHNOLOGIES INC FX TRANS REF 999604 DEM
              12,808.63 RATE 1.822000000
  10/26      ELECTRONIC DEBIT                        REF# 533300057454222                          5,844.80  DB
             REG SALARY BREED TECH.                     CO ID: 1222767118
              BREED TECHNOLOGI                         ID# 122276-0767882*
              REF:8188910116            12110825012110825076788299102627P
  10/26      ELECTRONIC DEBIT                        REF# 533300057327988                          5,522.44  DB
             PAYROLL BREED TENNESSEE                    CO ID: 1222767118
              BREED TECHNOLOGI                         ID# 122276-4133289*
              REF:8188910116            12110825012110825413328999102627P
  10/26      ELECTRONIC DEBIT                        REF# 533300057362473                          4,076.31  DB
             PAYROLL BREED ARIZONA, I                   CO ID: 1222767118
              BREED TECHNOLOGI                         ID# 122276-4133497*
              REF:8188910116            12110825012110825413349799102627P
  10/26      ELECTRONIC DEBIT                        REF# 533300057308731                          3,887.66  DB
             PAYROLL BREED AUTOMOTIVE                   CO ID: 1222767118
              BREED TECHNOLOGI                         ID# 122276-4131611*
              REF:8188910116            12110825012110825413161199102627P
  10/26      ELECTRONIC DEBIT                        REF# 533300057299725                          3,340.61  DB
             PAYROLL BREED AUTOMOTIVE                   CO ID: 1222767118
              BREED TECHNOLOGI                         ID# 122276-4131583*
              REF:8188910116            12110825012110825413158399102627P
  10/26      ELECTRONIC DEBIT                        REF# 533300057352753                          2,236.29  DB
             PAYROLL BREED ALABAMA, I                   CO ID: 1222767118
              BREED TECHNOLOGI                         ID# 122276-4133450*
              REF:8188910116            12110825012110825413345099102627P
  10/26      ELECTRONIC DEBIT                        REF# 533300057263659                          2,211.34  DB
             GELCO GELCO PAYMNT SYS                     CO ID: 9411622701
              BREED TECH-SRS                          ID# 041035023572521
              REF:8188910116             12110825009100001017396699102627
  10/26      ELECTRONIC DEBIT                        REF# 533300057333576                          2,068.54  DB
             PAYROLL BREED ARIZONA, I                   CO ID: 1222767118
              BREED TECHNOLOGI                         ID# 122276-4133395*
              REF:8188910116            12110825012110825413339599102627P
  10/26      ELECTRONIC DEBIT                        REF# 533300057263658                            762.26  DB
             GELCO GELCO PAYMNT SYS                     CO ID: 9411622701
              BREED TECHNOLOGIES                      ID# 040788023572429
              REF:8188910116             12110825009100001017386899102627
  10/26      ELECTRONIC DEBIT                        REF# 600000000005786                             25.38  DB
             ORG BREED TECHNOLOGIES INC FX TRANS REF 998243 GBP
              15.25 RATE 1.664000000
  10/27      ELECTRONIC DEBIT                        REF# 533300057864343                         21,632.24  DB
             PAYROLL BREED TECHNOLOGI                   CO ID: 1222767118
              BREED TECHNOLOGI                         ID# 122276-2329250*
              REF:8188910116            12110825012110825232925099102727P
</TABLE>
<PAGE>


Bank of America                                                Corporate Deposit
                                                                       Statement
         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                              ACCOUNT NUMBER: 8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                                   PAGE 16 OF 82
<TABLE>
<CAPTION>
-----------------------------------------------------------------------------------------------------------------------------------
                                      OTHER ELECTRONIC TRANSACTIONS
-----------------------------------------------------------------------------------------------------------------------------------
POST DATE        CUSTOMER REFERENCE OR ITEM DESCRIPTION                                    AMOUNT
---------    ------------------------------------------------                              ------
<S>          <C>                                                                     <C>
  10/27      ELECTRONIC DEBIT                      REF# 533300057648497                   2,334.22   DB
             GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
              BREED TECH-SRS                        ID# 041035023604093
              REF:8188910116           12110825009100001017391499102727
  10/27      ELECTRONIC DEBIT                      REF# 533300057648496                   1,903.78   DB
             GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
              BREED TECHNOLOGIES                    ID# 040788023603871
              REF:8188910116           12110825009100001017364499102727
  10/28      ELECTRONIC DEBIT                      REF# 600000000006564                 160,022.75   DB
             ORG BREED TECHNOLOGIES INC FX TRANS REF 401353 FRF
              984,940.00 RATE 6.155000000
  10/28      ELECTRONIC DEBIT                      REF# 600000000005649                 140,887.50   DB
             ORG BREED TECHNOLOGIES INC FX TRANS REF 406351 GBP
              85,000.00 RATE 1.657500000
  10/28      ELECTRONIC DEBIT                      REF# 533300058249628                   2,304.27   DB
             GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
              BREED TECHNOLOGIES                    ID# 040788023631435
              REF:8188910116           12110825009100001044848199102827
  10/28      ELECTRONIC DEBIT                      REF# 533300058249629                   1,579.54   DB
             GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
              BREED TECH-SRS                        ID# 041035023631613
              REF:8188910116           12110825009100001044869699102827
  10/29      ELECTRONIC DEBIT                      REF# 533300059134147                   3,847.92   DB
             GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
              BREED TECHNOLOGIES                    ID# 040788023650830
              REF:8188910116           12110825009100001188897199102927
  10/29      ELECTRONIC DEBIT                      REF# 600000000002895                   2,291.11   DB
             ORG BREED TECHNOLOGIES INC FX TRANS REF 407353 DEM
              4,250.00 RATE 1.855000000
  10/29      ELECTRONIC DEBIT                      REF# 533300059134148                     821.21   DB
             GELCO GELCO PAYMNT SYS                   CO ID: 9411622701
              BREED TECH-SRS                        ID# 041035023650964
              REF:8188910116           12110825009100001188915599102927

                                                      TOTAL DEBITS                   42,988,502.36
---------------------------------------------------------------------------------------------------------------------------------
                                                      ELECTRONIC WIRE TRANSFER SUMMARY
---------------------------------------------------------------------------------------------------------------------------------
POST DATE    CUSTOMER REFERENCE OR ITEM DESCRIPTION                                          AMOUNT
---------    --------------------------------------                                          ------
<S>          <C>                                                                     <C>
  10/01      WIRE TRANSFER CREDIT REF# 641200000074250                                      632.00 CR
             MONEY TRANSFER--ILLINOIS TRN: 991001-002874 SENDER
             REF: 0958027924990929 SRC: FEDWIRE BENF: BREED
             ELECTRONICS LIMITED ORIG: XEROX MANUFACTURING
  10/04      WIRE TRANSFER CREDIT REF# 385300000000088                                   40,982.96 CR
             INTL MONEY TFR--CALIF TRN: 991004-000056 SENDER
             REF: 991004000484 SRC: MTF SF0 BENF: BREED
             TECHNOLOGIES INC. ORIG: /0096000011
  10/04      WIRE TRANSFER CREDIT REF# 641200000068454                                   34,495.60 CR
             MONEY TRANSFER--ILLINOIS TRN: 991004-039345 SENDER
             REF: 991004020538 SRC: FEDWIRE BENF: BREED
             AUTOMOTIVE OF FLORIDA INC. ORIG: FIAT AUTOMOVEIS
             S/A

-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>


Bank of America                                                Corporate Deposit
                                                                       Statement
         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                             ACCOUNT NUMBER: 8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                                  PAGE  17 OF 82

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                      ELECTRONIC WIRE TRANSFER SUMMARY
------------------------------------------------------------------------------------------------------------------------------------
        POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                  AMOUNT
        ---------                --------------------------------------                                  ------
        <S>                    <C>                                                               <C>
          10/04                WIRE TRANSFER CREDIT REF# 641200000068082                             15,000.00   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991004-034826 SENDER
                               REF: NO REF SRC: INVESTIGATE BENF: RECREDITING YR
                               ACCT REF WT029845 ORIG: BANC/MONEY TRANSFER
                               OPS-HOLDOVER AC
          10/05                WIRE TRANSFER CREDIT REF# 641200000065662                             23,942.56   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991005-029295 SENDER
                               REF: 0937600278J0 SRC: FEDWIRE BENF: BREED
                               TECHNOLOGIES INC. ORIG: SIEMENS AUTOMOTIVE
          10/05                WIRE TRANSFER CREDIT REF# 641200000061978                             16,065.00   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991005-010450 SENDER
                               REF: 199910051116345M SRC: FEDWIRE BENF: CUSTOM
                               TRIM LTD ORIG: RESEND WIRE DTD 10-04-99
          10/05                WIRE TRANSFER CREDIT REF# 641200000059766                             16,000.00   CR
                               INTL MONEY TFR--ILLINOIS TRN: 991005-001755 SENDER
                               REF: 991005016789 SRC: MTF NYK BENF: BREED
                               TECHNOLOGIES INC. ORIG: ISUZU MOTORS LIMITED
          10/06                WIRE TRANSFER CREDIT REF# 641200000057830                             80,282.11   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991006-010671 SENDER
                               REF: 2985201279GU SRC: FEDWIRE BENF: BREED
                               TECHNOLOGIES INC. ORIG: CB TRADE SERVICES LETTER
                               OF CREDIT
          10/06                WIRE TRANSFER CREDIT REF# 641200000062772                              9,986.64   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991006-036936 SENDER
                               REF: G0092782380801 SRC: FEDWIRE BENF: HAMLIN
                               BREED ELECTRONICS LIMITED ORIG: XEROX MEXICANA SA
                               DE CV
          10/08                WIRE TRANSFER CREDIT REF# 641200000062720                            900,000.00   CR
                               INTL MONEY TFR--ILLINOIS TRN: 991008-002712 SENDER
                               REF: 991007046778 SRC: MTF NYK BENF: BREED
                               TECHNOLOGIES INC. ORIG: HAMLIN ELECTRONICS EUROPE
                               LTD
          10/08                WIRE TRANSFER CREDIT REF# 641200000066742                             79,005.48   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991008-020079 SENDER
                               REF: 991008000952 SRC: FEDWIRE BENF: BREED
                               TECHNOLOGIES INC. ORIG: LOEB LOEB LLP
          10/12                WIRE TRANSFER CREDIT REF# 641200000080142                            114,743.18   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991012-004841 SENDER
                               REF: 0341200285F5 SRC: FEDWIRE BENF: BREED
                               TECHNOLOGIES INC. ORIG: SUZUKI MOTOR CORPORATION
          10/12                WIRE TRANSFER CREDIT REF# 641200000084604                            110,025.64   CR
                               INTL MONEY TFR--ILLINOIS TRN: 991012-023973 SENDER
                               REF: 991012085500 SRC: MTF NYK BENF: BREED
                               TECHNOLOGIES INC. ORIG: CUSTOM TRIM
          10/12                WIRE TRANSFER CREDIT REF# 641200000080792                              7,535.00   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991012-007353 SENDER
                               REF: 1012387666002417 SRC: FEDWIRE BENF: BREED
                               ELECTRONICS LIMITED 612 EAST ORIG: TELSYS LTD
          10/12                WIRE TRANSFER CREDIT REF# 641200000080270                              6,675.44   CR
                               INTL MONEY TFR--ILLINOIS TRN: 991012-005444 SENDER
                               REF: 991012048807 SRC: MTF NYK BENF: BREED
                               TECHNOLOGIES INC. ORIG: LE CHAMP (SEA) PL , 205
                               HENDERSON

-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement
        CDA USCG ILLINOIS NORTH #8188
        231 LA SALLE                          ACCOUNT NUMBER:  8188-9-10116
        CHICAGO IL 60697

        PHONE NUMBER 800-262-2726

        1029991010
                                                                   PAGE 18 OF 82
<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                      ELECTRONIC WIRE TRANSFER SUMMARY
------------------------------------------------------------------------------------------------------------------------------------
        POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                  AMOUNT
        ---------                --------------------------------------                                  ------
        <S>                    <C>                                                               <C>
          10/12                WIRE TRANSFER CREDIT REF# 641200000086078                             3,977.52   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991012-028770 SENDER
                               REF: NO REF SRC: INVESTIGATE BENF: BREED
                               TECHNOLOGIES INC. ORIG: BANC/MONEY TRANSFER
                               OPS--HOLDOVER AC
          10/12                WIRE TRANSFER CREDIT REF# 641200000080172                             3,748.00   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991012-005050 SENDER
                               REF: 0338600285F5 SRC: FEDWIRE BENF: BREED
                               TECHNOLOGIES INC. ORIG: SUZUKI MOTOR CORPORATION
          10/12                WIRE TRANSFER CREDIT REF# 641200000080938                             2,000.00   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991012-008254 SENDER
                               REF: 1904000281FR SRC: FEDWIRE BENF: BREED
                               TECHNOLOGIES INC. ORIG: TRAVELEX UK PLC
          10/12                WIRE TRANSFER CREDIT REF# 641200000080174                             1,715.00   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991012-005056 SENDER
                               REF: 0339300285F5 SRC: FEDWIRE BENF: BREED
                               TECHNOLOGIES INC. ORIG: SUZUKI MOTOR CORPORATION
          10/13                WIRE TRANSFER CREDIT REF# 641200000062588                            16,067.08   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991013-014538 SENDER
                               REF: 2646001286GU SRC: FEDWIRE BENF: BREED
                               TECHNOLOGIES INC. ORIG: CB TRADE SERVICES LETTER
                               OF CREDIT
          10/13                WIRE TRANSFER CREDIT REF# 641200000067111                            14,254.50   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991013-039894 SENDER
                               REF: G0092853554701 SRC: FEDWIRE BENF: HAMLIN
                               BREED ELECTRONICS LIMITED ORIG: XEROX MEXICANA SA DE CV
          10/13                WIRE TRANSFER CREDIT REF# 641200000065047                             2,500.00   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991013-028268 SENDER
                               REF: 001903 SRC: FEDWIRE BENF: BREED TECHNOLOGIES
                               INC. ORIG: BREED TECHNOLOGIES INC
          10/14                WIRE TRANSFER CREDIT REF# 641200000067956                            36,689.45   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991014-037649 SENDER
                               REF: NYAD06410 SRC: FEDWIRE BENF: BREED
                               TECHNOLOGIES INC. ORIG: FED TRANSIT ACCOUNT
          10/14                WIRE TRANSFER CREDIT REF# 641200000059098                                30.40   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991014-003186 SENDER
                               REF: 2871534988400000 SRC: FEDWIRE BENF: BREED
                               ELECTRONICS LTD PARTNERSHIP ORIG: XEROX EGYPT
          10/15                WIRE TRANSFER CREDIT REF# 641200000067329                           278,710.58   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991015-002031 SENDER
                               REF: 9804100288J5 SRC: FEDWIRE BENF: BREED
                               TECHNOLOGIES INC. ORIG: SUZUKI MOTOR CORPORATION
          10/15                WIRE TRANSFER CREDIT REF# 385300000004053                           182,232.00   CR
                               INTL MONEY TFR--CALIF TRN: 991015-002120 SENDER
                               REF: 991015025077 SRC: MTF SF0 BENF: BREED
                               TECHNOLOGIES INC. ORIG: PROTON BHD
          10/15                WIRE TRANSFER CREDIT REF# 641200000071393                            69,800.00   CR
                               MONEY TRANSFER--ILLINOIS TRN: 991015-019175 SENDER
                               REF: 2725501288GU SRC: FEDWIRE BENF: BREED
                               TENNESSE HOLDINGS LAKELAND, ORIG: CB TRADE
                               SERVICES LETTER OF CREDIT


-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>


Bank of America                                                Corporate Deposit
                                                                       Statement
         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                               ACCOUNT NUMBER: 8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                                   PAGE 19 OF 82
<TABLE>
<CAPTION>
-------------------------------------------------------------------------------------------------------------------------
                          ELECTRONIC WIRE TRANSFER SUMMARY
-------------------------------------------------------------------------------------------------------------------------
POST DATE          CUSTOMER REFERENCE OR ITEM DESCRIPTION                              AMOUNT
----------   --------------------------------------------------                     ------------
<S>          <C>                                                                    <C>
  10/15      WIRE TRANSFER CREDIT REF# 641200000066845                                34,480.60   CR
             MONEY TRANSFER--ILLINOIS TRN: 991015-000025 SENDER
             REF: 991015001519 SRC: FEDWIRE BENF: BREED
             AUTOMOTIVE OF FLORIDA INC ORIG: FIAT AUTOMOVEIS SA
  10/15      WIRE TRANSFER CREDIT REF# 641200000068897                                20,000.00   CR
             MONEY TRANSFER--ILLINOIS TRN: 991015-008831 SENDER
             REF: 9910150010890275 SRC: FEDWIRE BENF: CUSTOM
             TRIM ORIG: REGAL PLASTICS
  10/15      WIRE TRANSFER CREDIT REF# 641200000075829                                 9,841.55   CR
             MONEY TRANSFER--ILLINOIS TRN: 991015-043836 SENDER
             REF: NO REF SRC: INVESTIGATE BENF: RETURNING WT
             OSN:1556 DTD 10-13-99 ORIG: BANC/MONEY TRANSFER
             OPS--HOLDOVER AC
  10/15      WIRE TRANSFER CREDIT REF# 641200000071459                                 7,475.80   CR
             MONEY TRANSFER--ILLINOIS TRN: 991015-019383 SENDER
             REF: 9808400288J5 SRC: FEDWIRE BENF: BREED
             TECHNOLOGIES INC. ORIG: SUZUKI MOTOR CORPORATION
  10/15      WIRE TRANSFER CREDIT REF# 641200000067753                                 7,247.60   CR
             INTL MONEY TFR--ILLINOIS TRN: 991015-000099 SENDER
             REF: 991013034858 SRC: MTF NYK BENF: BREED
             TECHNOLOGIES INC. ORIG: RAYTHEON MICROELECTRONICS ESPA A S
  10/15      WIRE TRANSFER CREDIT REF# 641200000072353                                 3,002.10   CR
             MONEY TRANSFER--ILLINOIS TRN: 991015-024560 SENDER
             REF: S0792885218301 SRC: FEDWIRE BENF: BREED
             TECHNOLOGIES USA ORIG: LEAR DO BRASIL LTDA
  10/15      WIRE TRANSFER CREDIT REF# 641200000067133                                   632.00   CR
             MONEY TRANSFER--ILLINOIS TRN: 991015-000992 SENDER
             REF: 0958090036991013 SRC: FEDWIRE BENF: BREED
             ELECTRONICS LIMITED ORIG: XEROX MANUFACTURING
  10/18      WIRE TRANSFER CREDIT REF# 641200000060600                                34,019.72   CR
             MONEY TRANSFER--ILLINOIS TRN: 991018-017392 SENDER
             REF: 2766701291GU SRC: FEDWIRE BENF: BREED
             TECHNOLOGIES INC. ORIG: CB TRADE SERVICES LETTER
             OF CREDIT
  10/18      WIRE TRANSFER CREDIT REF# 641200000056930                                 4,182.00   CR
             INTL MONEY TFR--ILLINOIS TRN: 991018-001768 SENDER
             REF: 991018023647 SRC: MTF NYK BENF: BREED
             TECHNOLOGIES INC. ORIG: HYUNDAI MOTOR COMPANY
  10/19      WIRE TRANSFER CREDIT REF# 641200000055030                                 4,835.16   CR
             INTL MONEY TFR--ILLINOIS TRN: 991019-000509 SENDER
             REF: 991018037462 SRC: MTF NYK BENF: BREED
             TECHNOLOGIES INC. ORIG: AGRITALIA SPA
  10/20      WIRE TRANSFER CREDIT REF# 641200000059436                             1,000,000.00   CR
             INTL MONEY TFR--ILLINOIS TRN: 991020-008322 SENDER
             REF: 991020047658 SRC: MTF NYK BENF: BREED
             TECHNOLOGIES INC. ORIG: HAMLIN ELECTRONICS EUROPE LTD
  10/20      WIRE TRANSFER CREDIT REF# 641200000062438                                 61,320.00  CR
             MONEY TRANSFER--ILLINOIS TRN: 991020-021203 SENDER
             REF: 2859601293GU SRC: FEDWIRE BENF: BREED
             TECHNOLOGIES INC. ORIG: CB TRADE SERVICES LETTER
             OF CREDIT
</TABLE>
<PAGE>

Bank of America
                                                               Corporate Deposit
                                                                       Statement
--------------------------------------------------------------------------------

CDA USCG ILLINOIS NORTH #8188
231 LA SALLE                                     ACCOUNT NUMBER:  8188-9-10116
CHICAGO IL 60697
PHONE NUMBER 800-262-2726

1029991010

                                                             PAGE   20 OF 82
<TABLE>
<CAPTION>
-----------------------------------------------------------------------------------------------------------------------------------
                                                 ELECTRONIC WIRE TRANSFER SUMMARY
-----------------------------------------------------------------------------------------------------------------------------------
POST DATE                  CUSTOMER REFERENCE OR ITEM DESCRIPTION                                AMOUNT
---------                  --------------------------------------                            ---------------
<S>           <C>                                                                            <C>
  10/20       WIRE TRANSFER CREDIT                              REF# 641200000063170           58,100.00  CR
              MONEY TRANSFER--ILLINOIS TRN: 991020-025248 SENDER
              REF: 2862601293GU SRC: FEDWIRE BENF: BREED
              TENNESSEE HOLDINGS LAKELAND, ORIG: CB TRADE
              SERVICES LETTER OF CREDIT
  10/20       WIRE TRANSFER CREDIT                              REF# 641200000064410            4,800.00  CR
              MONEY TRANSFER--ILLINOIS TRN: 991020-032594 SENDER
              REF: NO REF SRC: INVESTIGATE BENF: BREED
              TECHNOLOGIES INC. ORIG: BANC/MONEY TRANSFER
              OPS-HOLDOVER AC
  10/20       WIRE TRANSFER CREDIT                              REF# 641200000065146            4,070.42  CR
              MONEY TRANSFER--ILLINOIS TRN: 991020-038034 SENDER
              REF: G0092923127001 SRC: FEDWIRE BENF: HAMLIN
              BREED ELECTRONICS LIMITED ORIG: XEROX MEXICANA SA DE CV
  10/21       WIRE TRANSFER CREDIT                              REF# 641200000061542           29,162.40  CR
              MONEY TRANSFER--ILLINOIS TRN: 991021-030947 SENDER
              REF: 19991021153323LN SRC: FEDWIRE BENF: CUSTOM
              TRIM LTD ORIG: SPECTRUM INDUSTRIES INC.
  10/21       WIRE TRANSFER CREDIT                              REF# 641200000054968            7,080.56  CR
              MONEY TRANSFER--ILLINOIS TRN: 991021-004633 SENDER
              REF: 991020000443 SRC: FEDWIRE BENF: BREED
              TECHNOLOGIES INC. ORIG: MOMO SPA
  10/22       WIRE TRANSFER CREDIT                              REF# 641200000059000            8,382.00  CR
              INTL MONEY TFR--ILLINOIS TRN: 991022-001527 SENDER
              REF: 991022023026 SRC: MTF NYK BENF: BREED
              TECHNOLOGIES INC. ORIG: HYUDNAI HEAVY IND CO.LTD.
  10/22       WIRE TRANSFER CREDIT                              REF# 641200000065878            1,152.40  CR
              MONEY TRANSFER--ILLINOIS TRN: 991022-033799 SENDER
              REF: 19991022154037EP SRC: FEDWIRE BENF: CUSTOM
              TRIM LIMITED ORIG: SPECTRUM INDUSTRIES INC.
  10/25       WIRE TRANSFER CREDIT                              REF# 641200000067460          426,293.54  CR
              INTL MONEY TFR--ILLINOIS TRN: 991025-032212 SENDER
              REF: 991025069036 SRC: MTF NYK BENF: BREED
              TECHNOLOGIES INC. ORIG: TDBK5916
  10/25       WIRE TRANSFER CREDIT                              REF# 641200000061062          290,679.67  CR
              MONEY TRANSFER--ILLINOIS TRN: 991025-002682 SENDER
              REF: 7957300298J5 SRC: FEDWIRE BENF: BREED
              TECHNOLOGIES INC. ORIG: SUZUKI MOTOR CORPORATION
  10/25       WIRE TRANSFER CREDIT                              REF# 641200000062028          159,985.00  CR
              INTL MONEY TFR--ILLINOIS TRN: 991025-006554 SENDER
              REF: 991025037229 SRC: MTF NYK BENF: BREED
              TECHNOLOGIES INC. ORIG: HUI KA YAN AND WONG WAI
              LIN
  10/25       WIRE TRANSFER CREDIT                              REF# 385300000002538           63,868.15  CR
              INTL MONEY TFR--CALIF TRN: 991025-001030 SENDER
              REF: 991022066540 SRC: MTF SF0 BENF: BREED
              TECHNOLOGIES INC. ORIG: /0096000011
  10/25       WIRE TRANSFER CREDIT                              REF# 641200000060956            4,348.90  CR
              MONEY TRANSFER--ILLINOIS TRN: 991025-002122 SENDER
              REF: 7501100298J5 SRC: FEDWIRE BENF: BREED
              TECHNOLOGIES INC. ORIG: SUZUKI MOTOR CORPORATION
</TABLE>
<PAGE>

Bank of America
                                                               Corporate Deposit
                                                                       Statement
--------------------------------------------------------------------------------

CDA USCG ILLINOIS NORTH #8188
231 LA SALLE                                     ACCOUNT NUMBER:  8188-9-10116
CHICAGO IL 60697
PHONE NUMBER 800-262-2726

1029991010

                                                          PAGE   21 OF 82
<TABLE>
<CAPTION>
-----------------------------------------------------------------------------------------------------------------------------------
                                                 ELECTRONIC WIRE TRANSFER SUMMARY
-----------------------------------------------------------------------------------------------------------------------------------
POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                   AMOUNT
---------               --------------------------------------                               --------------
<S>           <C>                                                                            <C>
  10/25       WIRE TRANSFER CREDIT                              REF# 641200000061120           3,482.00  CR
              INTL MONEY TFR--ILLINOIS TRN: 991025-002953 SENDER
              REF: 991025025121 SRC: MTF NYK BENF: BREED
              TECHNOLOGIES INC. ORIG: HYUNDAI MOTOR CO LTD
  10/26       WIRE TRANSFER CREDIT                              REF# 641200000056472         191,553.00  CR
              INTL MONEY TFR--ILLINOIS TRN: 991026-001743 SENDER
              REF: 991026016325 SRC: MTF NYK BENF: BREED
              TECHNOLOGIES INC. ORIG: ISUZU MOTORS LIMITED
  10/26       WIRE TRANSFER CREDIT                              REF# 641200000057004          24,636.56  CR
              MONEY TRANSFER--ILLINOIS TRN: 991026-004798 SENDER
              REF: 991025000526 SRC: FEDWIRE BENF: BREED
              TECHNOLOGIES INC. ORIG: MOMO SPA
  10/27       WIRE TRANSFER CREDIT                              REF# 641200000067724          15,546.12  CR
              MONEY TRANSFER--ILLINOIS TRN: 991027-039378 SENDER
              REF: G0092993036601 SRC: FEDWIRE BENF: HAMLIN
              BREED ELECTRONICS LIMITED ORIG: XEROX MEXICANA SA DE CV
  10/27       WIRE TRANSFER CREDIT                              REF# 641200000063058           7,987.60  CR
              MONEY TRANSFER--ILLINOIS TRN: 991027-012650 SENDER
              REF: NO REF SRC: INVESTIGATE BENF: BREED
              TECHNOLOGIES INC. ORIG: BANC/MONEY TRANSFER
              OPS--HOLDOVER AC
  10/28       WIRE TRANSFER CREDIT                              REF# 641200000073864         262,997.33  CR
              INTL MONEY TFR--ILLINOIS TRN: 991028-037263 SENDER
              REF: 991028072276 SRC: MTF NYK BENF: BREED
              TECHNOLOGIES INC. ORIG: TDBK5916
  10/28       WIRE TRANSFER CREDIT                              REF# 641200000072034         128,300.00  CR
              MONEY TRANSFER--ILLINOIS TRN: 991028-028231 SENDER
              REF: 2602701301GU SRC: FEDWIRE BENF: BREED
              TENNESSEE HOLDINGS POB 33050 ORIG: CB TRADE
              SERVICES LETTER OF CREDIT
  10/29       WIRE TRANSFER CREDIT                              REF# 641200000088526       7,481,918.60  CR
              MONEY TRANSFER--ILLINOIS TRN: 991029-048803 SENDER
              REF: E1293020620401 SRC: FEDWIRE BENF: BREED
              TECHNOLOGIES INC. ORIG: DELPHI AUTOMOTIVE SYSTEMS
  10/29       WIRE TRANSFER CREDIT                              REF# 641200000078750         110,185.00  CR
              INTL MONEY TFR--ILLINOIS TRN: 991029-006246 SENDER
              REF: 991029037910 SRC: MTF NYK BENF: BREED
              TECHNOLOGIES INC. ORIG: HUI KA YAN AND WONG WAI LIN
  10/29       WIRE TRANSFER CREDIT                              REF# 641200000079096          30,303.36  CR
              MONEY TRANSFER--ILLINOIS TRN: 991029-007099 SENDER
              REF: 302IS60618600000 SRC: FEDWIRE BENF: BREED
              TECHNOLOGIES INC ORIG: JAGUAR
                                                                       TOTAL CREDITS      12,568,965.28

  10/01       WIRE TRANSFER DEBIT                               REF# 641200000076955         500,000.00  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-012393 SENDER
              REF: BOFAILBE250687N SRC: GMTS BENF: DJ PLASTICS
              ORIG: BREED TECHNOLOGIES, INC.
  10/01       WIRE TRANSFER DEBIT                               REF# 641200000080596         500,000.00  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-028535 SENDER
              REF: BOFAILBE251273R SRC: GMTS BENF: ATLANTIC
              RESEARCH ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Bank of America
                                                               Corporate Deposit
                                                                       Statement
--------------------------------------------------------------------------------
CDA USCG ILLINOIS NORTH #8188
231 LA SALLE                             ACCOUNT NUMBER:  8188-9-10116
CHICAGO IL 60697

PHONE NUMBER 800-262-2726

1029991010

                                                             PAGE  22 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------------------
                                                 ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------------------
POST DATE                  CUSTOMER REFERENCE OR ITEM DESCRIPTION                                 AMOUNT
---------                  --------------------------------------                            ----------------
<S>           <C>                                                                            <C>
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000080598           235,952.00  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-028541 SENDER
              REF: BOFAILBE251274N SRC: GMTS BENF: CUINBA ORIG:
              BREED TECHNOLOGIES, INC.
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000080870           232,334.49  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-028546 SENDER
              REF: BOFAILBE251275 SRC: GMTS BENF: OEA, INC.
              ORIG: BREED TECHNOLOGIES, INC.
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000045735           196,159.19  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-028601 SENDER
              REF: BOFAILINO12O34N SRC: GMTS BENF: PASUBIO SPA
              ORIG: BREED TECHNOLOGIES, INC.
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000080908           120,000.00  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-029834 SENDER
              REF: BOFAILBE251357N SRC: GMTS BENF: MAYCO
              PLASTICS ORIG: BREED TECHNOLOGIES, INC.
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000080910           120,000.00  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-029836 SENDER
              REF: BOFAILBE251358N SRC: GMTS BENF: KANTUS
              CORPORATION ORIG: BREED TECHNOLOGIES, INC.
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000080912           115,500.00  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-029841 SENDER
              REF: BOFAILBE251359N SRC: GMTS BENF: ROFIN SINAR
              ORIG: BREED TECHNOLOGIES, INC.
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000079608           100,000.00  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-023200 SENDER
              REF: BOFAILBE251O54N SRC: GMTS BENF: SECURITY
              PLASTICS ORIG: BREED TECHNOLOGIES, INC.
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000080922           100,000.00  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-029856 SENDER
              REF: BOFAILIN012038N SRC: GMTS BENF: PROGRESSIVE
              MOULDED PRODUCTS, LTD. ORIG: BREED TECHNOLOGIES, INC.
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000079610            51,266.77  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-023202 SENDER
              REF: BOFAILBE251055R SRC: GMTS BENF: ATLANTIC TOOL
              DIE ORIG: BREED TECHNOLOGIES, INC.
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000079622            38,478.75  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-023218 SENDER
              REF: BOFAILIN012021N SRC: GMTS BENF: SFS STADLER
              ORIG: BREED TECHNOLOGIES, INC.
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000080914            35,000.00  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-029843 SENDER
              REF: BOFAILBE251360N SRC: GMTS BENF: PLASTICOLORS,
              INC. ORIG: BREED TECHNOLOGIES, INC
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000079612            31,700.00  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-023206 SENDER
              REF: BOFAILBE251056N SRC: GMTS BENF: DAYTON STEEL
              SERVICE ORIG: BREED TECHNOLOGIES, INC.
   10/01      WIRE TRANSFER DEBIT                               REF# 641200000080602            30,326.40  DB
              MONEY TRANSFER--ILLINOIS TRN: 991001-028551 SENDER
              REF: BOFAILBE251276N SRC: GMTS BENF: JACKSON TUBE
              SERVICE ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Bank of America                                               Corporate Deposit
                                                                      Statement
         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                            ACCOUNT NUMBER:  8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                             PAGE       23 OF 82
<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                      ELECTRONIC WIRE TRANSFER SUMMARY
------------------------------------------------------------------------------------------------------------------------------------
         POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                  AMOUNT
         ---------     -------------------------------------------------------------------                   -----------------------
         <S>           <C>                                                                                   <C>
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000079614                             27,700.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-023208 SENDER
                       REF: BOFAILBE251057N SRC: GMTS              BENF: EATON CORPORATION
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000082530                             18,440.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-036764 SENDER
                       REF: BOFAILBE251672N SRC: GMTS              BENF: ALLIEDSIGNAL
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000079616                             15,869.13   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-023209 SENDER
                       REF: BOFAILBE251058R SRC: GMTS              BENF: HAMLIN TOOL AND MACHINE
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000080916                             15,000.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-029845 SENDER
                       REF: BOFAILBE251361N SRC: GMTS              BENF: GRUPO VIR S.A. DE C.V.
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000080606                             11,819.52   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-028556 SENDER
                       REF: BOFAILBE251277N SRC: GMTS              BENF: ESSEX SPECIALTY PRODUCTS, INC.
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000080608                             11,490.32   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-028560 SENDER
                       REF: BOFAILBE251278N SRC: GMTS              BENF: SANDUSKY, LTD.
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000082532                             11,221.20   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-036767 SENDER
                       REF: BOFAILBE251673N SRC: GMTS              BENF: CAMCAR TEXTRON
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000079620                             11,216.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-023213 SENDER
                       REF: BOFAILBE251060N SRC: GMTS              BENF: TECHSTAFF, INC.
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000082534                             10,162.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-036768 SENDER
                       REF: BOFAILBE251674N SRC: GMTS              BENF: PETRO EXTRUSION TECHNOLOGIES
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000082538                             10,000.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-036770 SENDER
                       REF: BOFAILBE251675N SRC: GMTS              BENF: VELCRO USA, INC.
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000080610                              9,464.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-028564 SENDER
                       REF: BOFAILBE251279N SRC: GMTS              BENF: AZTEC WIRE
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000082542                              9,350.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-036773 SENDER
                       REF: BOFAILBE251676N SRC: GMTS              BENF: ABCO INDUSTRIES
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT                           REF# 641200000082544                              7,812.00   DB
                       MONEY TRANSFER-ILLINOIS TRN: 991001-036775 SENDER
                       REF: BOFAILBE251677N SRC: GMTS              BENF: PLASTIC ENGINEERED COMP.
                       ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement
         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                               ACCOUNT NUMBER: 8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010
                                                            PAGE       24 OF 82
<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                      ELECTRONIC WIRE TRANSFER SUMMARY
------------------------------------------------------------------------------------------------------------------------------------
         POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                           AMOUNT
         ---------     -------------------------------------------------------------------           -----------------------
         <S>           <C>                                                                           <C>
                10/01  WIRE TRANSFER DEBIT REF# 641200000080614                                               7,761.00 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-028571 SENDER
                       REF: BOFAILBE25128ON SRC: GMTS BENF: OBERG
                       INDUSTRIES, INC. ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000080616                                             7,623.84   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-028576 SENDER
                       REF: BOFAILBE251281N SRC: GMTS BENF: CONSOLIDATED
                       ELECTRIC ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000082546                                             7,306.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-036776 SENDER
                       REF: BOFAILBE251678N SRC: GMTS BENF: PRESSAC, INC.
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000082554                                             5,511.15   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-036785 SENDER
                       REF: BOFAILBE251682N SRC: GMTS BENF: PROFORMA
                       TECHNIGRAPHICS ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000080618                                             3,656.30   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-028583 SENDER
                       REF: BOFAILBE251282R SRC: GMTS BENF: DELPHI
                       AUTOMOTIVE ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000083874                                             3,626.10   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-043965 SENDER
                       REF: BOFAILBE251817N SRC: GMTS BENF:
                       MICROPLASTICS, INC. ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000082548                                             3,190.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-036778 SENDER
                       REF: BOFAILBE251679N SRC: GMTS BENF: SUNCOAST TOOL
                       AND GAGE ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000082550                                             2,341.60   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-036781 SENDER
                       REF: BOFAILBE251680N SRC: GMTS BENF: SGM ARMTEK
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000082552                                             2,036.90   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-036784 SENDER
                       REF: BOFAILBE25168lN SRC: GMTS BENF: MARSHALL
                       INDUSTRIES ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000080918                                             1,950.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-029847 SENDER
                       REF: BOFAILBE251362N SRC: GMTS BENF: STEVENS CO.
                       ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000080920                                             1,564.01   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-029851 SENDER
                       REF: BOFAILBE251363N SRC: GMTS BENF: NOVATEC ORIG:
                       BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000080622                                             1,210.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-028589 SENDER
                       REF: BOFAILBE251283N SRC: GMTS BENF: DALE
                       ELECTRONICS, INC. ORIG: BREED TECHNOLOGIES, INC.
                10/01  WIRE TRANSFER DEBIT REF# 641200000079618                                             1,114.68   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-023212 SENDER
                       REF: BOFAILBE251059N SRC: GMTS BENF: PAPERWORKS
                       ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement

         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                               ACCOUNT NUMBER: 8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                                   PAGE 25 OF 82
<TABLE>
<CAPTION>
-----------------------------------------------------------------------------------------------------------------------------------
                                                      ELECTRONIC WIRE TRANSFER SUMMARY
-----------------------------------------------------------------------------------------------------------------------------------
         POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                AMOUNT
         ---------               --------------------------------------                                                ------
         <S>           <C>                                                                                   <C>
                10/01  WIRE TRANSFER DEBIT REF# 641200000080624                                                          607.60 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991001-028598 SENDER
                       REF: BOFAILBE251284N SRC: GMTS BENF: EPIC RESINS
                       ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067343                                                      699,922.00 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-031979 SENDER
                       REF: BOFAILBE252683R SRC: GMTS BENF: ALLIEDSIGNAL,
                       INC. ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000068119                                                      250,000.00 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-035926 SENDER
                       REF: BOFAILBE252812N SRC: GMTS BENF: ALCOA
                       FUJIKURA, LTD. ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000068121                                                      244,809.64 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-035927 SENDER
                       REF: BOFAILBE252813N SRC: GMTS BENF: UNIQUE MOLDED
                       PRODUCTS ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067345                                                      220,000.00 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-031987 SENDER
                       REF: BOFAILBE252684N SRC: GMTS BENF: WHITTAR STEEL
                       ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000068125                                                      208,302.19 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-035930 SENDER
                       REF: BOFAILBE252814N SRC: GMTS BENF: GT SPECIALITY
                       FASTENERS ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067347                                                       72,000.00 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-031990 SENDER
                       REF: BOFAILBE252685N SRC: GMTS BENF: PAX MACHINE
                       WORKS ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000068127                                                       45,000.00 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-035932 SENDER
                       REF: BOFAILBE252815N SRC: GMTS BENF: TTL
                       CORPORATION ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067361                                                       35,300.00 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032015 SENDER
                       REF: BOFAILBE252691N SRC: GMTS BENF: NEU DYNAMICS
                       CORP. ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067349                                                       32,053.88 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-031993 SENDER
                       REF: BOFAILBE252686R SRC: GMTS BENF: HAMLIN TOOL
                       AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067351                                                       30,000.00 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-031994 SENDER
                       REF: BOFAILBE252687N SRC: GMTS BENF: WIRE
                       TECHNOLOGIES, INC. ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067355                                                       29,188.69 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032001 SENDER
                       REF: BOFAILBE252688R SRC: GMTS BENF: ATLANTIC TOOL
                       DIE ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067491                                                       27,768.87 DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032041 SENDER
                       REF: BOFAILIN012114N SRC: GMTS BENF: GREENING
                       DONALD CO. LTD. ORIG: BREED TECHNOLOGIES, INC.
</TABLE>

<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement
         CDA USCG ILLINOIS NORTH #8188
         231 LA SALLE                               ACCOUNT NUMBER: 8188-9-10116
         CHICAGO IL 60697

         PHONE NUMBER 800-262-2726

         1029991010

                                                                   PAGE 26 OF 82
<TABLE>
<CAPTION>
-----------------------------------------------------------------------------------------------------------------------------------
                                                      ELECTRONIC WIRE TRANSFER SUMMARY
-----------------------------------------------------------------------------------------------------------------------------------
        POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                            AMOUNT
        ---------                --------------------------------------                            ------
        <S>            <C>                                                                      <C>
                10/04  WIRE TRANSFER DEBIT REF# 641200000068133                                     26,000.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-035942 SENDER
                       REF: BOFAILBE2528l8N SRC: GMTS BENF: CAMBRIDGE
                       ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000068129                                     23,760.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-035935 SENDER
                       REF: BOFAILBE252816N SRC: GMTS BENF: US FILTER
                       ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067363                                     21,167.50   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032019 SENDER
                       REF: BOFAILBE252692N SRC: GMTS BENF: TREMONT ORIG:
                       BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067357                                     10,400.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032007 SENDER
                       REF: BOFAILBE252689N SRC: GMTS BENF: ASSOCIATED
                       SPRING ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000046209                                     10,360.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032021 SENDER
                       REF: BOFAILBE252693N SRC: GMTS BENF: SPECIAL
                       DEVICES INCORPORATED ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067365                                     10,000.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032023 SENDER
                       REF: BOFAILBE252694N SRC: GMTS BENF: TENNESSE TAPE
                       AND LABEL ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067369                                      5,460.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032027 SENDER
                       REF: BOFAILBE252695N SRC: GMTS BENF: MICRO-LINE
                       ASSOCIATES ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067359                                      4,984.29   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032011 SENDER
                       REF: BOFAILBE252690N SRC: GMTS BENF: KEY PLASTICS
                       ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067371                                      4,692.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032030 SENDER
                       REF: BOFAILBE252696N SRC: GMTS BENF: ASHLAND
                       CHEMICAL ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000068131                                      3,895.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-035940 SENDER
                       REF: BOFAILBE252817N SRC: GMTS BENF: STAR
                       MANUFACTURING ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067373                                      3,650.00   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032031 SENDER
                       REF: BOFAILBE252697N SRC: GMTS BENF: TALLEY
                       DEFENSE ORIG: BREED TECHNOLOGIES, INC
                10/04  WIRE TRANSFER DEBIT REF# 641200000067377                                      2,812.50   DB
                       MONEY TRANSFER--ILLINOIS TRN: 991004-032035 SENDER
                       REF: BOFAILBE252698N SRC: GMTS BENF: COMPONENT
                       PLASTICS ORIG: BREED TECHNOLOGIES, INC.
                10/04  WIRE TRANSFER DEBIT REF# 641200000067379                                        511.53   DB
                       MONEY TRANSFER-ILLINOIS TRN: 991004-032038 SENDER
                       REF: BOFAILBE252699N SRC: GMTS BENF: ITW THIELEX
                       ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement

        CDA USCG ILLINOIS NORTH #8188
        231 LA SALLE                                ACCOUNT NUMBER: 8188-9-10116
        CHICAGO IL 60697

        PHONE NUMBER 800-262-2726

        1029991010

                                                                   PAGE 27 OF 82

<TABLE>
<CAPTION>
-----------------------------------------------------------------------------------------------------------------------------------
                                                 ELECTRONIC WIRE TRANSFER SUMMARY
-----------------------------------------------------------------------------------------------------------------------------------
        POST DATE     CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                         AMOUNT
        ---------     --------------------------------------                                                         ------
        <S>           <C>                                                                                          <C>
               10/05  WIRE TRANSFER DEBIT REF# 641200000060895                                                        500,000.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-006788 SENDER
                      REF: BOFAILBE252917R SRC: GMTS BENF: ATLANTIC
                      RESEARCH ORIG: BREED TECHNOLOGIES,INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066853                                                        314,362.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-035250 SENDER
                      REF: BOFAILBE253851N SRC: GMTS BENF: KAUFFMAN
                      PRODUCTS ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064457                                                         91,089.60 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022837 SENDER
                      REF: BOFAILBE253482N SRC: GMTS BENF: OTTO BOCK
                      ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064459                                                         88,871.95 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022843 SENDER
                      REF: BOFAILBE253483N SRC: GMTS BENF: INDUSTRIAL
                      ELECTRICAL SERVICES ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066259                                                         62,491.08 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-033177 SENDER
                      REF: BOFAILBE253798N SRC: GMTS BENF: KANE
                      MAGNETICS ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066261                                                         57,580.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-033181 SENDER
                      REF: BOFAILBE253799N SRC: GMTS BENF: TRI-WAY MOLD
                      ENGINEERING ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064461                                                         38,624.44 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022846 SENDER
                      REF: BOFAILBE253484N SRC: GMTS BENF: CARPENTER
                      TECHNOLOGY GROUP ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064443                                                         35,711.70 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022812 SENDER
                      REF: BOFAILBE253476N SRC: GMTS BENF: DUPONT ORIG:
                      BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064463                                                         32,027.60 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022349 SENDER
                      REF: BOFAILBE253485N SRC: GMTS BENF: NIPPON
                      CARBIDE ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064465                                                         30,000.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022853 SENDER
                      REF: BOFAILBE253486N SRC: GMTS BENF: SHERWIN
                      WILLIAMS ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066619                                                         26,196.80 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-035252 SENDER
                      REF: BOFAILBE253852N SRC: GMTS BENF: RAMCEL
                      ENGINEERING ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066623                                                         25,000.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-035254 SENDER
                      REF: BOFAILBE253853N SRC: GMTS BENF: NATIONAL
                      METAL PROCESSING ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066265                                                         20,000.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-033185 SENDER
                      REF: BOFAILBE253800N SRC: GMTS BENF: AMERICAN
                      EXPRESS TRAVEL ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement

        CDA USCG ILLINOIS NORTH #8188
        231 LA SALLE                                ACCOUNT NUMBER: 8188-9-10116
        CHICAGO IL 60697

        PHONE NUMBER 800-262-2726

        1029991010

                                                                   PAGE 28 OF 82
<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                 ELECTRONIC WIRE TRANSFER SUMMARY
------------------------------------------------------------------------------------------------------------------------------------
        POST DATE     CUSTOMER REFERENCE OR ITEM DESCRIPTION                                                         AMOUNT
        ---------     --------------------------------------                                                         ------
        <S>           <C>                                                                                            <C>
               10/05  WIRE TRANSFER DEBIT REF# 641200000064467                                                         18,000.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022856 SENDER
                      REF: BOFAILBE253487N SRC: GMTS BENF: RB W METAL
                      FORMING DIVISION ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066267                                                         15,000.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-033186 SENDER
                      REF: BOFAILBE2538O1N SRC: GMTS BENF: DONACIANO
                      OLIVARES ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064445                                                         12,777.28 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022819 SENDER
                      REF: BOFAILBE253477R SRC: GMTS BENF: ATLANTIC TOOL
                      DIE ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064449                                                         12,598.30 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022822 SENDER
                      REF: BOFAILBE253478N SRC: GMTS BENF: GIBBS WIRE
                      AND STEEL COMPANY ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064451                                                         12,527.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022827 SENDER
                      REF: BOFAILBE253479N SRC: GMTS BENF: CINCINNATI,
                      INC. ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064453                                                         12,507.10 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022831 SENDER
                      REF: BOFAILBE253480R SRC: GMTS BENF: HAMLIN TOOL
                      AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064469                                                         11,880.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022858 SENDER
                      REF: BOFAILBE253488N SRC: GMTS BENF: US FILTER
                      ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066269                                                         11,498.56 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-033187 SENDER
                      REF: BOFAILBE253802N SRC: GMTS BENF: WEISS--AUG
                      ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066625                                                         10,500.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-035259 SENDER
                      REF: BOFAILBE253854N SRC: GMTS BENF: ASSOCIATED
                      SPRING ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000064471                                                         10,000.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-022860 SENDER
                      REF: BOFAILBE253489N SRC: GMTS BENF: ACABADOS
                      IDEAL ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066401                                                          9,412.17 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-033193 SENDER
                      REF: BOFAILBE253803N SRC: GMTS BENF: ENGINEERED
                      PLASTIC COMPONENTS ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066275                                                          9,330.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-033195 SENDER
                      REF: BOFAILBE253804N SRC: GMTS BENF: CENTURY
                      FASTENERS CORP. ORIG: BREED TECHNOLOGIES, INC.
               10/05  WIRE TRANSFER DEBIT REF# 641200000066277                                                          7,402.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991005-033199 SENDER
                      REF: BOFAILBE253805N SRC: GMTS BENF: PESA LABELING
                      SYSTEMS ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement

        CDA USCG ILLINOIS NORTH #8188
        231 LA SALLE                         ACCOUNT NUMBER: 8188-9-10116
        CHICAGO IL 60697

        PHONE NUMBER 800-262-2726

        1029991010

                                                                  PAGE  29 OF 82
<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                 ELECTRONIC WIRE TRANSFER SUMMARY
------------------------------------------------------------------------------------------------------------------------------------
              POST DATE     CUSTOMER REFERENCE OR ITEM DESCRIPTION                                    AMOUNT
              ---------     --------------------------------------                                   ------
             <S>            <C>                                                                 <C>
              10/05         WIRE TRANSFER DEBIT  REF# 641200000064629                               7,080.00 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-022899 SENDER
                            REF: BOFAILIN012167N SRC: GMTS BENF: P.N. FARRAR
                            ENTERPRISES, INC. ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000064473                                6,720.00 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-022864 SENDER
                            REF: BOFAILBE253490N SRC: GMTS BENF: FRAMATOME
                            GROUP ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000064455                                5,790.00 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-022834 SENDER
                            REF: BOFAILBE253481N SRC: GMTS BENF: DAYTON STEEL
                            SERVICE ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000066627                                5,300.00 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-035260 SENDER
                            REF: BOFAILBE253855N SRC: GMTS BENF: WALKER WIRE
                            ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000064475                                4,750.00 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-022866 SENDER
                            REF: BOFAILBE253491N SRC: GMTS BENF: POLYCHASE
                            ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000064477                                4,344.22 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-022871 SENDER
                            REF: BOFAILBE253492N SRC: GMTS BENF: SOFANOU, INC.
                            ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000064479                                4,323.60 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-022874 SENDER
                            REF: BOFAILBE253493N SRC: GMTS BENF: CAMCAR
                            TEXTRON ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000064481                                4,137.00 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-022879 SENDER
                            REF: BOFAILBE253494N SRC: GMTS BENF: NYLOCK
                            FASTNERS ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000064621                                3,320.35 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-022883 SENDER
                            REF: BOFAILBE253495N SRC: GMTS BENF: HYTECH SPRING
                            MACHINE ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000066285                                2,864.16 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-033206 SENDER
                            REF: BOFAILIN012182N SRC: GMTS BENF: AUTOLIV HAPAN
                            LTD. ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000064483                                2,755.22 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-022887 SENDER
                            REF: BOFAILBE253496N SRC: GMTS BENF: GENESIS
                            MOLDING ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000064485                                1,593.40 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-022890 SENDER
                            REF: BOFAILBE253497N SRC: GMTS BENF: WESTBROOK
                            MFG. INC. ORIG: BREED TECHNOLOGIES, INC.
              10/05         WIRE TRANSFER DEBIT REF# 641200000064487                                  837.00 DB
                            MONEY TRANSFER--ILLINOIS TRN: 991005-022892 SENDER
                            REF: BOFAILBE253498N SRC: GMTS BENF: UNI-TRADE,
                            INC. ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Bank of America                                                Corporate Deposit
                                                                       Statement
            CDA USCG ILLINOIS NORTH #8188
            231 LA SALLE                           ACCOUNT NUMBER: 8188-9-10116
            CHICAGO IL 60697

            PHONE NUMBER 800-262-2726

            1029991010
                                                                  PAGE  30 OF 82
<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                 ELECTRONIC WIRE TRANSFER SUMMARY
------------------------------------------------------------------------------------------------------------------------------------
            POST DATE    CUSTOMER REFERENCE OR ITEM DESCRIPTION                                               AMOUNT
            ---------    --------------------------------------                                               ------
            <S>          <C>                                                                          <C>
             10/05       WIRE TRANSFER DEBIT  REF# 641200000066279                                           797.00 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991005-033202 SENDER
                         REF: BOFAILBE253806N SRC: GMTS BENF: SPEEDLINE
                         TECHNOLOGIES ORIG: BREED TECHNOLOGIES, INC.
             10/05       WIRE TRANSFER DEBIT REF# 641200000066281                                            611.20 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991005-033204 SENDER
                         REF: BOFAILBE253807N SRC: GMTS BENF: P.D. GEORGE
                         ORIG: BREED TECHNOLOGIES, INC.
             10/05       WIRE TRANSFER DEBIT REF# 641200000064615                                            228.75 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991005-022896 SENDER
                         REF: BOFAILBE253499N SRC: GMTS BENF: CHEMICAL
                         TECH, INC. ORIG: BREED TECHNOLOGIES, INC.
             10/06       WIRE TRANSFER DEBIT REF# 641200000059455                                        675,000.00 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991006-018225 SENDER
                         REF: BOFAILBE254327N SRC: GMTS BENF: GIBBS DIE
                         CASTING CORP. ORIG: BREED TECHNOLOGIES, INC.
             10/06       WIRE TRANSFER DEBIT REF# 641200000056967                                        158,691.70 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991006-007170 SENDER
                         REF: BOFAILBE253969R SRC: GMTS BENF: BREED
                         EMPLOYEES RETIREMENT ORIG: BREED TECHNOLOGIES, INC.
             10/06       WIRE TRANSFER DEBIT REF# 641200000061255                                        104,191.00 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991006-026934 SENDER
                         REF: BOFAILBE254634N SRC: GMTS BENF: CIMTEK ORIG:
                         BREED TECHNOLOGIES, INC.
             10/06       WIRE TRANSFER DEBIT REF# 641200000059457                                         90,000.00 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991006-018227 SENDER
                         REF: BOFAILBE254328N SRC: GMTS BENF: TENNECO
                         PACKAGING INC. ORIG: BREED TECHNOLOGIES INC.
             10/06       WIRE TRANSFER DEBIT REF# 641200000059453                                         64,033.20 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991006-018224 SENDER
                         REF: BOFAILBE254326N SRC: GMTS BENF: CHESTER
                         PRECISION COMPANY ORIG: BREED TECHNOLOGIES, INC.
             10/06       WIRE TRANSFER DEBIT REF# 641200000061257                                         59,807.80 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991006-026936 SENDER
                         REF: BOFAILBE254635N SRC: GMTS BENF: TICONA ORIG:
                         BREED TECHNOLOGIES, INC.
             10/06       WIRE TRANSFER DEBIT REF# 641200000059449                                         50,000.00 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991006-018220 SENDER
                         REF: BOFAILBE254324N SRC: GMTS BENF: DAYTON STEEL
                         SERVICE ORIG: BREED TECHNOLOGIES, INC.
             10/06       WIRE TRANSFER DEBIT REF# 641200000059459                                         50,000.00 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991006-018229 SENDER
                         REF: BOFAILBE254329N SRC: GMTS BENF: TRW
                         AUTOMOTIVE ELECTRONICS ORIG: BREED TECHNOLOGIES, INC.
             10/06       WIRE TRANSFER DEBIT REF# 641200000059461                                         37,057.00 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991006-018233 SENDER
                         REF: BOFAILBE254330N SRC: GMTS BENF: DYNAX ORIG:
                         BREED TECHNOLOGIES, INC.
             10/06       WIRE TRANSFER DEBIT REF# 641200000061259                                         26,934.55 DB
                         MONEY TRANSFER--ILLINOIS TRN: 991006-026938 SENDER
                         REF: BOFAILBE254636N SRC: GMTS BENF: CAMCAR
                         TEXTRON ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      31 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000061261                            25,817.66 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006--026940 SENDER
                  REF:   BOFAILBE254637N SRC: GMTS BENF: TREMONT ORIG:
                   BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000059463                            20,327.40 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006--018234 SENDER
                  REF:   BOFAILBE254331N SRC: GMTS BENF: PYROTECHNIC
                  SPECIALITIES ORIG: BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000059465                            17,526.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006--018237 SENDER
                  REF:   BOFAILBE254332N SRC: GMTS BENF: FERRO ORIG:
                  BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000059467                            15,795.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006--018238 SENDER
                  REF:   BOFAILBE254333N SRC: GMTS BENF: THOMSON
                  PRECISION BALL ORIG: BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000061265                            15,346.37 DB
                  MONEY TRANSFER-ILLINOIS TRN: 991006--026943 SENDER
                  REF: BOFAILBE254638R SRC: GMTS BENF: ATLANTIC TOOL
                  DIE ORIG: BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000061269                            13,758.48 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006--026949 SENDER
                  REF: BOFAILBE254639N SRC: GMTS BENF: NARRICOT
                  INDUSTRIES ORIG: BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000061271                            13,265.77 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006--026953 SENDER
                  REF: BOFAILBE254640N SRC: GMTS BENF: OBERG ORIG:
                  BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 64200000059469                             12,451.32 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006--018240 SENDER
                  REF: BOFAILBE254334N SRC: GMTS BENF: KANE
                  MAGNETICS ORIG: BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000062383                            10,270.73 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006--033003 SENDER
                  REF: BOFAILBE254808N SRC: GMTS BENF: CAMCAR
                  TEXTRON ORIG: BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000061273                            10,174.99 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006--026957 SENDER
                  REF: BOFAILBE254641R SRC: GMTS BENFI HAMLIN TOOL
                  AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000059451                            10,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006--018222 SENDER
                  REF: BOFAILBE254325N SRC: GMTS BENF: YAZAKI NORTH
                  AMERICA, INC. ORIG: BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000061275                             9,272.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006-026961 SENDER
                  REF: BOFAILBE254642R SRC: GMTS BENF: ALLIEDSIGNAL,
                  INC. ORIG: BREED TECHNOLOGIES, INC.
          10/06   WIRE TRANSFER DEBIT                     REF# 641200000059471                             8,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991006--018242 SENDER
                  REF: BOFAILBE254335N SRC: GMTS BENF: MANPOWER
                  ORIG: BREED TECHNOLOGIES, INC.

</TABLE>
<PAGE>

Bank of America

<TABLE>
<CAPTION>
        CDA USCG ILLINOIS NORTH *8188
        231 LA SALLE                                    ACCOUNT NUMBER:                     8188-9-10116
        CHICAGO IL 60697

        PHONE NUMBER 800-262-2726

        1029991010

                                                                                                       PAGE       32 OF 82
       --                                                ELECTRONIC WIRE TRANSFER SUMMARY
        POST DATE                             CUSTOMER REFERENCE OR ITEM DESCRIPTION                                 AMOUNT
        ----------------------------------------------------------------------------                                 ------
        <S>                                  <C>                                                                <C>
       10/06  WIRE TRANSFER DEBIT                          REFt 641200000059473                                 4,939.34 DI
                      MONEY TRANSFER--ILLINOIS TRN: 991006-018245 SENDER
                      REF: BOFAILBE254336N SRC: GMTS BENF: ROADWAY
                      EXPRESS ORIG: BREED TECHNOLOGIES, INC.
               10/06  WIRE TRANSFER DEBIT REFI 641200000061279                                                    4,161.40 DI
                      MONEY TRANSFER--ILLINOIS TRN: 991006--026966 SENDER
                      REF: BOFAILBE254644N SRC: GMTS IENF: H M COMPANY,
                      INC. ORIG: BREED TECHNOLOGIES, INC.
               10/06  WIRE TRANSFER DEBIT REFt 641200000061277                                                    3,183.84 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991006--026965 SENDER
                      REF: BOFAILBE254643N SRC: GMTS IENF: ELLIOTT TAPE
                      ORIG: BREED TECHNOLOGIES, INC.
               10/06  WIRE TRANSFER DEBIT REFI 641200000061283                                                    2,800.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991006-026969 SENDER
                      REF: BOFAILBE254645N SRC: GMTS BENF: SONOCO
                      PRODUCTS COMPANY ORIG: BREED TECHNOLOGIES INC.
               10/06  WIRE TRANSFER DEBIT REFI 641200000061281                                                    1,729.92 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991006--026970 SENDER
                      REF: BOFAILBE254646N SRC: GMTS IENF: YAZAKI NORTH
                      AMERICA ORIG: BREED TECHNOLOGIES, INC.
               10/06  WIRE TRANSFER DEBIT REFI 641200000061285                                                    1,223.10 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991006--026973 SENDER
                      REF: IOFAILBE254647N SRC: GMTS IENF: PERFECTION
                      SPRING STAMPING ORIG: BREED TECHNOLOGIES, INC.
               10/06  WIRE TRANSFER DEBIT REFI 641200000059477                                                    1,214.72 DI
                      MONEY TRANSFER--ILLINOIS TRN: 991006--018251 SENDER
                      REF: BOFAILINO12219N SRC: GMTS BENF: AUTOLIV JAPAN
                       ORIG: BREED TECHNOLOGIES, INC.
               10/06  WIRE TRANSFER DEBIT REFI 641200000061287                                                      701.12 DI
                      MONEY TRANSFER--ILLINOIS TRN: 991006-026974 SENDER
                      REF: BOFAILBE254648N SRCs GMTS BENF: PIOLAX-ORIG:
                      BREED TECHNOLOGIES, INC.
               10/06  WIRE TRANSFER DEBIT REFI 641200000059475                                                      457.57 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991006--018249 SENDER
                      REF: BOFAILBE254337R SRC: GMTS IENF: CORPORATE
                      CREDIT SERVICES AGENCY ORIG: BREED TECHNOLOGIES,
                      INC

               10/07  WIRE TRANSFER DEBIT REFt 641200000057817                                                  700,000.00 DI
                      MONEY TRANSFER-ILLINOIS TRN: 991007-007760 SENDER
                      REF: BOFAILBE254925R SRC: GMTS BENF: ATLANTIC
                      RESEARCH ORIG: BREED TECHNOLOGIES,INC.
               10/07  WIRE TRANSFER DEBIT REF# 641200000057821                                                  400,000.00 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991007-007764 SENDER
                      REF: BOFAILBE254927R SRC: GMTS IENF: PAYMENT
                      LOGISTIC SERVICES ORIG: BREED TECHNOLOGIES, INC.
               10/07  WIRE TRANSFER DEBIT REFt 641200000063385                                                  284,644.96 DI
                      MONEY TRANSFER--ILLINOIS TRN: 991007-032036 SENDER
                      REF: IOFAILIE255778N SRC: GMTS BENF: METHODE
                      ELECTRONICS, INC ORIG: BREED TECHNOLOGIES INC.
               10/07  WIRE TRANSFER DEBIT REFI 641200000061363                                                  118,080.20 DB
                      MONEY TRANSFER--ILLINOIS TRN: 991007022512 SENDER
                      REF: BOFAILBE255422N SRC: GMTS IENF: A. SCHULMAN,
                      INC. ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      33 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000061365                            76,952.69 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--022514 SENDER
                 REF: BOFAILBE255423N SRC: GMTS BENF: MUELLER BRASS
                 ORIG: BREED TECHNOLOGIES, INC.
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000057825                            62,305.50 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--007767 SENDER
                 REF: BOFAILBE254929N SRC: GMTS BENF: AEGIS
                 TECHNOLOGIES, LLC ORIG: BREED TECHNOLOGIES, INC.
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000061383                            54,714.99 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--022531 SENDER
                 REF: BOFAILBE255431N SRC: GMTS BENF: TCT STAINLESS
                 STEEL ORIG: BREED TECHNOLOGIES, INC.
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000061385                            52,235.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--022533 SENDER
                 REF: BOFAILBE255432N SRC: GMTS BENF: A J
                 AUTOMATION ORIG: BREED TECHNOLOGIES, INC.
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000057827                            42,000.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--007768 SENDER
                 REF: BOFAILBE254930N SRC: GMTS BENF: FEDEX CARGO
                 ORIG: BREED TECHNOLOGIES, INC.
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000063381                            37,820.22 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--032028 SENDER
                 REF: BOFAILBE255776N SRC: GMTS BENF: CARPENTER
                 TECHNOLOGIES, INC. ORIG: BREED TECHNOLOGIES, INC.
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000061367                            37,800.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--022516 SENDER
                 REF: BOFAILBE255424N SRC: GMTS BENF: STEVENS CO.
                 ORIG: BREED TECHNOLOGIES, INC.
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000061387                            22,449.88 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007-022536 SENDER
                 REF: BOFAILBE255433R SRC: GMTS BENF: ATLANTIC TOOL
                 DIE ORIG: BREED TECHNOLOGIES, INC.
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000057831                            16,190.30 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--007770 SENDER
                 REF: BOFAILBE254931N SRC: GMTS BENF: HAI PLATING
                 ORIG: BREED TECHNOLOGIES, INC.
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000061369                            14,065.65 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--022521 SENDER
                 REF: BOFAILBE255425N SRC: GMTS BENF: KENDALL
                 ELECTRIC INCORPORATED ORIG: BREED TECHNOLOGIES,
                 INC.
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000060867                            10,000.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--019918 SENDER
                 REF: BOFAILBE255307R SRC: GMTS BENF: BREED
                 TECHNOLOGIES, INC. FLEX ORIG: BREED
                 TECHNOLOGIES, INC.
          10/07  WIRE TRANSFER DEBIT                      REF# 641200000063375                            10,000.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--032015 SENDER
                 REF: BIOFAILBE255774N SRC: GMTS BENF: BREED
                 AUTOMOTIVE LP ORIG: BREED TECHNOLOGIES, INC.
          10/07  WIRE TRANSFER DEBIT                      REF # 641200000061371                            8,804.40 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991007--022522 SENDER
                 REF: BOFAILBE255426N SRC: GMTS BENF: DIVERSEY
                 LEVER ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      34 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000062675                             8,471.90 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--028800 SENDER
                  REF: BOFAILBE255687R SRC: GMTS BENF: ORNL FEDERAL
                  CREDIT UNION ORIG: BREED TECHNOLOGIES, INC
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000061389                             8,076.64 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--022537 SENDER
                  REF: BOFAILBE255434R SRC: GMTS BENF: HAMLIN TOOL
                  AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000061391                             6,974.07 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--022540 SENDER
                  REF: BOFAILBE255435N SRC: GMTS BENF: 3M ORIG:
                  BREED TECHNOLOGIES, INC.
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000061375                             5,487.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--022525 SENDER
                  REF: BOFAILBE255427N SRC: GMTS BENF: KOA SPEER
                  ORIG: BREED TECHNOLOGIES, INC.
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000063377                             5,462.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--032021 SENDER
                  REF: BOFAILBE255775N SRC: GMTS  BENF: TRULINE, INC.
                  ORIG: BREED TECHNOLOGIES,INC.
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000063383                             4,022.25 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--032032 SENDER
                  REF: IOFAILBE255777N SRC: GMTS BENF: PD GEORGE CO
                  ORIG: BREED TECHNOLOGIES,INC.
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000061377                             3,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--022526 SENDER
                  REF: BOFAILBE255428N SRC: GMTS BENF: KREHER STEEL
                  COMPANY, LLC ORIG: BREED TECHNOLOGIES, INC.
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000057833                             2,808.60 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--007772 SENDER
                  REF: BOFAILBE254932N SRC: GMTS BENF: LEGGET PLATT
                  ORIG: BREED TECHNOLOGIES, INC.
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000061379                             2,765.62 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--022529 SENDER
                  REF: BOFAILBE255429N SRC: GMTS BENF: REED SWITCH
                  DEVELOPMENTS ORIG: BREED TECHNOLOGIES, INC.
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000061381                             1,686.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--022530 SENDER
                  REF: BOFAILBE255430N SRC: GMTS BENF: THE BERGQUIST
                  CO. ORIG: BREED TECHNOLOGIES, INC.
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000061515                             1,484.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--022549 SENDER
                  REF: BOFAILIN012278N SRC: GMTS BENF: MAB
                  INDUSTRIES ORIG: BREED TECHNOLOGIES, INC.
          10/07   WIRE TRANSFER DEBIT                     REF# 641200000062677                             1,245.31 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991007--028801 SENDER
                  REF: BOFAILBE255688R SRC: GMTS BENF: AMPEX FEDERAL
                  CREDIT UNION ORIG: BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000040729                           301,212.20 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029048 SENDER
                  REF: BOFAILIN012363N SRC: GMTS BENF: PASUBID SPA
                  ORIG: BREED TECHNOLOGIERS, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      35 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065263                           300,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012784 SENDER
                  REF: BOFAILBE256126R SRC: GMTS BENF: ATLANTIC
                  RESEARCH ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068417                           250,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029016 SENDER
                  REF: BOFAILBE256655N SRC: GMTS BENF: ALCOA
                  FUJIKURA, LTD ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000067295                           170,631.13 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--023212 SENDER
                  REF: BOFAILBE256426N SRC: GMTS BENF: A.I. CREDIT
                  CORP ORIG: BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000067309                           120,345.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--023241 SENDER
                  REF: BOFAILIN012339N SRC: GMTS BENF: DIXON TOOL CO
                  ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065265                           120,173.45 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012785 SENDER
                  REF: BOFAILBE256127N SRC: GMTS BENF: TECHNIC, INC.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068937                           112,923.72 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029019 SENDER
                  REF: BOFAILBE256656N SRC: GMTS BENF: OEA ORIG:
                  BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068427                           110,576.38 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029026 SENDER
                  REF: BOFAILBE256661N SRC: GMTS BENF: NIPPON
                  ELECTRIC GLASS AMERICA, INC. ORIG: BREED
                  TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000059785                            98,356.32 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--036528 SENDER
                  REF: BOFAILIN012368N SRC: OMTS BENF: MOMO SPA
                  ORIG: BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065267                            88,130.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012788 SENDER
                  REF: BOFAILBE256128N SRC: GMTS BENF: SARCOL ORIG:
                  BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000069003                            78,812.83 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029027 SENDER
                  REF: BOFAILBE256662N SRC: GMTS BENF: OEA ORIG:
                  BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065269                            60,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012791 SENDER
                  REF: BOFAILBE256129N SRC: GMTS BENF: RWC, INC.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000067297                            59,999.66 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--023215 SENDER
                  REF: BOFAILBE256427N SRC: GMTS BENF: VENTURE ORIG:
                  BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068419                            42,356.91 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029020 SENDER
                  REF: BOFAILBE256657N SRC: GMTS BENF: ATLANTIC TOOL
                  DIE ORIG: BREED TECHNOLOGIES,INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      36 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068429                            41,711.63 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029029 SENDER
                  REF: BOFAILBE256663N SRC: GMTS BENF: ENGELHARD
                  ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068421                            29,172.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029022 SENDER
                  REF: BOFAILBE256658N SRC: GMTS BENF: GIBBS WIRE
                  AND STEEL ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068431                            28,400.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029031 SENDER
                  REF: BOFAILBE256664N SRC: GMTS BENF: HASCO
                  COMPONENTS ORIG: BREED TECHNOLOGIE5,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068435                            26,075.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029034 SENDER
                  REF: BOFAILBE256665N SRC: GMTS BENF: HITACHI
                  METALS ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065271                            26,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012795 SENDER
                  REF: BOFAILBE256130N SRC: GMTS BENF: METAL IMPACT
                  ORIG: BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065273                            25,500.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012798 SENDER
                  REF: BOFAILBE256131N SRC: GMTS BENF: AVERY ORIG:
                  BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000067299                            20,510.39 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--023219 SENDER
                  REF: BOFAILBE256428N SRC: GMTS BENF: PAR
                  INDUSTRIES ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068439                            14,601.88 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029037 SENDER
                  REF: BOFAILBE256666N SRC: GMTS BENF: ARROWHEAD
                  INDUSTRIAL SERVICES ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065275                            10,730.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012799 SENDER
                  REF: BOFAILBE256132N SRC: GMTS BENF: ALPHA GARY
                  ORIG: BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065277                             9,330.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012800 SENDER
                  REF: BOFAILBE256133N SRC: GMTS BENF: CENTURY
                  FASTENERS CORPORATION ORIG: BREED TECHNOLOGIES,
                  INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068423                             8,536.85 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029023 SENDER
                  REF: BOFAILBE256659N SRC: GMTS BENF: HAMLIN TOOL
                  AND MACHINE ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065279                             7,790.40 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012801 SENDER
                  REF: BOFAILBE256134N SRC: GMTS BENF: ESEC ORIG:
                  BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000069023                             4,922.96 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--031658 SENDER
                  REF: BOFAILBE256743N SRC: GMTS BENF: ROADWAY
                  EXPRESS ORIG: BREED TECHNOLOGIES,INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      37 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068441                             4,015.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029041 SENDER
                  REF: BOFAILBE256667N SRC: GMTS BENF: CHEMICAL
                  PRODUCTS CORP ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068425                             3,977.52 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029024 SENDER
                  REF: BOFAILBE256660N SRC: GMTS BENF: GREER STEEL
                  CO ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000067301                             3,400.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--023225 SENDER
                  REF: BOFAILBE256429N SRC: GMTS BENF: BREED
                  AUTOMOTIVE LP ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065281                             3,105.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012803 SENDER
                  REF: BOFAILBE256135N SRC: GMTS BENF: SPIVECO ORIG:
                  BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065283                             2,776.80 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012804 SENDER
                  REF: BOFAILBE256136N SRC: GMTS BENF: CAMCAR
                  TEXTRON ORIG: BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068443                             2,700.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029043 SENDER
                  REF: BOFAILBE256668N SRC: GMTS BENF: DALE
                  ELECTRONICS ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000040869                             2,420.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029049 SENDER
                  REF: BOFAILIN012364N SRC: GMTS BENF: INTERPAL S.A
                  DE C.V. ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000068447                             2,420.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--029046 SENDER
                  REF: BOFAILBE256669N SRC: GMTS BENF: DALE
                  ELECTRONICS ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000065285                             1,914.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--012805 SENDER
                  REF: BOFAILBE256137N SRC: GMTS BENF: COMTREX ORIG:
                  BREED TECHNOLOGIES, INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000067303                               897.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--023227 SENDER
                  REF: BOFAILBE256430N SRC: GMTS BENF: SHIPLEY RONAL
                  ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000067305                               607.60 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--023231 SENDER
                  REF: BOFAILBE256431N SRC: GMTS BENF: EPIC RESINS
                  ORIG: BREED TECHNOLOGIES,INC.
          10/08   WIRE TRANSFER DEBIT                     REF# 641200000067307                                86.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991008--023234 SENDER
                  REF: BOFAILBE256432N SRC: GMTS BENF: TEST SRL
                  ORIG: BREED TECHNOLOGIES,INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000085275                           835,300.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--026995 SENDER
                  REF: BOFAILIN012419N SRC: GMTS BENF: DIXON TOOL
                  ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      38 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000081173                           700,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--008780 SENDER
                  REF: BOFAILBE256958R SRC: GMTS BENF: ATLANTIC
                  RESEARCH ORIG: BREED TECHNOLOGIES,INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000087301                           607,650.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--038546 SENDER
                  REF: BOFAILBE257865R SRC: GMTS BENF: ALLIEDSIGNAL,
                  INC. ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082223                           335,310.59 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012680 SENDER
                  REF: BOFAILBE257083N SRC: GMTS BENF: CUINBA ORIG:
                  BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000088673                           196,913.30 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--042085 SENDER
                  REF: BOFAILIN012445N SRC: GMTS BENF: SFS STADLER
                  ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000087303                           125,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--038552 SENDER
                  REF: BOFAILBE257866N SRC: GMTS BENF: NEDWICK STEEL
                  COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082189                           110,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012647 SENDER
                  REF: BOFAILBE257068N SRC: GMTS BENF: TRW ORIG:
                  BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082219                           104,928.05 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012677 SENDER
                  REF: BOFAILBE257081N SRC: GMTS BENF: P.D. GEORGE
                  COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000087305                            72,567.20 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--038555 SENDER
                  REF: BOFAILBE257867R SRC: GMTS BENF: HAMLIN TOOL
                  AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000085101                            62,491.08 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--026978 SENDER
                  REF: BOFAILBE257510N SRC: GMTS BENF: KANE
                  MAGNETICS ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082225                            50,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012682 SENDER
                  REF: BOFAILBE257084N SRC: GMTS BENF: CTC
                  ENGINEERING ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082201                            46,232.90 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012662 SENDER
                  REF: IOFAILBE257074N SRC: GMTS BENF: ASHLAND
                  CHEMICAL ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082195                            38,830.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012655 SENDER
                  REF: BOFAILBE257071N SRC: GMTS BENF: GE PLASTICS
                  ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000081169                            34,016.22 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--008776 SENDER
                  REF: BOFAILBE256956R SRC: GMTS BENF: ATLANTIC TOOL
                  DIE ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      39 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000087307                            33,611.70 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--038558 SENDER
                  REF: BOFAILBE257868N SRC: GMTS BENF: DUPONT ORIG:
                  BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000087309                            30,989.80 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--038562 SENDER
                  REF: BOFAILBE257869N SRC: GMTS BENF: INDUSTRIAL
                  ELECTRIC ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082193                            28,000.00 DB
                  MONEY TRANSFER-ILLINOIS TRN: 991012--012653 SENDER
                  REF: BOFAILBE257070N SRC: GMTS BENF: RB W METAL
                  FORMING DIVISION ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000087311                            27,371.30 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--038566 SENDER
                  REF: BOFAILBE257870R SRC: GMTS BENF: ATLANTIC TOOL
                  DIE ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082213                            20,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012672 SENDER
                  REF: BOFAILBE257078N SRC: GMTS BENF: TARGET
                  CONTAINER ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000085103                            18,429.62 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--026981 SENDER
                  REF: BOFAILBE257511N SRC: GMTS BENF: ENTEC
                  ENGINEERED RESINS ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082215                            17,940.37 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012674 SENDER
                  REF: BOFAILBE257O79N SRC: GMTS BENF: O.E.A., INC.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000087313                            15,512.71 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012-038570 SENDER
                  REF: BOFAILBE257871N SRC: GMTS BENF: GIBBS WIRE
                  AND STEEL COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000085105                             9,791.28 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--026985 SENDER
                  REF: BOFAILBE257512N SRC: GMTS BENF: YAZAKI NORTH
                  AMERICA ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000085107                             9,700.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012026987 SENDER
                  REF: BOFAILBE257513N SRC: GMTS BENF: DIGI-KEY
                  ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082209                             9,214.81 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012668 SENDER
                  REF: BOFAILBE257076N SRC: GMTS BENF: TICONA ORIG:
                  BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000085109                             8,268.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--026989 SENDER
                  REF: BOFAILBE257514N SRC: GMTS BENF: METAL
                  COATINGS ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000081171                             8,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--008778 SENDER
                  REF: BOFAILBE256957N SRC: GMTS BENF: ITW DELTAR
                  TEKFAST ORIG: BREED TECHNOLOGIES, INC.
</TABLE>

<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      40 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082217                             7,306.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012676 SENDER
                  REF: BOFAILBE257080N SRC: GMTS BENF: PRESSAC, INC.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000085111                             6,205.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--026991 SENDER
                  REF: BOFAILBE257515N SRC: GMTS BENF: NYLOCK
                  FASTENERS ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082191                             5,460.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012650 SENDER
                  REF: BOFAILBE257069N SRC: GMTS BENF: MICRO-LINE
                  ASSOC. ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000087315                             5,232.60 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--038571 SENDER
                  REF: BOFAILBE257872N SRC: GMTS BENF: 3M ORIG:
                  BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000085113                             4,150.44 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--026992 SENDER
                  REF: BOFAILBE257516N SRC: GMTS BENF: KANE
                  MAGNETICS ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082199                             3,478.02 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012659 SENDER
                  REF: BOFAILBE257073N SRC: GMTS BENF: GENESIS
                  MOLDING ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000087317                             2,722.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--038575 SENDER
                  REF: BOFAILIE257873N SRC: GMTS BENF: CAMCAR
                  TEXTRON ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082227                             2,695.80 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012683 SENDER
                  REF: BOFAILBE257085N SRC: GMTS BENF: ACE PACKAGING
                  ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082211                             2,593.30 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012670 SENDER
                  REF: BOFAILBE257077N SRC: GMTS BENF: POWDERTEK,
                  INC. ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000085115                             2,591.40 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--026993 SENDER
                  REF: BOFAILBE257517N SRC: GMTS BENF: TRULINE, INC.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000081997                             2,565.66 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012031 SENDER
                  REF: BOFAILBE257018R SRC: GMTS BENF: BREED
                  TECHNOLOGIES,INC. FLEX ORIG: BREED
                  TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000087319                             1,195.60 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--038577 SENDER
                  REF: BOFAILBE257874N SRC: GMTS BENF: ROADWAY ORIG:
                  BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000082221                             1,066.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--012679 SENDER
                  REF: BOFAILBE257082N SRC: GMTS BENF: ROMANOFF
                  ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      41 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000087321                               772.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--038579 SENDER
                  REF: BOFAILBE257875N SRC: GMTS BENF: TJ SNOW
                  COOMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/12   WIRE TRANSFER DEBIT                     REF# 641200000085245                               616.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991012--026994 SENDER
                  REF: BOFAILBE257518N SRC: GMTS BENF: MCALLEN BOLT
                  SCREW, INC. ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063130                           800,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017744 SENDER
                  REF: BOFAILBE258579R SRC: GMTS BENF: PAYMENT
                  LOGISTIC SERVICES ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063134                           100,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017748 SENDER
                  REF: BOFAILBE258581N SRC: GMTS BENF: HIGHLAND
                  ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063332                           100,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017861 SENDER
                  REF: BOFAILIN012482N SRC: GMTS BENF: PROGRESSIVE
                  MOULDED PRODUCTS ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063136                            43,357.70 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017749 SENDER
                  REF: BOFAILBE258582N SRC: GMTS BENF: FERRO ORIG:
                  BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000066440                            35,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--035560 SENDER
                  REF: BOFAILBE259104N SRC: GMTS BENF: AMERICAN
                  EXPRESS TRAVEL ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000065978                            34,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--029712 SENDER
                  REF: BOFAILIN012508N SRC: GMTS BENF: BREED KOREA
                  LTD ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000065392                            31,581.23 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--029698 SENDER
                  REF: BOFAILBE258959N SRC: GMTS BENF: WEISS AUG
                  ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000065394                            20,985.56 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--029701 SENDER
                  REF: BOFAILBE258960N SRC: GMTS BENF: TRW INC.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000065396                            20,788.12 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--029704 SENDER
                  REF: BOFAILBE258961N SRC: GMTS BENF: CARPENTER
                  SPECIALTY ALLOY ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000065398                            18,100.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--029707 SENDER
                  REF: BOFAILBE258962N SRC: GMTS BENF: RAMCEL
                  ENGINEERING COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063138                            16,621.83 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017751 SENDER
                  REF: BOFAILBE258583N SRC: GMTS BENF: FARBOIL CO.
                  ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      42 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063140                            14,246.82 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017754 SENDER
                  REF: BOFAILBE258584N SRC: GMTS BENF: CARPENTER
                  TECHNOLOGY CORP ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063142                            10,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017755 SENDER
                  REF: BOFAILBE258585N SRC: GMTS BENF: KELSAN INC.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000065402                             9,841.55 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--029714 SENDER
                  REF: BOFAILIN012509N SRC: GMTS BENF: GREENING
                  DONALD ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000062093                             8,917.74 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--012040 SENDER
                  REF: BOFAILBE258422R SRC: GMTS BENF: BREED
                  EMPLOYEES RETIREMENT ORIG: BREED TECHNOLOGIES, INC
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000062095                             8,108.82 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--012042 SENDER
                  REF: BOFAILBE258423R SRC: GMTS BENF: ORNL FEDERAL
                  CREDIT UNION ORIG: BREED TECHNOLOGIES, INC
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063144                             7,970.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017757 SENDER
                  REF: BOFAILBE258586N SRC: GMTS BENF: CAMCAR
                  TEXTRON ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063236                             4,459.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017759 SENDER
                  REF: BOFAILBE258587N SRC: GMTS BENF: ENGINEERED
                  PLASTIC COMPONENTS ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063146                             3,977.52 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017761 SENDER
                  REF: BOFAILBE258588N SRC: GMTS BENF: GREER STEEL
                  COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000066436                             3,362.23 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--035559 SENDER
                  REF: BOFAILBE259103N SRC: GMTS BENF: CENTRAL
                  TRANSPORT ORIG: BREED TECHNOLOGIES
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063132                             2,946.24 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017746 SENDER
                  REF: BOFAILBE258580N SRC: GMTS BENF: ELLIOTT TAPE
                  ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000065400Q                            2,850.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--029709 SENDER
                  REF: BOFAILBE258963N SRC: GMTS BENF: ASHLAND
                  CHEMICAL ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000063148                             1,593.40 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--017764 SENDER
                  REF: BOFAILBE258589N SRC: GMTS BENF: WESTBROOK
                  MFG. INC. ORIG: BREED TECHNOLOGIES, INC.
          10/13   WIRE TRANSFER DEBIT                     REF# 641200000062097                             1,316.18 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991013--012046 SENDER
                  REF: BOFAILBE258A24R SRC: GMTS BENF: AMPEX FEDERAL
                  CREDIT UNION ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>


Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      43 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000059565                         700,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--005619 SENDER
                  REF: BOFAILBE259187R SRC: GMTS BENF: ATLANTIC
                  RESEARCH ORIG: BREED TECHNOLOGIES,INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000060709                         368,478.47 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--007079 SENDER
                  REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                  CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000065381                         300,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--026006 SENDER
                  REF: BOFAILBE259801R SRC: GMTS BENF: ATLANTIC TOOL
                  DIE ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000059967                         120,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--006707 SENDER
                  REF: BIOFAILBE259211N SRC: GMTS BENF: KANTUS CORP.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000065377                          88,115.30 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--026003 SENDER
                  REF: BOFAILBE259800N SRC: GMTS BENF: CHRISTENBERRY
                  TRUCKING, INC ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000060733                          86,377.85 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--007080 SENDER
                  REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                  CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000065345                          73,240.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025936 SENDER
                  REF: BOFAILBE259785N SRC: GMTS BENF: TREMONT ORIG:
                  BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000061119                          65,668.40 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--007082 SENDER
                  REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                  CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000065347                          62,269.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025944 SENDER
                  REF: BOFAILBE259786N SRC: GMTS BENF: AEGIS
                  TECHNOLOGIES, INC. ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000065349                          60,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025947 SENDER
                  REF: BOFAILBE259787N SRC: GMTS BENF: RWC, INC.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000065825                          57,216.80 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--028114 SENDER
                  REF: BOFAILBE259865N SRC: GMTS BENF: HITACHI
                  METALS ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000065827                          52,350.18 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--028116 SENDER
                  REF: BOFAILBE259866R SRC: GMTS BENF: HAMLIN TOOL
                  AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                      REF# 641200000061089                          45,686.85 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991O14--007087 SENDER
                  REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                  CORPORATION ORIG: BREED TECHNOLOGIES INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      44 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000061093                            44,824.67 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--007085 SENDER
                  REF: CERIDIAN-STS SRC: BATCH FDL BENF: CERIDIAN
                  CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065351                            40,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025950 SENDER
                  REF: BOFAILBE259788N SRC: GMTS BENF: HYLAND
                  MACHINE CO. ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065829                            36,500.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--028117 SENDER
                  REF: BOFAILBE259867N SRC: GMTS BENF: DAYTON STEEL
                  SERVICE ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000059567                            32,088.66 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--005621 SENDER
                  REF: BOFAILBE259188R SRC: GMTS BENF: ATLANTIC TOOL
                  DIE ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000060701                            30,168.75 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--007077 SENDER
                  REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                  CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065355                            26,287.03 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025956 SENDER
                  REF: BOFAILBE259789N SRC: GMTS BENF: CAMCAR
                  TEXTRON ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000061095                            23,058.97 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--007084 SENDER
                  REF: CERIDIAN-STS SRC: BATCH FDL BENF: CERIDIAN
                  CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065831                            15,797.01 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--028120 SENDER
                  REF: BOFAILBE259868N SRC: GMTS BENF: THOMSON
                  PRECISION ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000066165                            14,324.00 DB
                  MONEY TRANSFER-ILLINOIS TRN: 991014--025959 SENDER
                  REF: BOFAILBE259790N SRC: GMTS BENF: MCALLEN BOLT
                  SCREW ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000060695                            14,287.05 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014-007076 SENDER
                  REF: CERIDIAN-STS SRC: BATCH FDL BENF: CERIDIAN
                  CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000040391                            12,429.57 DB
                  MONEY TRANSFER-ILLINOIS TRN: 991014--029258 SENDER
                  REF: BOFAILIN012567N SRC: GMTS BENF: PASUBIO SPA
                  ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065357                            11,990.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025966 SENDER
                  REF: BOFAILBE259791N SRC: GMTS BENF: METAL
                  COATINGS ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000059969                            10,324.11 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--006709 SENDER
                  REF: BOFAILBE259212N SRC: GMTS BENF: CAMCAR
                  TEXTRON ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      45 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000060705                             9,652.70 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--007078 SENDER
                  REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                  CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000066119                             8,896.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--029253 SENDER
                  REF: BOFAILBE259921N SRC: GMTS BENF: FRAMATOME
                  GROUP ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065359                             8,629.70 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025969 SENDER
                  REF: BOFAILBE259792N SRC: GMTS BENF: KOA SPEER
                  ELECTRIC ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065361                             7,962.62 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025973 SENDER
                  REF: BOFAILBE259793N SRC: GMTS BENF: NIPPON
                  ELECTRIC GLASS AMERICA ORIG: BREED TECHNOLOGIES,
                  INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065363                             7,261.40 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014-025978 SENDER
                  REF: BOFAILBE259794N SRC: GMTS BENF: SANDUSKY,
                  LTD. ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065367                             7,080.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025984 SENDER
                  REF: BOFAILBE259795N SRC: GMTS IENF: P.N. FARRAR
                  ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065369                             5,460.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025990 SENDER
                  REF: BOFAILBE259796N SRC: GMTS BENF: ASSOCIATED
                  SPRING ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000061111                             4,084.86 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014-007083 SENDER
                  REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                  CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000067407                             3,987.36 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--029256 SENDER
                  REF: BOFAILBE259923N SRC: GMTS BENF: OBERG
                  INDUSTRIES ORIG: BREED TECHNOLOGIES INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000066885                             3,679.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--032418 SENDER
                  REF: BOFAILBE259998N SRC: GMTS BENF: ALPHA GARY
                  CORPORATION ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065371                             3,109.68 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025993 SENDER
                  REF: BOFAILBE259797N SRC: GMTS BENF: TRUELINE,
                  INC. ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065373                             2,797.29 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--025997 SENDER
                  REF: BOFAILBE259798N SRC: GMTS BENF: SPIVECO, INC.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000066143                             2,370.40 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--026010 SENDER
                  REF: BOFAILIN012552N SRC: GMTS BENF: M.A.B.
                  INDUSTRIES ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      46 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000065375                             1,686.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--026000 SENDER
                  REF: BOFAILBE259799N SRC: GMTS BENF: BERGQUIST CO.
                  BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000066883                             1,526.33 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--032417 SENDER
                  REF: BOFAILBE259997N SRC: GMTS BENF: AMPHENOL
                  CORPORATION ORIG: BREED TECHNOLOGIES, INC.
          10/14   WIRE TRANSFER DEBIT                     REF# 641200000066121                             1,494.70 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991014--029254 SENDER
                  REF: BOFAILBE259922N SRC: GMTS BENF: PERFECTION
                  SPRING STAMPING CORP. ORIG: BREED TECHNOLOGIES,
                  INC.
           10/15  WIRE TRANSFER DEBIT                     REF# 641200000074132                           418,339.90 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--030987 SENDER
                  REF: BOFAILIN012645N SRC: GMTS BENF: PASUBIO SPA
                  ORIG: BREED TECHNOLOGIES, INC.
           10/15  WIRE TRANSFER DEBIT                     REF# 641200000073642                           250,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--030974 SENDER
                  REF: BOFAILBE261113N SRC: GMTS BENF: ALCOA
                  FUJIKURA, LTD. ORIG: BREED TECHNOLOGIES, INC.
           10/15  WIRE TRANSFER DEBIT                     REF# 641200000071672                           150,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020460 SENDER
                  REF: BOFAILBE260746N SRC: GMTS BENF: ITW DRAWFORM
                  ORIG: BREED TECHNOLOGIS, INC.
           10/15  WIRE TRANSFER DEBIT                     REF# 641200000073646                           150,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--030976 SENDER
                  REF: BOFAILBE261114N SRC: GMTS BENF: CHERRY
                  ELECTRICAL PRODUCTS ORIG: LAKELAND, FL
           10/15  WIRE TRANSFER DEBIT                     REF# 641200000071676                            75,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020463 SENDER
                  REF: BOFAILBE260747N SRC: GMTS BENF: TENNECO
                  PACKAGING INC. ORIG: BREED TECHNOLOGIES INC.
           10/15  WIRE TRANSFER DEBIT                     REF# 641200000071678                            74,500.82 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020467 SENDER
                  REF: BOFAILBE260748N SRC: GMTS BENF: ASHLAND
                  CHEMICAL ORIG: BREED TECHNOLOGIES, INC.
           10/15  WIRE TRANSFER DEBIT                     REF# 641200000073954                            50,302.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--033322 SENDER
                  REF: BOFAILBE261179N SRC: GMTS BENF: TRW ORIG:
                  BREED TECHNOLOGIES, INC.
           10/15  WIRE TRANSFER DEBIT                     REF# 641200000071680                            50,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020470 SENDER
                  REF: BOFAILBE260749N SRC: GMTS BENF: METAL IMPACT
                  ORIG: BREED TECHNOLOGIES, INC.
           10/15  WIRE TRANSFER DEBIT                     REF# 641200000071682                            44,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020473 SENDER
                  REF: BOFAILBE260750N SRC: GMTS BENF: JACKSON TUBE
                  SERVICE ORIG: BREED TECHNOLOGIES, INC.
           10/15  WIRE TRANSFER DEBIT                     REF# 641200000071684                            36,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020478 SENDER
                  REF: BOFAILBE260751N SRC: GMTS BENF: EAGLE OTTAWA
                  LEATHER COMPANY ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      47 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000033962                            30,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020536 SENDER
                  REF: BOFAILIN012611N SRC: GMTS BENF: MADERAS
                  PROCESADAS ORIG: BREED TECHNOLOGIES, INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000073648                            27,700.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--030979 SENDER
                  REF: BOFAILBE261115N SRC: GMTS BENF: EATON
                  CORPORATION ORIG: BREED TECHNOLOGIES, INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000073650                            26,277.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--030981 SENDER
                  REF: BOFAILBE261116N SRC: GMTS BENF: ASSOCIATED
                  SPRING ORIG: BREED TECHNOLOGIES, INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000071688                             9,330.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020482 SENDER
                  REF: BOFAILBE260752N SRC: GMTS BENF: CENTURY
                  FASTENERS CORPORATION ORIG: BREED TECHNOLOGIES,
                  INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000071690                             9,120.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020485 SENDER
                  REF: BOFAILBE260753N SRC: GMTS BENF: REYNOLDS
                  REYNOLDS ORIG: BREED TECHNOLOGIES, INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000071692                             7,500.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020493 SENDER
                  REF: BOFAILBE260754N SRC: GMTS BENF: ACME MACHINE
                  AUTOMATICS, INC. ORIG: BREED TECHNOLOGIES, INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000073652                             7,044.49 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--030982 SENDER
                  REF: BOFAILBE261117R SRC: GMTS BENF: HAMLIN TOOL
                  AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000071696                             5,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020497 SENDER
                  REF: BOFAILBE260755N SRC: GMTS BENF: BREED
                  AUTOMOTIVE LP ORIG: BREED TECHNOLOGIES, INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000071698                             4,405.10 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020502 SENDER
                  REF: BOFAILBE260756N SRC: GMTS BENF: P.D. GEORGE
                  COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000071700                             3,900.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020506 SENDER
                  REF: BOFAILBE260757N SRC: GMTS BENF: STEVENS CO.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000074376                             2,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--035391 SENDER
                  REF: BOFAILIN012662N SRC: GMTS BENF: ASHIMORI
                  INDUSTRY CO. ORIG: BREED TECHNOLOGIES,INC
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000071702                             1,834.83 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020514 SENDER
                  REF: BOFAILBE260758N SRC: GMTS BENF: H M COMPANY,
                  INC. ORIG: BREED TECHNOLOGIES, INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000071704                             1,773.60 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020518 SENDER
                  REF: BOFAILBE260759N SRC: GMTS BENF: WHITLAM LABEL
                  CO. ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>


Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      48 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000071706                               659.75 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991015--020527 SENDER
                  REF: BOFAILBE260760N SRC: GMTS BENF: RIVER CITY
                  PLASTICS ORIG: BREED TECHNOLOGIES, INC.
          10/18   WIRE TRANSFER DEBIT                     REF# 641200000057909                           700,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--005985 SENDER
                  REF: BOFAILBE261453R SRC: GMTS BENF: ATLANTIC
                  RESEARCH ORIG: BREED TECHNOLOGIES,INC.
          10/18   WIRE TRANSFER DEBIT                     REF# 641200000062617                           317,670.05 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--024171 SENDER
                  REF: BOFAILBE262105N SRC: GMTS BENF: METHODE ORIG:
                  BREED TECHNOLOGIES INC.
          10/18   WIRE TRANSFER DEBIT                     REF# 641200000061007                           300,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--020447 SENDER
                  REF: BOFAILBE261952N SRC: GMTS BENF: ROCKY
                  MOUNTAIN PLASTICS ORIG: BREED TECHNOLOGIES,INC.
          10/18   WIRE TRANSFER DEBIT                     REF# 641200000061013                           139,988.80 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--020457 SENDER
                  REF: BOFAILBE261955N SRC: GMTS BENF: CUEROS
                  INDUSTRIALIZADOS DEL BAJIO ORIG: BREED
                  TECHNOLOGIES, INC.
          10/18   WIRE TRANSFER DEBIT                     REF# 641200000061777                            50,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--024175 SENDER
                  REF: BOFAILBE262106N SRC: GMTS BENF: CTC
                  ENGINEERING ORIG:  BREED TECHNOLOGIES,INC.
          10/18   WIRE TRANSFER DEBIT                     REF# 641200000061771                            42,011.70 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--024163 SENDER
                  REF: BOFAILBE262103N SRC: GMTS BENF: DUPONT ORIG:
                  BREED TECHNOLOGIES,INC.
          10/18   WIRE TRANSFER DEBIT                     REF# 641200000062589                            30,660.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--024186 SENDER
                  REF: BOFAILIN012726N SRC: GMTS BENF: BREED TECH,
                  BEIJING OFFICE ORIG:  BREED TECHNOLOGIES,INC.
          10/15   WIRE TRANSFER DEBIT                     REF# 641200000062977                            16,913.69 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--031403 SENDER
                  REF: BOFAILBE262323N SRC: GMTS BENF:
                  POWDERTEK,INC. ORIG:  BREED TECHNOLOGIES,INC.
          10/18   WIRE TRANSFER DEBIT                     REF# 641200000061773                            15,907.62 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--024165 SENDER
                  REF: BOFAILBE262104R SRC: GMTS BENF: HAMLIN TOOL
                  AND MACHINE ORIG:  BREED TECHNOLOGIES, INC.
          10/18   WIRE TRANSFER DEBIT                     REF# 641200000061015                             9,848.46 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--020461 SENDER
                  REF: BOFAILBE261956N SRC: GMTS BENF: CENTRAL
                  TRANSPORT ORIG:  BREED TECHNOLOGIES,INC.
          10/18   WIRE TRANSFER DEBIT                     REF# 641200000061023                             9,841.55 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--020473 SENDER
                  REF: BOFAILIN012716N SRC: GMTS BENF: GREENING
                  DONALD ORIG: BREED TECHNOLOGIES,INC.
          10/18   WIRE TRANSFER DEBIT                     REF# 641200000062979                             9,664.58 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991018--031404 SENDER
                  REF: BOFAILBE262324N SRC: GMTS BENF: ENGINEERED
                  PLASTIC COMPONENTS ORIG: BREED TECHNOLOGIES,INC.
</TABLE>
<PAGE>


Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      49 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------  --------------------------------------------------------------------------  -------------------------
<S>              <C>                                                                         <C>
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000061779                             9,464.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--024178 SENDER
                   REF: BOFAILBE262107N SRC: GMTS BENF: AZTEC WIRE
                   ORIG: BREED TECHNOLOGIES, INC.
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000063581                             9,201.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--034482 SENDER
                   REF: BOFAILBE262399N SRC: GMTS BENF: PETRO
                   EXTRUSION TECHNOLOGIES ORIG: BREED
                   TECHNOLOGIES, INC.
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000062603                             8,628.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--024190 SENDER
                   REF: BOFAILIN012727N SRC: GMTS BENF: BREED TECH,
                   BEIJING OFFICE ORIG: BREED TECHNOLOGIES, INC.
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000061017                             8,011.08 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--020464 SENDER
                   REF: BOFAILBE261957N SRC: GMTS BENF: KANE
                   MAGNETICS ORIG: BREED TECHNOLOGIES, INC.
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000061009                             7,900.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--020450 SENDER
                   REF: BOFAILBE261953R SRC: GMTS BENF: TRW
                   AUTOMOTIVE ORIG: BREED TECHNOLOGIES, INC.
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000061019                             7,776.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--020466 SENDER
                   REF: BOFAILBE261958N SRC: GMTS BENF: UNISOURCE TX
                   ORIG: BREED TECHNOLOGIES, INC.
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000063207                             5,697.50 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--031411 SENDER
                   REF: BOFAILIN012736N SRC: GMTS BENF: CHARTER
                   ELECTRONICS LTD ORIG: BREED TECHNOLOGIES, INC.
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000040409                             5,515.50 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--024181 SENDER
                   REF: BOFAILIN012724N SRC: GMTS BENF: SIEMENS ORIG:
                   BREED TEHNOLOGIES, INC.
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000061021                             5,460.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--020469 SENDER
                   REF: BOFAILBE261959N SRC: GMTS BENF: MICRO--LINE
                   ASSOC ORIG: BREED TECHNOLOGIES, INC.
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000061011                             4,500.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--020453 SENDER
                   REF: BOFAILBE261954N SRC: GMTS BENF: CAMCAR
                   TEXTRON ORIG: BREED TECHNOLOGIES, INC.
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000061781                             2,375.75 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--024183 SENDER
                   REF: BOFAILIN012725N SRC: GMTS BENF: SUNGWOO CORP
                   ORIG: BREED TECHNOLOGIES, INC.
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000062981                             1,365.93 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018-031407 SENDER
                   REF: BOFAILBE262325N SRC: GMTS BENF:
                   POWDERTEK, INC. ORIG: LAKELAND, FL
          10/18    WIRE TRANSFER DEBIT                    REF# 641200000062983                                45.95 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991018--031410 SENDER
                   REF: BOFAILBE262326N SRC: GMTS BENF: AVERITT
                   EXPRESS ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      50 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                      AMOUNT
---------------  --------------------------------------------------------------------------  -------------------------
<S>              <C>                                                                         <C>
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000059863                           676,225.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--024026 SENDER
                 REF: BOFAILBE263179R SRC: GMTS BENF: ALLIEDSIGNAL,
                 INC. ORIG: BREED TECHNOLOGIES, INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000056787                            80,358.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--008421 SENDER
                 REF: BOFAILBE262623N SRC: GMTS BENF: MUELLER BRASS
                 ORIG: BREED TECHNOLOGIES, INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000056789                            56,800.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--008422 SENDER
                 REF: BOFAILBE262624N SRC: GMTS BENF: HASCO
                 COMPONENTS INTL CORP. ORIG: BREED TECHNOLOGIES,
                 INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000059865                            55,929.24 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--024030 SENDER
                 REF: BOFAILBE263180R SRC: GMTS BENF: HAMLIN TOOL
                 AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000037363                            30,296.15 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--024034 SENDER
                 REF: BOFAILIN012788N SRC: GMTS BENF: SFS STADLER
                 ORIG: BREED TECHNOLOGIES, INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000061467                            27,770.57 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--033400 SENDER
                 REF: BOFAILBE263390N SRC: GMTS BENF: WEISS AUG
                 ORIG: BREED TECHNOLOGIES, INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000061469                            25,000.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--033405 SENDER
                 REF: BOFAILBE263392N SRC: GMTS BENF: US FILTER
                 ORIG: BREED TECHNOLOGIES, INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000011737                            11,000.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--008426 SENDER
                 REF: BOFAILINO12748N SRC: GMTS BENF: BSRS GMDH
                 ORIG: BREED TECHNOLOGIES, INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000059867                             9,164.40 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--024031 SENDER
                 REF: BOFAILBE263181N SRC: GMTS BENF: 3M ORIG:
                 BREED TECHNOLOGIES, INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000011725                             5,898.88 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--008425 SENDER
                 REF: BOFAILIN012747N SRC: GMTS BENF: PASUBIO SPA
                 ORIG: BREED TECHNOLOGIES, INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000061471                             5,852.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--033408 SENDER
                 REF: BOFAILBE263393N SRC: GMTS BENF: GE PLASTICS
                 ORIG: BREED TECHNOLOGIES, INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000061473                             5,764.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--033411 SENDER
                 REF: BOFAILBE263395N SRC: GMTS BENF: POLYMERLAND
                 ORIG: BREED TECHNOLOGIES, INC.
          10/19  WIRE TRANSFER DEBIT                     REF# 641200000061475                             5,462.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991019--033418 SENDER
                 REF: BOFAILBE263397N SRC: GMTS BENF: TRULINE INC.
                 ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      51 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/19   WIRE TRANSFER DEBIT                     REF# 641200000059827                             5,295.39 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991019--023879 SENDER
                  REF: BOFAILBE263177R SRC: GMTS BENF: BREED
                  EMPLOYEES RETIREMENT ORIG: BREED TECHNOLOGIES, INC
          10/19   WIRE TRANSFER DEBIT                     REF# 641200000061545                             4,930.60 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991019--033747 SENDER
                  REF: BOFAILBE263417N SRC: GMTS BENF: NYLOCK
                  FASTENERS ORIG: BREED TECHNOLOGIES,INC.
          10/19   WIRE TRANSFER DEBIT                     REF# 641200000061477                             4,800.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991019--033420 SENDER
                  REF: BOFAILBE263398N SRC: GMTS BENF: GIBBS WIRE
                  AND STEEL COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/19   WIRE TRANSFER DEBIT                     REF# 641200000061479                             4,384.42 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991019--033425 SENDER
                  REF: BOFAILBE263400N SRC: GMTS BENF: WEIGHT TEST
                  SOLUTIONS ORIG: BREED TECHNOLOGIES, INC.
          10/19   WIRE TRANSFER DEBIT                     REF# 641200000061567                             3,872.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991019--033992 SENDER
                  REF: BOFAILBE263425N SRC: GMTS BENF: COMTREX ORIG:
                  BREED TECHNOLOGIES,INC.
          10/19   WIRE TRANSFER DEBIT                     REF# 641200000061481                             3,869.32 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991019--033433 SENDER
                  REF: BOFAILBE263402N SRC: GMTS BENF: GENESIS
                  MOLDING ORIG: BREED TECHNOLOGIES, INC.
          10/19   WIRE TRANSFER DEBIT                     REF# 641200000061483                             3,195.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991019--033437 SENDER
                  REF: BOFAILBE263403N SRC: GMTS BENF: BARIUM
                  CHEMICALS ORIG: BREED TECHNOLOGIES, INC.
          10/19   WIRE TRANSFER DEBIT                     REF# 641200000056791                             3,109.68 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991019--008423 SENDER
                  REF: BOFAILBE262625N SRC: GMTS BENF: TRUELINE,
                  INC. ORIG: BREED TECHNOLOGIES, INC.
          10/19   WIRE TRANSFER DEBIT                     REF# 641200000056793                             2,888.89 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991019--008424 SENDER
                  REF: BOFAILBE262626N SRC: GMTS BENF: CHEMCO ORIG:
                  BREED TECHNOLOGIES, INC.
          10/19   WIRE TRANSFER DEBIT                     REF# 641200000061485                             2,341.20 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991019--033445 SENDER
                  REF: BOFAILBE263405N SRC: GMTS BENF: INDUSTRIAL
                  ELECTRICAL ORIG: BREED TECHNOLOGIES, INC.
          10/20   HIRE TRANSFER DEBIT                     REF# 641200000064519                           900,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991020--033626 SENDER
                  REF: BOFAILBE264255R SRC: GMTS BENF: PAYMENT
                  LOGISTIC SERVICES ORIG: BREED TECHNOLOGIES, INC.
          10/20   WIRE TRANSFER DEBIT                     REF# 641200000059135                           700,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991020--007452 SENDER
                  REF: BOFAILBE263496R SRC: GMTS BENF: ATLANTIC
                  RESEARCH ORIG: BREED TECHNOLOGIES,INC.
          10/20   WIRE TRANSFER DEBIT                     REF# 641200000058905                           172,480.93 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991020--007079 SENDER
                  REF: BOFAILBE263487R SRC: GMTS BENF: BREED
                  EMPLOYEES RETIREMENT ORIG: BREED TECHNOLOGIES, INC
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      52 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------  --------------------------------------------------------------------------  -------------------------
<S>              <C>                                                                         <C>
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064521                            70,502.16 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033627 SENDER
                 REF: BOFAILBE264256N SRC: GMTS BENF: KANE
                 MAGNETICS ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064523                            50,000.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033631 SENDER
                 REF: BOFAILBE264257R SRC: GMTS BENF: TRW
                 AUTOMOTIVE ORIG: BREED TECHNOLOGIES,INC.
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064527                            41,729.85 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033633 SENDER
                 REF: BOFAILBE264258N SRC: GMTS BENF:
                 TEXTRON ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064529                            30,000.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033637 SENDER
                 REF: BOFAILBE264259N SRC: GMTS BENF: SHERWIN
                 WILLIAMS ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064531                            25,126.14 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033639 SENDER
                 REF: BOFAILBE264260R SRC: GMTS BENF: YAZAKI NORTH
                 AMERICA ORIG: BREED TECHNOLOGIES,INC.
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000045665                            17,160.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033674 SENDER
                 REF: BOFAILIN012849N SRC: GMTS BENF: POWERBOSS
                 (MALAYSIA) SDN BHD. ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064535                            16,601.76 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033645 SENDER
                 REF: BOFAILBE264261N SRC: GMTS BENF: KANE
                 MAGNETICS ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064617                            10,000.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--034173 SENDER
                 REF: BOFAILBE264282R SRC: GMTS BENF: BREED
                 AUTOMOTIVE LP ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064441                             8,177.29 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--032971 SENDER
                 REF: BOFAILBE264240R SRC: GMTS BENF: ORNL FEDERAL
                 CREDIT UNION ORIG: BREED TECHNOLOGIES, INC
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064537                             8,014.57 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033646 SENDER
                 REF: BOFAILBE264262R SRC: GMTS BENF: HAMLIN TOOL
                 AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064539                             7,306.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033652 SENDER
                 REF: BOFAILBE264263N SRC: GMTS BENF: PRESSAC, INC.
                 ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064541                             5,730.60 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033655 SENDER
                 REF: BOFAILBE264264N SRC: GMTS BENF: SPIVECO ORIG:
                 BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                     REF# 641200000064543                             5,658.40 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033658 SENDER
                 REF: BOFAILBE264265N SRC: GMTS BENF: SGM ARMTEK
                 ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      53 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------  --------------------------------------------------------------------------  -------------------------
<S>              <C>                                                                         <C>
          10/20  WIRE TRANSFER DEBIT                      REF# 641200000064545                             4,426.63 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033659 SENDER
                 REF: BOFAILBE264266N SRC: GMTS BENF: CAMCAR
                 TEXTRON ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                      REF# 641200000064547                             4,155.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033662 SENDER
                 REF: BOFAILBE264267N SRC: GMTS BENF: POLYMERLAND
                 ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                      REF# 641200000045705                             3,150.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020-033675 SENDER
                 REF: BOFAILIN012850N SRC: GMTS BENF: TT
                 ENGINEERING AND MANUFACTURING ORIG: BREED
                 TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                      REF# 641200000064625                             2,640.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033677 SENDER
                 REF: BOFAILIN012851N SRC: GMTS BENF: TANAKA
                 ELECTRONICS SINGAPORE PTE. ORIG: BREED
                 TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                      REF# 641200000064549                             2,420.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033664 SENDER
                 REF: BOFAILBE264268N SRC: GMTS BENF: DALE
                 ELECTRONICS ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                      REF# 641200000064443                             2,335.19 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--032972 SENDER
                 REF: BOFAILBE264241R SRC: GMTS BENF: BREED
                 TECHNOLOGIES, INC. FLEX ORIG: BREED
                 TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                      REF# 641200000064551                             1,686.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020-033666 SENDER
                 REF: BOFAILBE264269N SRC: GMTS BENF: THE BERGQUIST
                 COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                      REF# 641200000064445                             1,278.73 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--032976 SENDER
                 REF: BOFAILBE264242R SRC: GMTS BENF: AMPEX FEDERAL
                 CREDIT UNION ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                      REF# 641200000064553                               840.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033667 SENDER
                 REF: BOFAILBE26427ON SRC: GMTS BENF: WHITLAM LABEL
                 CO. ORIG: BREED TECHNOLOGIES, INC.
          10/20  WIRE TRANSFER DEBIT                      REF# 641200000064555                               809.96 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991020--033671 SENDER
                 REF: BOFAILBE264271N SRC: GMTS BENF: PERFECTION
                 SPRING STAMPING CORP. ORIG: BREED TECHNOLOGIES,
                 INC.
          10/21  WIRE TRANSFER DEBIT                      REF# 641200000062243                           675,000.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--033977 SENDER
                 REF: BOFAILBE265302N SRC: GMTS BENF: GIBBS DIE
                 CASTING ORIG: BREED TECHNOLOGIES, INC.
          10/21  WIRE TRANSFER DEBIT                      REF# 641200000055917                           312,718.57 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--006649 SENDER
                 REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                 CORPORATION ORIG: BREED TECHNOLOGIES INC.
</TABLE>
<PAGE>

BANK OF AMERICA [LOGO]                                            Corporate Depo
                                                                         Stateme

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                       ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                                PAGE    54 OF 82

    ----------------------------------------------------------------------------
                        ELECTRONIC WIRE TRANSFER SUMMARY
    ----------------------------------------------------------------------------

<TABLE>
<CAPTION>
    POST DATE        CUSTOMER REFERENCE OR ITEM DESCRIPTION                   AMOUNT
    ----------   -----------------------------------------------       -----------------
    <S>          <C>                                                   <C>
      10/21      WIRE TRANSFER DEBIT     REF# 641200000062315              109,882.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--033980 SENDER
                 REF: BOFAILBE265303N SRC: GMTS BENF: RWC, INC.
                 ORIG: BREED TECHNOLOGIES, INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000062245               82,322.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--033986 SENDER
                 REF: BOFAILBE265304N SRC: GMTS BENF: TEKNOR APEX
                 ORIG: BREED TECHNOLGIES, INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000062247               80,114.80 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--033990 SENDER
                 REF: BOFAILBE265305N SRC: GMTS BENF: A. SCHULMAN
                 ORIG: BREED TECHNOLOGIES, INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000055907               77,108.47 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--006651 SENDER
                 REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                 CORPORATION ORIG: BREED TECHNOLOGIES INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000062249               53,706.06 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--033997 SENDER
                 REF: BOFAILBE265306N SRC: GMTS BENF: RAYCHEM ORIG:
                 BREED TECHNOLOGIES, INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000062255               55,591.84 DB
                 MONEY TRANSFER--ILLINOIS TRN; 991021--034001 SENDER
                 REF: BOFAILBE265307R SRC: GMTS BENF: HAMLIN TOOL
                 AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000060003               50,000.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021-024197 SENDER
                 REF: BOFAILBE265046N SRC: GMTS BENF: LOERA CUSTOM
                 BROKERAGE ORIG: BREED TECHNOLOGIES,INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000055861               48,710.31 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021-006655 SENDER
                 REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                 CORPORATION ORIG: BREED TECHNOLOGIES INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000057363               42,975.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--011784 SENDER
                 REF: BOFAILBE264691N SRC: GMTS BENF: DAYTON STEEL
                 SERVICE ORIG: BREED TECHNOLOGIES, INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000062259               42,877.76 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--034004 SENDER
                 REF: BOFAILBE265308N SRC: GMTS BENF: CHEMCO
                 ELECTRIC ORIG: BREED TECHNOLOGIES, INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000062263               32,775.00 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--034008 SENDER
                 REF: BOFAILBE265309N SRC: GMTS BENF: INTEGRATED
                 SYSTEMS TECHNOLOGIES ORIG: BREED TECHNOLOGIES,
                 INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000057365               28,076.85 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--011787 SENDER
                 REF: BOFAILBE264692N SRC: GMTS BENF: AVERY ORIG:
                 BREED TECHNOLOGIES, INC.
      10/21      WIRE TRANSFER DEBIT     REF# 641200000055901               27,145.51 DB
                 MONEY TRANSFER--ILLINOIS TRN: 991021--006654 SENDER
                 REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                 CORPORATION ORIG: BREED TECHNOLOGIES INC.

</TABLE>
<PAGE>


Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      55 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>                <C>                                                                         <C>

          10/21    WIRE TRANSFER DEBIT                    REF# 641200000055913                            24,176.56 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--006650 SENDER
                   REF: CERIDIAN-STS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000062319                            24,120.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034012 SENDER
                   REF: BOFAILBE265310N SRC: GMTS BENF: UNIFRAX
                   CORPORATION ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000061327                            23,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--029526 SENDER
                   REF: BOFAILIN012916R SRC: GMTS BENF: BREED AMERICA
                   DO SUL SISTEMAS DE SE ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000062265                            21,056.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034013 SENDER
                   REF: BOFAILBE265311N SRC: GMTS BENF: BETECH ORIG:
                   BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000062267                            19,093.64 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034016 SENDER
                   REF: BOFAILBE265312N SRC: GMTS BENF: THOMSOM ORIG:
                   BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000062269                            18,240.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034018 SENDER
                   REF: BOFAILBE265313N SRC: GMTS BENF: REYNOLDS
                   REYNOLDS ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000062273                            11,813.92 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034020 SENDER
                   REF: BOFAILBE265314N SRC: GMTS BENF: CARPENTER
                   TECHNOLOGIES ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000062277                            10,155.60 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034023 SENDER
                   REF: BOFAILBE265315N SRC: GMTS BENF: CAVALLI ORIG:
                   BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000057043                             8,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--010584 SENDER
                   REF: BOFAILBE264670R SRC: GMTS BENF: BREED
                   AUTOMOTIVE LP ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000062279                             7,600.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034024 SENDER
                   REF: BOFAILBE265316N SRC: GMTS BENF: SGM ARMTEK
                   ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000062291                             7,171.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034O42 SENDER
                   REF: BOFAILBE265322N SRC: GMTS BENF: 99 SERVICES,
                   INC. ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000062341                             7,080.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034046 SENDER
                   REF: BOFAILIN012928N SRC: GMTS BENF: P.N. FARRAR
                   ENTERPRISES ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF# 641200000062283                             4,797.95 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034027 SENDER
                   REF: BOFAILBE265317N SRC: GMTS BENF: POWDERTEK,
                   INC. ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America

    CDA USCG ILLINOIS NORTH 18188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262--2726

    1029991010
                                                           PAGE      56 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/21    WIRE TRANSFER DEBIT                    REFt 641200000055905                        4,565.35      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--006652 SENDER
                   REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/21    WIRE TRANSFER DEBIT                    REFI 641200000062285                        3,214.82      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034031 SENDER
                   REF: BOFAILBE265318N SRC: GMTS BENF: GENESIS
                   MOLDING ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REFt 641200000062287                        3,143.77      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034034 SENDER
                   REF: BOFAILBE265319N SRC: GMTS BENF: ROADWAY
                   EXPRESS ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REFt 641200000062321                        3,119.76      DB
                   MONEY TRANSFER--ILLHOIS TRN: 991021--034038 SENDER
                   REF: BOFAILBE26532ON SRC: GMTS BENF: REED SWITCH
                   DEVELOPMENTS CO. ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REFt 641200000057367                        2,936.77      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--011789 SENDER
                   REF: BOFAILBE264693N SRC: GMTS BENF: UNITED
                   PLASTICS CORPORATION ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REF 641200000062289                         2,812.50      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034040 SENDER
                   REF: BOFAILBE265321N SRC: GMTS BENF: COMPONENT
                   PLASTICS ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REFt 641200000056019                        1,773.00      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--007603 SENDER
                   REF: BOFAILBE264475N SRC: GMTS BENF: ITW DELTAR
                   ENGD. FASTENERS ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REFt 641200000046891                        1,764.96      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--035589 SENDER
                   REF: BOFAILINO12931N SRC: GMTS BENF: SIEMENS ORIG:
                   BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REFI 641200000062293                          869.44      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--034048 SENDER
                   REF: BOFAILINO12929N SRC: GMTS BENF: AUTOLIV JAPAN
                   ORIG: BREED TECHNOLOGIES, INC.
          10/21    WIRE TRANSFER DEBIT                    REFt 641200000055903                          715.78      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991021--006653 SENDER
                   REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/22    WIRE TRANSFER DEBIT                    REFI 641200000061559                      700,000.00      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--011727 SENDER
                   REF: BOFAILBE265678R SRC: GMTS BENF: ATLANTIC
                   RESEARCH ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REFI 641200000034315                      311,381.15      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--025538 SENDER
                   REF: B0FAILIN012975N SRC: GMTS BENF: PASUBIO, SPA
                   ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REFt 641200000064177                      278,038.35      DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--025524 SENDER
                   REF: BOFAILBE2661O4N SRC: GMTS BENF: METHODE
                   ELECTRONICS, INC ORIG: BREED TECHNOLOGIES INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      57 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000065303                           250,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--031436 SENDER
                   REF: BOFAILBE266271N SRC: GMTS BENF: ALCOA
                   FUJIKURA, LTD. ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000066001                           222,732.97 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--034682 SENDER
                   REF: BOFAILBE266346R SRC: GMTS BENF: BREED
                   EMPLOYEES RETIREMENT ORIG: BREED TECHNOLOGIES, INC
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000065305                           216,700.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--031439 SENDER
                   REF: BOFAILBE266272N SRC: GMTS BENF: DUPONT NYLON
                   ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000065177                           124,047.17 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--030380 SENDER
                   REF: BOFAILBE266241N SRC: GMTS BENF: FRAMATOME
                   ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000065779                           100,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--031442 SENDER
                   REF: BOFAILBE266273N SRC: GMTS BENF: ILLBRUCK
                   AUTOMOTIVE ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000064179                            77,616.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--025525 SENDER
                   REF: BOFAILBE266105N SRC: GMTS BENF: CHESTER
                   PRECISION ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000034845                            40,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--025541 SENDER
                   REF: BOFAILINO12976N SRC: GMTS BENF: EMPAQUES RIO
                   GRANDE ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000065179                            22,150.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--030384 SENDER
                   REF: BOFAILBE266242N SRC: GMTS BENF: CIMTEK ORIG:
                   BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000065309                            12,813.51 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--031445 SENDER
                   REF: BOFAILBE266274N SRC: GMTS BENF: DUPONT ORIG:
                   BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000065181                             9,854.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022-030385 SENDER
                   REF: BOFAILBE266243N SRC: GMTS BENF: ASTRO
                   ENTERPRISES ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000064181                             5,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022-025529 SENDER
                   REF: BOFAILBE2661O6N SRC: GMTS BENF: CIMTEK ORIG:
                   BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000034347                             3,880.97 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022-025543 SENDER
                   REF: BOFAILINO12977N SRC: GMTS BENF: HALITECH,
                   INC. ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000065311                             3,280.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022-031448 SENDER
                   REF: BOFAILBE266275N SRC: GMTS BENF: ASSOCIATED
                   SPRING ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>


Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      58 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------    --------------------------------------------------------------------------  -----------------------
<S>                <C>                                                                         <C>
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000065313                             2,784.59 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--031450 SENDER
                   REF: BOFAILBE266276R SRC: GMTS BENF: HAMLIN TOOL
                   AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000064183                             2,352.18 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--O25531 SENDER
                   REF: BOFAILBE2661O7N SRC: GMTS BENF: REED SWITCH
                   DEVELOPMENTS CO., INC. ORIG: BREED TECHNOLOGIES,
                   INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000064185                             1,593.40 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--025534 SENDER
                   REF: BOFAILBE2661O8N SRC: GMTS BENF: WESTBROOK
                   MFG. INC. ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000065183                               724.03 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--030387 SENDER
                   REF: BOFAILBE266244N SRC: GMTS BENF: THERMOTRON
                   INDUSTRIES ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000034401                               695.00 DB
                   MONEY TRANSFER-ILLINOIS TRN: 991022--025546 SENDER
                   REF: BOFAILINO12978N SRC: GMTS BENF: DIE
                   CRAFTSMEN, INC. ORIG: BREED TECHNOLOGIES, INC.
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000065185                               597.77 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--030389 SENDER
                   REF: BOFAILBE266245N SRC: GMTS BENF: EPOXYLITE
                   CORP ORIG: BREED TECHNOLOGIES
          10/22    WIRE TRANSFER DEBIT                    REF# 641200000064187                               590.40 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991022--025537 SENDER
                   REF: BOFAILBE2661O9N SRC: GMTS BENF: CAMCAR
                   TEXTRON ORIG: BREED TECHNOLOGIES, INC.
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000067343                           300,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025--031710 SENDER
                   REF: BOFAILBE267339N SRC: GMTS BENF: GE CAPITAL
                   FINANCIAL,INC. ORIG: BREED TECHNOLOGIES,INC.
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000068071                           213,358.93 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025--035952 SENDER
                   REF: BOFAILBE26743ON SRC: GMTS BENF: CEUROS
                   INDUSTRIALIZADOS DEL BAJIO ORIG: BREED
                   TECHNOLOGIES, INC.
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000067327                            38,434.50 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025--031691 SENDER
                   REF: BOFAILBE267331N SRC: GMTS BENF: AEGIS
                   TECHNOLOGIES,INC. ORIG: BREED TECHNOLOGIES,INC.
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000067341                            30,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025--031709 SENDER
                   REF: BOFAILBE267338N SRC: GMTS BENF: WIRE
                   TECHNOLOGIES,INC. ORIG: BREED TECHNOLOGIES,INC.
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000068073                            30,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025--035954 SENDER
                   REF: BOFAILBE267431N SRC: GMTS BENF: TRANSFAIR
                   TRANSGROUP ORIG: BREED TECHNOLOGIES,INC.
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000067333                             7,145.37 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025--031700 SENDER
                   REF: BOFAILBE267334N SRC: GMTS BENF:
                   POWDERTEK,INC. ORIG: BREED TECHNOLOGIES,INC.
</TABLE>
<PAGE>

Logo of Bank of America
                                                               Corporate Deposit
                                                                       Statement
    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010

                                                           PAGE      59 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000067329                             5,460.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025--031694 SENDER
                   REF: BOFAILBE267332N SRC: GMTS BENF: MICROLINE
                   ASSOC ORIG: BREED TECHNOLOGIES, INC.
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000067339                             3,385.80 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025-0317O7 SENDER
                   REF: BOFAILBE267337N SRC: GMTS BENF: 3M ORIG:
                   BREED TECHNOLOGIES, INC.
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000067335                             2,812.50 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025--031702 SENDER
                   REF: BOFAILBE267335N SRC: GMTS BENF: COMPONENT
                   PLASTICS ORIG: BREED TECHNOLOGIES, INC.
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000067337                             1,850.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025--031704 SENDER
                   REF: BOFAILBE267336N SRC: GMTS BENF: INDUSTRIAL
                   ELECTRIC ORIG: BREED TECHNOLOGIES, INC.
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000067345                             1,710.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025--031711 SENDER
                   REF: BOFAILBE26734ON SRC: GMTS BENF: MA HANNA
                   ORIG: BREED TECHNOLOGIES, INC.
          10/25    WIRE TRANSFER DEBIT                    REF# 641200000067331                               291.62 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991025--031697 SENDER
                   REF: BOFAILBE267333N SRC: GMTS BENF:
                   WELDLOGIC,INC. ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000061213                           627,648.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--022674 SENDER
                   REF: BOFAILBE268143R SRC: GMTS BENF: ALLIEDSIGNAL,
                   INC. ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000057531                           260,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--006694 SENDER
                   REF: BOFAILBE267523N SRC: GMTS BENF: WHITTAR STEEL
                   ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000057533                           207,147.78 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--006695 SENDER
                   REF: BOFAILBE267524N SRC: GMTS BENF: COLD HEADING
                   COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000057535                            70,871.36 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--006697 SENDER
                   REF: BOFAILBE267525R SRC: GMTS BENF: HAMLIN TOOL
                   AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000061215                            55,400.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--022680 SENDER
                   REF: BOFAILBE268144N SRC: GMTS BENF: EATON
                   CORPORATION ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000061217                            42,011.70 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--022684 SENDER
                   REF: BOFAILBE268145N SRC: GMTS IENF: DUPONT ORIG:
                   BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000063219                            40,874.48 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--033763 SENDER
                   REF: BOFAILBE268466R SRC: GMTS BENF: HAMLIN TOOL
                   AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America
                                                               Corporate Deposit
                                                                       Statement
    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010

                                                           PAGE      60 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000063197                            40,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--033721 SENDER
                   REF: BOFAILBE268454N SRC: GMTS BENF: TENNECO
                   PACKAGING INC. ORIG: BREED TECHNOLOGIES INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000057537                            19,548.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--006698 SENDER
                   REF: BOFAILBE267526N SRC: GMTS BENF: J L SPECIALTY
                   STEEL, INC. ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000063253                            13,250.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--033765 SENDER
                   REF: BOFAILINO1313ON SRC: GMTS BENF: CHARTER
                   ELECTRONICS LTD. ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000058369                            10,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--009436 SENDER
                   REF: BOFAILBE2676O9R SRC: GMTS BENF: BREED
                   AUTOMOTIVE LP ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000063245                            10,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--033723 SENDER
                   REF: BOFAILBE268455N SRC: GMTS BENF: BFI ORIG:
                   BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000063251                             7,987.60 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--033768 SENDER
                   REF: BOFAILINO13131N SRC: GMTS BENF: MAB
                   INDUSTRIES ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000063199                             7,306.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--033725 SENDER
                   REF: BOFAILBE268456N SRC: GMTS BENF: PRESSAC, INC.
                   ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000063201                             5,580.90 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--033728 SENDER
                   REF: BOFAILBE268457N SRC: GMTS BENF: NYLOCK
                   FASTENERS ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000061221                             4,070.02 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--022691 SENDER
                   REF: BOFAILBE268146R SRC: GMTS BENF: HAMLIN TOOL
                   AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000063225                             3,161.20 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--033733 SENDER
                   REF: BOFAILBE268458N SRC: GMTS BENF: ENGINEERED
                   PLASTIC COMPONENTS ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000047169                             2,782.50 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--033737 SENDER
                   REF: BOFAILIE268459N SRC: GMTS BENF: PENICO
                   INDUSTRIES ORIG: BREED TECHNOLOGIES INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000063205                             2,496.38 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--033745 SENDER
                   REF: BOFAILBE268460N SRC: GMTS BENF: TRUELINE,
                   INC. ORIG: BREED TECHNOLOGIES, INC.
          10/26    WIRE TRANSFER DEBIT                    REF# 641200000063209                             2,371.02 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991026--033747 SENDER
                   REF: BOFAILBE268461N SRC: GMTS BENF: GENESIS
                   MOLDING ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America
                                                               Corporate Deposit
                                                                       Statement
    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010

                                                           PAGE      61 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/26   WIRE TRANSFER DEBIT                     REF# 641200000063211                             2,305.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991026--033748 SENDER
                  REF: BOFAILBE268462N SRC: GMTS BENF: RIVER CITY
                  PLASTICS ORIG: BREED TECHNOLOGIES, INC.
          10/26   WIRE TRANSFER DEBIT                     REF# 641200000063213                             1,994.35 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991026--033754 SENDER
                  REF: BOFAILBE268463N SRC: GMTS BENF: ROADWAY ORIG:
                  BREED TECHNOLOGIES, INC.
          10/26   WIRE TRANSFER DEBIT                     REF# 641200000063215                             1,686.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991026--033757 SENDER
                  REF: BOFAILBE268464N SRC: GMTS BENF: BERGQUIST CO.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/26   WIRE TRANSFER DEBIT                     REF# 641200000061223                             1,520.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991026--022696 SENDER
                  REF: BOFAILBE268147N SRC: GMTS BENF: INDIANA MILLS
                  MANUFACTURING ORIG: BREED TECHNOLOGIES, INC.
          10/26   WIRE TRANSFER DEBIT                     REF# 641200000063217                             1,375.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991026--033759 SENDER
                  REF: BOFAILBE268465N SRC: GMTS BENF: DALE
                  ELECTRONICS ORIG: BREED TECHNOLOGIES, INC.
          10/26   WIRE TRANSFER DEBIT                     REF# 641200000058045                               820.74 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991026--008110 SENDER
                  REF: BOFAILBE267567N SRC: GMTS BENF: CENTRAL STEEL
                  WIRE ORIG: BREED TECHNOLOGIES, INC.
          10/26   WIRE TRANSFER DEBIT                     REF# 641200000061225                               268.50 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991026--022700 SENDER
                  REF: BOFAILBE268148N SRC: GMTS BENF:
                  UNHOLTZ-DICKIE CORPORATION ORIG: BREED
                  TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000062679                           700,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--012193 SENDER
                  REF: BOFAILBE268778R SRC: GMTS BENF: ATLANTIC
                  RESEARCH ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000066831                           350,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--033630 SENDER
                  REF: BOFAILBE269441N SRC: GMTS BENF: JOHN GILLEN
                  COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000045839                           208,492.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--031654 SENDER
                  REF: BOFAILIN013220N SRC: GMTS BENF: POWERBOSS
                  ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000066537                            75,942.93 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--031638 SENDER
                  REF: BOFAILBE269402N SRC: GMTS BENF: OEA INC.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000064371                            74,083.33 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--020034 SENDER
                  REF: BOFAILBE269006R SRC: GMTS BENF: CORPORATE
                  CREDIT SERVICES AGENCY ORIG: BREED TECHNOLOGIES, INC

          10/27   WIRE TRANSFER DEBIT                     REF# 641200000066515                            36,649.92 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--031639 SENDER
                  REF: BOFAILBE269403N SRC: GMTS BENF: WEISS AUG
                  ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America
                                                               Corporate Deposit
                                                                       Statement
    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010

                                                           PAGE      62 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000062681                            33,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--012197 SENDER
                  REF: BOFAILBE268779N SRC: GMTS BENF: DAYTON STEEL
                  SERVICE ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000066765                            32,691.58 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--031656 SENDER
                  REF: BOFAILINO13221N SRC: GMTS BENF: GREENING
                  DONALD ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000066517                            32,519.93 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--031641 SENDER
                  REF: BOFAILBE2694O4N SRC: GMTS BENF: TEKNOR APEX
                  ORIG:  BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000066519                            10,155.60 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--031643 SENDER
                  REF: BOFAILBE2694O5N SRC: GMTS BENF: CAVALLI SRL
                  ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000062685                            10,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--012201 SENDER
                  REF: BOFAILBE26878ON SRC: GMTS BENF: VELCRO
                  AUTOMOTIVE ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000066521                             8,424.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--031645 SENDER
                  REF: BOFAILBE2694O6N SRC: GMTS BENF: MOLEX, INC.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000062525                             8,277.29 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--011754 SENDER
                  REF: BOFAILBE268748R SRC: GMTS BENF: ORNL FEDERAL
                  CREDIT UNION ORIG: BREED TECHNOLOGIES, INC
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000062689                             7,408.67 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--012207 SENDER
                  REF: BOFAILBE268781R SRC: GMTS BENF: HAMLIN TOOL
                  AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000066803                             7,080.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--031658 SENDER
                  REF: BOFAILINO13222N SRC: GMTS BENF: P.N. FARRAR
                  ENTERPRISES, INC. ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000066523                             1,797.60 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--031647 SENDER
                  REF: BOFAILBE2694O7N SRC: GMTS BENF: LEGGETT AND
                  PLATT ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000066525                             1,590.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--031649 SENDER
                  REF: BOFAILBE2694O8R SRC: GMTS BENF: YAZAKI NORTH
                  AMERICA ORIG: BREED TECHNOLOGIES,INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000062527                             1,349.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--011757 SENDER
                  REF: BOFAILBE268749R SRC: GMTS BENF: AMPEX FEDERAL
                  CREDIT UNION ORIG: BREED TECHNOLOGIES, INC.
          10/27   WIRE TRANSFER DEBIT                     REF# 641200000066527                             1,005.37 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991027--031651 SENDER
                  REF: BOFAILBE2694O9N SRC: GMTS BENF: NEXTEL
                  FINANCE ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      63 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/27    WIRE TRANSFER DEBIT                    REF# 641200000066883                               912.78 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991027--033633 SENDER
                   REF: BOFAILBE269442N SRC: GMTS BENF: AMERICAN
                   EXPRESS ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074627                           950,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--041829 SENDER
                   REF: BOFAILBE27O673R SRC: GMTS BENF: PAYMENT
                   LOGISTIC SERVICES ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000055629                           538,229.20 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--041861 SENDER
                   REF: BOFAILIN013300N SRC: GMTS BENF: PASUBIO, SPA
                   ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000072319                           310,080.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--029448 SENDER
                   REF: BOFAILBE270320N SRC: GMTS BENF: ROBERT BOSCH
                   CORPORATION ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000055647                           268,868.06 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--041868 SENDER
                   REF: BOFAILINO13301N SRC: GMTS BENF: BANCA
                   POPOLARE DI MILANO ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000072321                           150,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--029459 SENDER
                   REF: BOFAILBE270321N SRC: GMTS BENF: INTERNATIONAL
                   PAPER COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074637                           120,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--041841 SENDER
                   REF: BOFAILBE270678N SRC: GMTS BENF: WEISS AUG
                   ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074679                           113,199.82 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--042060 SENDER
                   REF: BOFAILBE270684N SRC: GMTS BENF: TICONA LLC
                   ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074641                           100,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--041846 SENDER
                   REF: BOFAILBE270680N SRC: GMTS BENF: HIGHLAND
                   ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000066641                            74,884.77 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--007651 SENDER
                   REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074633                            60,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--041837 SENDER
                   REF: BOFAILBE270676N SRC: GMTS BENF: HYLAND
                   MACHINE CO ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074635                            57,348.08 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--041838 SENDER
                   REF: BOFAILBE270677N SRC: GMTS BENF: HITACHI
                   METALS AMERICA ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000072323                            50,073.99 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--029461 SENDER
                   REF: BOFAILBE270322R SRC: GMTS BENF: HAMLIN TOOL
                   AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      64 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000066759                            48,758.61 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--007657 SENDER
                   REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074639                            48,695.37 DB
                   MONEY TRANSFER-ILLINOIS TRN: 991028--041843 SENDER
                   REF: BOFAILBE270679N SRC: GMTS BENF: FERRO ORIG:
                   BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074681                            23,613.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--042063 SENDER
                   REF: BOFAILBE270685N SRC: GMTS BENF: ASHLAND
                   CHEMICAL ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074631                            20,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--041833 SENDER
                   REF: BOFAILBE270675N SRC: GMTS BENF: TARGET
                   CONTAINER ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000072331                            18,928.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--029474 SENDER
                   REF: BOFAILBE270326N SRC: GMTS IENF: AZTEC WIRE
                   ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074629                            18,233.77 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--041832 SENDER
                   REF: BOFAILBE270674N SRC: GMTS BENF: CARPENTER
                   TECHNOLOGIES,INC. ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000072347                            16,957.33 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--029492 SENDER
                   REF: BOFAILBE270330N SRC: GMTS BENF: THOMSON
                   PRECISION BALL CO., INC. ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000072325                            15,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028-029462 SENDER
                   REF: BOFAILBE270323R SRC: GMTS BENF: YAZAKI NORTH
                   AMERICA ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074723                            10,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028-042071 SENDER
                   REF: BOFAILIN013302N SRC: GMTS BENF: COATS BELL
                   ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074643                             9,572.77 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--041853 SENDER
                   REF: BOFAILBE270681N SRC: GMTS BENF:
                   POWDERTEK,INC. ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000072333                             5,809.40 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028029479 SENDER
                   REF: BOFAILBE270327N SRC: GMTS BENF: CAMCAR
                   TEXTRON ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074835                             5,300.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028042905 SENDER
                   REF: BOFAILBE270703N SRC: GMTS BENF:
                   MICRO-MECHANICS ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000066639                             4,757.23 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028007650 SENDER
                   REF: CERIDIAN-STS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                            PAGE     65 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000066637                             4,404.91 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--007649 SENDER
                   REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000066743                             4,343.88 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--007652 SENDER
                   REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000066749                             3,906.71 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--007653 SENDER
                   REF: CERIDIANSTS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000066753                             1,659.24 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--007654 SENDER
                   REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000072327                             1,632.30 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--029464 SENDER
                   REF: BOFAILBE27O324N SRC: GMTS BENF: PERFECTION
                   SPRING STAMPING CORP. ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000072339                             1,593.40 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--029483 SENDER
                   REF: BOFAILBE27O328N SRC: GMTS BENF: WESTBROOK
                   MFG. INC. ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000074677                             1,230.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--042055 SENDER
                   REF: BOFAILBE27O683R SRC: GMTS BENF: P.D. GEORGE
                   COMPANY ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000066755                             1,128.38 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028-007655 SENDER
                   REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000072329                               937.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--029469 SENDER
                   REF: BOFAILBE27O325N SRC: GMTS BENF: ESEC ORIG:
                   BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000066757                               906.05 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028-007656 SENDER
                   REF: CERIDIAN--STS SRC: BATCH FDL BENF: CERIDIAN
                   CORPORATION ORIG: BREED TECHNOLOGIES INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000072343                               409.5O DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--029489 SENDER
                   REF: BOFAILIE27O329N SRC: GMTS BENF: UNISOURCE
                   ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000067165                               300.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991028--010425 SENDER
                   REF: BOFAILBE269697N SRC: GMTS BENF: AMERICAN
                   EXPRESS T E ORIG: BREED TECHNOLOGIES, INC.
          10/28    WIRE TRANSFER DEBIT                    REF# 641200000084343                           700,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--026862 SENDER
                   REF: BOFAILBE271448R SRC: GMTS BENF: ATLANTIC
                   RESEARCH ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America
                                                               Corporate Deposit
                                                                       Statement
    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010

                                                           PAGE      66 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000087477                           405,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--042273 SENDER
                  REF: BOFAILBE271965R SRC: GMTS BENF: HAMLIN TOOL
                  AND MACHINE ORIG: BREED TECHNOLOGIES, INC.
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000084353                           361,965.17 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--026876 SENDER
                  REF: BOFAILBE271452R SRC: GMTS BENF: CORPORATE
                  CREDIT SERVICES AGENCY ORIG: BREED TECHNOLOGIES, INC
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000087479                           284,868.33 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--042279 SENDER
                  REF: BOFAILBE271966N SRC: GMTS BENF: METHODE
                  ELECTRONICS, INC ORIG: BREED TECHNOLOGIES INC.
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000084351                           149,027.78 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--026872 SENDER
                  REF: BOFAILBE271451R SRC: GMTS BENF: CORPORATE
                  CREDIT SERVICES AGENCY ORIG: BREED TECHNOLOGIES, INC
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000084197                           134,723.70 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--026089 SENDER
                  REF: BOFAILBE271435R SRC: GMTS BENF: BREED
                  EMPLOYEES RETIREMENT ORIG: BREED TECHNOLOGIES, INC
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000087481                            69,387.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--042284 SENDER
                  REF: BOFAILBE271967N SRC: GMTS BENF: AEGIS TECH
                  ORIG: BREED TECHNOLOGIES, INC.
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000070717                            56,600.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--042320 SENDER
                  REF: BOFAILIN013368N SRC: GMTS BENF: CR MOLD LTD.
                  ORIG: BREED TECHNOLOGIES, INC.
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000087483                            55,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--042288 SENDER
                  REF: BOFAILBE271968N SRC: GMTS BENF: RB W METAL
                  FORMING DIVISION ORIG: BREED TECHNOLOGIES, INC.
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000084349                            38,263.89 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--026868 SENDER
                  REF: BOFAILBE27145OR SRC: GMTS BENF: CORPORATE
                  CREDIT SERVICES AGENCY ORIG: BREED TECHNOLOGIES, INC
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000084355                            33,960.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--026878 SENDER
                  REF: BOFAILBE271453N SRC: GMTS BENF: RAMCEL
                  ENGINEERING ORIG: BREED TECHNOLOGIES, INC.
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000084069                            30,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--024989 SENDER
                  REF: BOFAILBE271421N SRC: GMTS BENF: GE CAPITAL
                  ORIG: BREED TECHNOLOGIES, INC.
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000087485                            20,792.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--042291 SENDER
                  REF: BOFAILBE271969N SRC: GMTS BENF: METAL IMPACT
                  ORIG: BREED TECHNOLOGIES, INC.
          10/29   WIRE TRANSFER DEBIT                     REF# 641200000087491                            20,000.00 DB
                  MONEY TRANSFER--ILLINOIS TRN: 991029--042294 SENDER
                  REF: BOFAILBE27197ON SRC: GMTS BENF: DAVENPORT
                  MACHINE ORIG: BREED TECHNOLOGIES, INC.
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement
    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      67 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   ELECTRONIC WIRE TRANSFER SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
    10/29          WIRE TRANSFER DEBIT                    REF# 641200000087701                            13,113.72 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--043672 SENDER
                   REF: BOFAILBE271988N SRC: GMTS BENF: OBERG
                   INDUSTRIES ORIG: BREED TECHNOLOGIES, INC.
    10/29          WIRE TRANSFER DEBIT                    REF# 641200000087493                            12,128.70 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--042296 SENDER
                   REF: BOFAILBE271971N SRC: GMTS BENF: CAMCAR
                   TEXTRON ORIG: BREED TECHNOLOGIES, INC.
    10/29          WIRE TRANSFER DEBIT                    REF# 641200000087495                             9,520.73 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--042298 SENDER
                   REF: BOFAILBE271972N SRC: GMTS BENF: UNIFORM COLOR
                   COMPANY ORIG: BREED TECHNOLOGIES, INC.
    10/29          WIRE TRANSFER DEBIT                    REF# 641200000087497                             8,126.82 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--042304 SENDER
                   REF: BOFAILBE271973N SRC: GMTS BENF: KENDALL
                   ELECTRIC INCORPORATED ORIG: BREED TECHNOLOGIES, INC.
    10/29          WIRE TRANSFER DEBIT                    REF# 641200000084683                             7,987.60 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--026886 SENDER
                   REF: BOFAILIN013343N SRC: GMTS BENF: MAB
                   INDUSTRIES ORIG: BREED TECHNOLOGIES, INC.
    10/29          WIRE TRANSFER DEBIT                    REF# 641200000084347                             4,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--026864 SENDER
                   REF: BOFAILBE271449N SRC: GMTS BENF: SALVADOR
                   CAMACHO ORIG: BREED TECHNOLOGIES, INC.
    10/29          WIRE TRANSFER DEBIT                    REF# 641200000084147                             2,445.84 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--025677 SENDER
                   REF: BOFAILBE271428R SRC: GMTS BENF: BREED
                   TECHNOLOGIES,INC. FLEX ORIG: BREED TECHNOLOGIES, INC.
    10/29          WIRE TRANSFER DEBIT                    REF# 641200000070799                             2,202.48 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--042323 SENDER
                   REF: BOFAILINO13369N SRC: GMTS BENF: FLEXSIGN,
                   S.A. DE C.V. ORIG: BREED TECHNOLOGIES, INC.
    10/29          WIRE TRANSFER DEBIT                    REF# 641200000087699                             1,000.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--043667 SENDER
                   REF: BOFAILBE271987N SRC: GMTS BENF: UPS TRUCK
                   LEASING ORIG: BREED TECHNOLOGIES, INC.
    10/29          WIRE TRANSFER DEBIT                    REF# 641200000087499                               398.00 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--042309 SENDER
                   REF: BOFAILBE271974N SRC: GMTS BENF: DIAMOND
                   GROUND ORIG: BREED TECHNOLOGIES, INC.
    10/29          WIRE TRANSFER DEBIT                    REF# 641200000087501                               317.67 DB
                   MONEY TRANSFER--ILLINOIS TRN: 991029--042315 SENDER
                   REF: BOFAILBE271975N SRC: GMTS BENF: ROADWAY ORIG:
                   BREED TECHNOLOGIES, INC.
                                                                TOTAL DEBITS                          39,028,867.24
</TABLE>
<PAGE>

Logo of Bank of America
                                                               Corporate Deposit
                                                                       Statement
    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010

                                                           PAGE      68 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                   (ZBA) COLLECTION/DISBURSEMENT--SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/01   COLLECTION/DISB TRF                     REF# 000008765014748                             1,443.00 CR
                  (L) SAME--CENTER FROM   8765--8--01474
          10/04   COLLECTION/DISB TRF                     REF# 000008765014730                               145.00 CR
                  (L) SAME--CENTER FROM   8765--0--01473
          10/07   COLLECTION/DISB TRF                     REF# 000008765014722                             2,679.11 CR
                  (L) SAME--CENTER FROM   8765--2--01472
          10/07   COLLECTION/DISB TRF                     REF# 000008765014748                                82.77 CR
                  (L) SAME--CENTER FROM   8765--8--01474
          10/08   COLLECTION/DISB TRF                     REF# 000008765014748                               630.23 CR
                  (L) SAME--CENTER FROM   8765--8--01474
          10/12   COLLECTION/DISB TRF                     REF# 000008765014722                             1,609.05 CR
                  (L) SAME--CENTER FROM   8765--2--01472
          10/13   COLLECTION/DISB TRF                     REF# 000008765014730                               900.00 CR
                  (L) SAME--CENTER FROM   8765--0--01473
          10/14   COLLECTION/DISB TRF                     REF# 000008765014748                             6,511.74 CR
                  (L) SAME--CENTER FROM   8765--8--01474
          10/18   COLLECTION/DISB TRF                     REF# 000008765014722                             1,518.90 CR
                  (L) SAME--CENTER FROM   8765--2--01472
          10/19   COLLECTION/DISB TRF                     REF# 000008765014748                             1,351.25 CR
                  (L) SAME--CENTER FROM   8765--8--01474
          10/19   COLLECTION/DISB TRF                     REF# 000008765014730                                77.00 CR
                  (L) SAME--CENTER FROM   8765--0--01473
          10/22   COLLECTION/DISB TRF                     REF# 000008765014748                             1,351.25 CR
                  (L) SAME--CENTER FROM   8765--8--01474
          10/22   COLLECTION/DISB TRF                     REF# 000008765014730                               325.00 CR
                  (L) SAME--CENTER FROM   8765--0--01473
          10/27   COLLECTION/DISB TRF                     REF# 000008765014748                               155.74 CR
                  (L) SAME--CENTER FROM   8765--8--01474
          10/28   COLLECTION/DISB TRF                     REF# 000008765014748                                36.75 CR
                  (L) SAME--CENTER FROM   8765--8--01474

                                                       TOTAL CREDITS                                      18,816.79

          10/01   COLLECTION/DISB TRF                     REF# 000001233322369                         1,345,883.45 DB
                  (L) SAME--CENTER TO     1233--9--32236
          10/01   COLLECTION/DISB TRF                     REF# 000001233322351                           112,089.97 DB
                  (L) SAME--CENTER TO     1233--1--32235
          10/01   COLLECTION/DISB TRF                     REF# 000008765014714                            27,366.34 DB
                  (L) SAME--CENTER TO     8765--4--01471
          10/04   COLLECTION/DISB TRF                     REF# 000001233322369                         1,153,242.92 DB
                  (L) SAME--CENTER TO     1233--9--32236
          10/04   COLLECTION/DISB TRF                     REF# 000001233322351                           609,590.61 DB
                  (L) SAME--CENTER TO     1233--1--32235
          10/04   COLLECTION/DISB TRF                     REF# 000008765014714                           223,519.93 DB
                  (L) SAME--CENTER TO     8765--4--O1471
          10/05   COLLECTION/DISB TRF                     REF# 000001233322369                         1,173,751.06 DB
                  (L) SAME--CENTER TO     1233--9--32236
          10/05   COLLECTION/DISB TRF                     REF# 000008765014714                            82,709.64 DB
                  (L) SAME--CENTER TO     8765--4--01471
          10/05   COLLECTION/DISB TRF                     REF# 000001233322351                            79,956.39 DB
                  (L) SAME--CENTER TO     1233--1--32235
          10/05   COLLECTION/DISB TRF                     REF# 000008765014722                             1,524.16 DB
                  (L) SAME--CENTER TO     8765-2--01472
          10/05   COLLECTION/DISB TRF                     REF# 000008765014748                                16.23 DB
                  (L) SAME--CENTER TO     8765--8--01474
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      69 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                      (ZBA) COLLECTION/DISBURSEMENT--SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/06   COLLECTION/DISB TRF                     REF# 000001233322369                           893,650.57 DB
                  (L)  SAME--CENTER TO 1233--9--32236
          10/06   COLLECTION/DISB TRF                     REF# 000001233322351                            51,751.31 DB
                  (L)  SAME--CENTER TO 1233--1--32235
          10/06   COLLECTION/DISB TRF                     REF# 000008765014714                            48,102.04 DB
                  (L)  SAME--CENTER TO 8765--4--01471
          10/06   COLLECTION/DISB TRF                     REF# 000008765014722                             1,154.95 DB
                  (L)  SAME--CENTER TO 8765--2--01472
          10/06   COLLECTION/DISB TRF                     REF# 000008765014748                               696.77 DB
                  (1)  SAME--CENTER TO 8765--8--01474
          10/07   COLLECTION/DISB TRF                     REF# 000001233322369                         1,309,250.72 DB
                  (L)  SAME--CENTER TO 1233--9--32236
          10/07   COLLECTION/DISB TRF                     REF# 000001233322351                            37,241.91 DB
                  (L)  SAME--CENTER TO 1233--1--32235
          10/07   COLLECTION/DISB TRF                     REF# 000001233322377                            35,420.29 DB
                  (L)  SAME--CENTER TO 1233--7--32237
          10/07   COLLECTION/DISB TRF                     REF# 000008765014714                            17,176.46 DB
                  (L)  SAME--CENTER TO 8765--4--01471
          10/08   COLLECTION/DISB TRF                     REF# 000001233322369                           339,776.52 DB
                  (L)  SAME--CENTER TO 1233--9--32236
          10/08   COLLECTION/DISB TRF                     REF# 000001233322351                           272,365.63 DB
                  (L)  SAME--CENTER TO 1233--1--32235
          10/08   COLLECTION/DISB TRF                     REF# 000008765014714                            15,788.66 DB
                  (L)  SAME--CENTER TO 8765--4--01471
          10/08   COLLECTION/DISB TRF                     REF# 000001233322377                             9,435.69 DB
                  (L)  SAME--CENTER TO 1233--7--32237
          10/08   COLLECTION/DISB TRF                     REF# 000008765014722                             1,609.05 DB
                  (L)  SAME--CENTER TO 8765--2--01472
          10/12   COLLECTION/DISB TRF                     REF# 000001233322369                         1,638,029.69 DB
                  (L)  SAME--CENTER TO 1233--9--32236
          10/12   COLLECTION/DISB TRF                     REF# 000008765014714                           282,932.82 DB
                  (L)  SAME--CENTER TO 8765--4--01471
          10/12   COLLECTION/DISB TRF                     REF# 000001233322351                           123,363.92 DB
                  (L)  SAME--CENTER TO 1233--1--32235
          10/12   COLLECTION/DISB TRF                     REF# 000001233322377                           107,031.02 DB
                  (L)  SAME--CENTER TO 1233--7--32237
          10/12   COLLECTION/DISB TRF                     REF# 000008765014730                               900.00 DB
                  (L)  SAME--CENTER TO 8765--0--01473
          10/13   COLLECTION/DISB TRF                     REF# 000001233322351                           591,611.58 DB
                  (L)  SAME--CENTER TO 1233--1--32235
          10/13   COLLECTION/DISB TRF                     REF# 000001233322369                           345,857.29 DB
                  (L)  SAME--CENTER TO 1233--9--32236
          10/13   COLLECTION/DISB TRF                     REF# 000008765014714                           111,813.39 DB
                  (L)  SAME--CENTER TO 8765--4--01471
          10/13   COLLECTION/DISB TRF                     REF# 000001233322377                            32,758.36 DB
                  (L)  SAME--CENTER TO 1233--7--32237
          10/14   COLLECTION/DISB TRF                     REF# 000001233322369                           873,137.61 DB
                  (L)  SAME--CENTER TO 1233--9--32236
          10/14   COLLECTION/DISB TRF                     REF# 000001233322351                           308,357.55 DB
                  (L)  SAME--CENTER TO 1233--1--32235
          10/14   COLLECTION/DISB TRF                     REF# 000008765014714                            62,293.72 DB
                  (L)  SAME--CENTER TO 8765--4--01471
          10/14   COLLECTION/DISB TRF                     REF# 000001233322377                            23,144.77 DB
                  (L)  SAME--CENTER TO 1233--7--32237
</TABLE>

<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      70 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                     (ZBA) COLLECTION/DISBURSEMENT--SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE              CUSTOMER REFERENCE OR ITEM DESCRIPTION                                      AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/15   COLLECTION/DISB TRF                     REF# 000001233322369                         1,490,304.02 DB
                  (L) SAME--CENTER TO 1233--9--32236
          10/15   COLLECTION/DISB TRF                     REF# 000001233322351                           160,869.08 DB
                  (L) SAME--CENTER TO 1233--1--32235
          10/15   COLLECTION/DISB TRF                     REF# 000008765014714                            65,347.70 DB
                  (L) SAME--CENTER TO 8765--4--01471
          10/15   COLLECTION/DISB TRF                     REF# 000001233322377                            31,839.35 DB
                  (L) SAME--CENTER TO 1233--7--32237
          10/15   COLLECTION/DISB TRF                     REF# 000008765014722                             1,518.90 DB
                  (L) SAME--CENTER TO 8765--2--01472
          10/15   COLLECTION/DISB TRF                     REF# 000008765014748                               192.49 DB
                  (L) SAME--CENTER TO 8765--8--01474
          10/18   COLLECTION/DISB TRF                     REF# 000001233322369                         1,378,125.15 DB
                  (L) SAME--CENTER TO 1233--9--32236
          10/18   COLLECTION/DISB TRF                     REF# 000008765014714                           410,336.51 DB
                  (L) SAME--CENTER TO 8765--4--01471
          10/18   COLLECTION/DISB TRF                     REF# 000001233322351                           312,651.72 DB
                  (L) SAME--CENTER TO 1233--1--32235
          10/18   COLLECTION/DISB TRF                     REF# 000001233322377                            55,954.75 DB
                  (L) SAME--CENTER TO 1233--7--32237
          10/18   COLLECTION/DISB TRF                     REF# 000008765014748                             1,158.76 DB
                  (L) SAME--CENTER TO 8765--8--01474
          10/18   COLLECTION/DISB TRF                     REF# 000008765014730                                77.00 DB
                  (L) SAME--CENTER TO 8765--0--01473
          10/19   COLLECTION/DISB TRF                     REF# 000001233322369                           640,109.21 DB
                  (L) SAME--CENTER TO 1233--9--32236
          10/19   COLLECTION/DISB TRF                     REF# 000001233322351                           340,187.30 DB
                  (L) SAME--CENTER TO 1233--1--32235
          10/19   COLLECTION/DISB TRF                     REF# 000008765014714                            72,635.47 DB
                  (L) SAME--CENTER TO 8765--4--01471
          10/19   COLLECTION/DISB TRF                     REF# 000001233322377                            38,275.22 DB
                  (L) SAME--CENTER TO 1233--7--32237
          10/20   COLLECTION/DISB TRF                     REF# 000001233322351                           384,122.56 DB
                  (L) SAME--CENTER TO 1233--1--32235
          10/20   COLLECTION/DISB TRF                     REF# 000001233322369                           376,250.23 DB
                  (L) SAME--CENTER TO 1233--9--32236
          10/20   COLLECTION/DISB TRF                     REF# 000001233322377                           361,368.93 DB
                  (L) SAME--CENTER TO 1233--7--32237
          10/20   COLLECTION/DISB TRF                     REF# 000008765014714                           110,307.36 DB
                  (L) SAME--CENTER TO 8765--4--01471
          10/21   COLLECTION/DISB TRF                     REF# 000001233322369                           929,418.90 DB
                  (L) SAME--CENTER TO 1233--9--32236
          10/21   COLLECTION/DISB TRF                     REF# 000001233322351                           178,505.78 DB
                  (L) SAME--CENTER TO 1233--1--32235
          10/21   COLLECTION/DISB TRF                     REF# 000001233322377                            31,493.76 DB
                  (L) SAME--CENTER TO 1233--7--32237
          10/21   COLLECTION/DISB TRF                     REF# 000008765014714                            24,623.77 DB
                  (L) SAME--CENTER TO 8765--4--01471
          10/21   COLLECTION/DISB TRF                     REF# 000008765014748                             1,351.25 DB
                  (L) SAME--CENTER TO 8765--8--01474
          10/21   COLLECTION/DISB TRF                     REF# 000008765014730                               325.00 DB
                  (L) SAME--CENTER TO 8765--0--01473
          10/22   COLLECTION/DISB TRF                     REF# 000001233322369                           734,729.37 DB
                  (L) SAME--CENTER TO 1233--9--32236
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      71 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                      (ZBA) COLLECTION/DISBURSEMENT--SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/22   COLLECTION/DISB TRF                     REF# 000001233322351                           225,816.89 DB
                  (L) SAME-CENTER TO 1233--1--32235
          10/22   COLLECTION/DISB TRF                     REF# 000008765014714                            31,963.69 DB
                  (L) SAME-CENTER TO 8765--4--01471
          10/22   COLLECTION/DISB TRF                     REF# 000001233322377                            12,112.67 DB
                  (L) SAME-CENTER TO 1233--7--32237
          10/25   COLLECTION/DISB TRF                     REF# 000001233322351                           662,329.06 DB
                  (L) SAME-CENTER TO 1233--1--32235
          10/25   COLLECTION/DISB TRF                     REF# 000001233322369                           492,062.55 DB
                  (L) SAME-CENTER TO 1233--9--32236
          10/25   COLLECTION/DISB TRF                     REF# 000008765014714                           273,412.17 DB
                  (L) SAME-CENTER TO 8765--4--01471
          10/25   COLLECTION/DISB TRF                     REF# 000001233322377                            51,325.59 DB
                  (L) SAME-CENTER TO 1233--7--32237
          10/25   COLLECTION/DISB TRF                     REF# 000008765014748                               192.49 DB
                  (L) SAME-CENTER TO 8765--8--01474
          10/26   COLLECTION/DISB TRF                     REF# 000001233322351                           659,386.84 DB
                  (L) SAME-CENTER TO 1233--1--32235
          10/26   COLLECTION/DISB TRF                     REF# 000001233322369                           452,425.60 DB
                  (L) SAME-CENTER TO 1233--9--32236
          10/26   COLLECTION/DISB TRF                     REF# 000008765014714                           124,828.69 DB
                  (L) SAME-CENTER TO 8765--4--01471
          10/26   COLLECTION/DISB TRF                     REF# 000001233322377                            29,417.37 DB
                  (L) SAME-CENTER TO 1233--7--32237
          10/27   COLLECTION/DISB TRF                     REF# 000001233322369                           933,607.25 DB
                  (L) SAME-CENTER TO 1233--9--32236
          10/27   COLLECTION/DISB TRF                     REF# 000001233322351                           425,097.36 DB
                  (L) SAME-CENTER TO 1233--1--32235
          10/27   COLLECTION/DISB TRF                     REF# 000008765014714                            72,930.84 DB
                  (L) SAME-CENTER TO 8765--4--01471
          10/27   COLLECTION/DISB TRF                     REF# 000001233322377                            24,694.71 DB
                  (L) SAME-CENTER TO 1233--7--32237
          10/28   COLLECTION/DISB TRF                     REF# 000001233322369                         1,244,604.10 DB
                  (L) SAME-CENTER TO 1233--9--32236
          10/28   COLLECTION/DISB TRF                     REF# 000001233322351                           407,448.82 DB
                  (L) SAME-CENTER TO 1233--1--32235
          10/28   COLLECTION/DISB TRF                     REF# 000008765014714                            14,834.38 DB
                  (L) SAME-CENTER TO 8765--4--01471
          10/28   COLLECTION/DISB TRF                     REF# 000001233322377                             9,152.21 DB
                  (L) SAME-CENTER TO 1233--7--32237
          10/28   COLLECTION/DISB TRF                     REF# 000008765014730                               250.00 DB
                  (L) SAME-CENTER TO 8765--0--01473
          10/29   COLLECTION/DISB TRF                     REF# 000001233322369                           637,078.90 DB
                  (L) SAME-CENTER TO 1233--9--32236
          10/29   COLLECTION/DISB TRF                     REF# 000001233322351                           171,116.77 DB
                  (L) SAME-CENTER TO 1233--1--32235
          10/29   COLLECTION/DISB TRF                     REF# 000008765014714                            33,079.52 DB
                  (L) SAME-CENTER TO 8765--4--01471
          10/29   COLLECTION/DISB TRF                     REF# 000001233322377                            27,036.53 DB
                  (L) SAME-CENTER TO 1233--7--32237

                                                                 TOTAL DEBITS                         27,492,587.53
</TABLE>

<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE     72 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                            LOCKBOX SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/01    LOCKBOX DEPOSIT    7545                REF# 689209801297758                               496.53 CR
                           0 DAY FLOAT                   0.53
                           1 DAY FLOAT                 496.00
          10/01    LOCKBOX DEPOSIT    7551                REF# 689209801501539                               921.60 CR
                           0 DAY FLOAT                   0.60
                           1 DAY FLOAT                 921.00
          10/01    LOCKBOX DEPOSIT    7570                REF# 689209801497369                           100,646.52 CR
                           0 DAY FLOAT                   0.52
                           1 DAY FLOAT             100,646.00
          10/01    LOCKBOX DEPOSIT    7574                REF# 689209801497572                            11,889.26 CR
                           0 DAY FLOAT                   0.26
                           1 DAY FLOAT              11,889.00
          10/01    LOCKBOX DEPOSIT    7574                REF# 689209801297985                             3,597.96 CR
                           0 DAY FLOAT                   0.96
                           1 DAY FLOAT               3,597.00
          10/04    LOCKBOX DEPOSIT    7549                REF# 689209807950583                           647,697.64 CR
                           0 DAY FLOAT             249,796.64
                           1 DAY FLOAT             397,901.00
          10/04    LOCKBOX DEPOSIT    7549                REF# 689209802551162                             4,545.40 CR
                           0 DAY FLOAT                   0.40
                           1 DAY FLOAT               4,545.00
          10/04    LOCKBOX DEPOSIT    7551                REF# 689209802715578                           111,947.84 CR
                           0 DAY FLOAT                   0.84
                           1 DAY FLOAT             111,947.00
          10/04    LOCKBOX DEPOSIT    7551                REF# 689209802551165                            41,763.24 CR
                           0 DAY FLOAT              38,411.24
                           2 DAY FLOAT               3,352.00
          10/04    LOCKBOX DEPOSIT    7570                REF# 689209802551156                         1,415,890.20 CR
                           0 DAY FLOAT                   0.20
                           1 DAY FLOAT                 109.00
                           2 DAY FLOAT           1,415,781.00
          10/04    LOCKBOX DEPOSIT    7574                REF# 689209802543542                           129,220.07 CR
                           0 DAY FLOAT               2,722.07
                           1 DAY FLOAT             126,498.00
          10/04    LOCKBOX DEPOSIT    7574                REF# 689209807929807                            28,699.50 CR
                           0 DAY FLOAT                   0.50
                           1 DAY FLOAT              28,699.00
          10/04    LOCKBOX DEPOSIT    7574                REF# 689209802726216                             9,733.75 CR
                           0 DAY FLOAT                   0.75
                           2 DAY FLOAT               9,733.00
          10/04    LOCKBOX DEPOSIT    7574                REF# 689209801289602                             8,952.06 CR
                           0 DAY FLOAT                   0.06
                           1 DAY FLOAT               8,449.00
                           2 DAY FLOAT                 503.00
          10/04    LOCKBOX DEPOSIT    7581                REF# 689209801175030                         3,710,688.22 CR
                           0 DAY FLOAT                   0.22
                           1 DAY FLOAT           3,710,688.00
          10/04    LOCKBOX DEPOSIT    7581                REF# 689209802715462                           304,524.23 CR
                           0 DAY FLOAT                   0.23
                           1 DAY FLOAT              19,365.00
                           2 DAY FLOAT             285,159.00
          10/04    LOCKBOX DEPOSIT    7581                REF# 689209807951927                               438.47 CR
                           0 DAY FLOAT                   0.47
                           1 DAY FLOAT                 438.00

</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER:  8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      73 OF 82
<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                            LOCKBOX SUMMARY
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/04    LOCKBOX DEPOSIT    7581                REF# 689209801951895                                47.81 CR
                           0 DAY FLOAT                  47.81
          10/05    LOCKBOX DEPOSIT    7549                REF# 689209802946219                         2,566,028.10 CR
                           0 DAY FLOAT                   0.10
                           1 DAY FLOAT           2,566,028.00
          10/05    LOCKBOX DEPOSIT    7570                REF# 689209802181142                            77,029.94 CR
                           0 DAY FLOAT                   0.94
                           1 DAY FLOAT              77,029.00
          10/05    LOCKBOX DEPOSIT    7570                REF# 689209802936543                             1,600.00 CR
                           1 DAY FLOAT               1,600.00
          10/05    LOCKBOX DEPOSIT    7574                REF# 689209802055788                            42,498.90 CR
                           0 DAY FLOAT                   0.90
                           1 DAY FLOAT              31,388.00
                           2 DAY FLOAT              11,110.00
          10/05    LOCKBOX DEPOSIT    7574                REF# 689209801570646                            29,964.77 CR
                           0 DAY FLOAT                   0.77
                           1 DAY FLOAT              29,964.00
          10/05    LOCKBOX DEPOSIT    7581                REF# 689209802936520                         4,391,368.97 CR
                           0 DAY FLOAT                   0.97
                           1 DAY FLOAT           4,391,368.00
          10/05    LOCKBOX DEPOSIT    7581                REF# 689209802227640                         1,590,425.27 CR
                           0 DAY FLOAT                   0.27
                           1 DAY FLOAT               7,765.00
                           2 DAY FLOAT           1,582,660.00
          10/05    LOCKBOX DEPOSIT    7581                REF# 689209802181144                             1,934.80 CR
                           0 DAY FLOAT                   0.80
                           2 DAY FLOAT               1,934.00
          10/06    LOCKBOX DEPOSIT    7549                REF# 689209802715075                           387,552.00 CR
                           1 DAY FLOAT             387,552.00
          10/06    LOCKBOX DEPOSIT    7570                REF# 689209802754243                             6,053.04 CR
                           0 DAY FLOAT                   0.04
                           1 DAY FLOAT               6,053.00
          10/06    LOCKBOX DEPOSIT    7574                REF# 689209801317341                            10,412.65 CR
                           0 DAY FLOAT                   0.65
                           1 DAY FLOAT              10,412.00
          10/06    LOCKBOX DEPOSIT    7574                REF# 689209804217053                               912.00 CR
                           0 DAY FLOAT                 912.00
          10/06    LOCKBOX DEPOSIT    7581                REF# 689209802715073                           342,115.56 CR
                           0 DAY FLOAT                   0.56
                           1 DAY FLOAT             342,115.00
          10/07    LOCKBOX DEPOSIT    7549                REF# 689209802956812                            58,359.77 CR
                           0 DAY FLOAT                   0.77
                           1 DAY FLOAT              58,359.00
          10/07    LOCKBOX DEPOSIT    7549                REF# 689209806073842                            17,370.17 CR
                           0 DAY FLOAT                   0.17
                           1 DAY FLOAT              17,370.00
          10/07    LOCKBOX DEPOSIT    7551                REF# 689209804459128                           152,058.00 CR
                           1 DAY FLOAT             152,058.00
          10/07    LOCKBOX DEPOSIT    7551                REF# 689209802962036                            58,274.08 CR
                           0 DAY FLOAT                   0.08
                           1 DAY FLOAT              58,274.00
          10/07    LOCKBOX DEPOSIT    7570                REF# 689209806076000                            16,433.11 CR
                           0 DAY FLOAT                   0.11
                           1 DAY FLOAT              16,433.00
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      74 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                            LOCKBOX SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTON                                      AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/07   LOCKBOX DEPOSIT      7570               REF# 689209804486289                             1,346.25 CR
                            0 DAY FLOAT                  0.25
                            1 DAY FLOAT              1,346.00
          10/07   LOCKBOX DEPOSIT      7574               REF# 689209803092163                            39,583.63 CR
                            0 DAY FLOAT                  0.63
                            1 DAY FLOAT             39,583.00
          10/07   LOCKBOX DEPOSIT      7574               REF# 689209804460980                             5,167.16 CR
                            0 DAY FLOAT                  0.16
                            1 DAY FLOAT              5,167.00
          10/07   LOCKBOX DEPOSIT      7581               REF# 689209802956305                           243,782.06 CR
                            0 DAY FLOAT                  0.06
                            1 DAY FLOAT            243,782.00
          10/08   LOCKBOX DEPOSIT      7545               REF# 689209802476512                         3,766,543.62 CR
                            0 DAY FLOAT                  0.62
                            1 DAY FLOAT          3,766,543.00
          10/08   LOCKBOX DEPOSIT      7549               REF# 689209801794246                           739,263.98 CR
                            0 DAY FLOAT                  0.98
                            1 DAY FLOAT            739,263.00
          10/08   LOCKBOX DEPOSIT      7570               REF# 689209801794249                         2,047,486.81 CR
                            0 DAY FLOAT                  0.81
                            1 DAY FLOAT          2,047,486.00
          10/08   LOCKBOX DEPOSIT      7570               REF# 689209802514840                             1,844.60 CR
                            0 DAY FLOAT                  0.60
                            1 DAY FLOAT              1,844.00
          10/08   LOCKBOX DEPOSIT      7574               REF# 689209801793720                            60,132.04 CR
                            0 DAY FLOAT                  0.04
                            1 DAY FLOAT             60,132.00
          10/08   LOCKBOX DEPOSIT      7574               REF# 689209803460698                             2,332.00 CR
                            1 DAY FLOAT              2,332.00
          10/08   LOCKBOX DEPOSIT      7581               REF# 689209802514765                            49,094.59 CR
                            0 DAY FLOAT                  0.59
                            1 DAY FLOAT             44,523.00
                            2 DAY FLOAT              4,571.00
          10/08   LOCKBOX DEPOSIT      7581               REF# 689209801794259                               271.44 CR
                            0 DAY FLOAT                  0.44
                            2 DAY FLOAT                271.00
          10/12   LOCKBOX DEPOSIT      7545               REF# 689209802789566                           167,205.91 CR
                            0 DAY FLOAT                  0.91
                            1 DAY FLOAT            167,205.00
          10/12   LOCKBOX DEPOSIT      7549               REF# 689209802789564                            92,955.96 CR
                            0 DAY FLOAT                  0.96
                            1 DAY FLOAT             92,955.00
          10/12   LOCKBOX DEPOSIT      7549               REF# 689209803901987                            20,129.30 CR
                            0 DAY FLOAT                  0.30
                            1 DAY FLOAT             20,129.00
          10/12   LOCKBOX DEPOSIT      7549               REF# 689209801687506                            10,754.23 CR
                            0 DAY FLOAT              5,350.23
                            1 DAY FLOAT              5,404.00
          10/12   LOCKBOX DEPOSIT      7551               REF# 689209802783378                           107,757.62 CR
                            0 DAY FLOAT            107,757.62
          10/12   LOCKBOX DEPOSIT      7551               REF# 689209801687525                            49,793.94 CR
                            0 DAY FLOAT                  0.94
                            1 DAY FLOAT             49,793.00
          10/12   LOCKBOX DEPOSIT      7551               REF# 689209803901989                            11,373.99 CR
                            0 DAY FLOAT             11,373.99
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      75 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                            LOCKBOX SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/12   LOCKBOX DEPOSIT      7570               REF# 689209802789562                           155,314.98 CR
                            0 DAY FLOAT                  0.98
                            1 DAY FLOAT            155,314.00
          10/12   LOCKBOX DEPOSIT      7570               REF# 689209801687518                            10,481.64 CR
                            0 DAY FLOAT                  0.64
                            1 DAY FLOAT             10,481.00
          10/12   LOCKBOX DEPOSIT      7574               REF# 689209803911235                            34,257.51 CR
                            0 DAY FLOAT              4,068.51
                            1 DAY FLOAT             30,189.00
          10/12   LOCKBOX DEPOSIT      7574               REF# 689209802792880                            13,863.74 CR
                            0 DAY FLOAT              2,016.74
                            1 DAY FLOAT             11,847.00
          10/12   LOCKBOX DEPOSIT      7574               REF# 689209803044652                            10,218.89 CR
                            0 DAY FLOAT                  0.89
                            1 DAY FLOAT             10,218.00
          10/12   LOCKBOX DEPOSIT      7574               REF# 689209801681494                             4,526.28 CR
                            0 DAY FLOAT                  0.28
                            1 DAY FLOAT              4,526.00
          10/12   LOCKBOX DEPOSIT      7581               REF# 689209802789559                            86,245.06 CR
                            0 DAY FLOAT             15,092.06
                            1 DAY FLOAT             71,153.00
          10/12   LOCKBOX DEPOSIT      7581               REF# 689229880342313                             1,742.93 CR
                            0 DAY FLOAT                  0.93
                            1 DAY FLOAT              1,529.00
                            2 DAY FLOAT                213.00
          10/13   LOCKBOX DEPOSIT      7545               REF# 689209802238338                             1,817.50 CR
                            0 DAY FLOAT                  0.50
                            1 DAY FLOAT              1,817.00
          10/13   LOCKBOX DEPOSIT      7551               REF# 689209801503247                            72,418.62 CR
                            0 DAY FLOAT                  0.62
                            1 DAY FLOAT             72,418.00
          10/13   LOCKBOX DEPOSIT      7570               REF# 689209805513406                            23,570.42 CR
                            0 DAY FLOAT                  0.42
                            2 DAY FLOAT             23,570.00
          10/13   LOCKBOX DEPOSIT      7574               REF# 689209801216860                             6,533.60 CR
                            0 DAY FLOAT                  0.60
                            1 DAY FLOAT              6,533.00
          10/13   LOCKBOX DEPOSIT      7581               REF# 689209807930842                           249,698.81 CR
                            0 DAY FLOAT                  0.81
                            1 DAY FLOAT            249,698.00
          10/13   LOCKBOX DEPOSIT      7581               REF# 689209807930836                             6,236.92 CR
                            0 DAY FLOAT                  0.92
                            1 DAY FLOAT              4,738.00
                            2 DAY FLOAT              1,498.00
          10/14   LOCKBOX DEPOSIT      7549               REF# 689209803936812                           387,552.00 CR
                            0 DAY FLOAT            387,552.00
          10/14   LOCKBOX DEPOSIT      7551               REF# 689209802684446                           655,171.90 CR
                            0 DAY FLOAT                  0.90
                            1 DAY FLOAT            655,171.00
          10/14   LOCKBOX DEPOSIT      7570               REF# 689209803936816                         1,035,276.36 CR
                            0 DAY FLOAT                  0.36
                            1 DAY FLOAT          1,035,276.00
          10/14   LOCKBOX DEPOSIT      7570               REF# 689209802712031                             1,458.82 CR
                            0 DAY FLOAT                  0.82
                            1 DAY FLOAT              1,458.00
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      76 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                            LOCKBOX SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/14   LOCKBOX DEPOSIT      7574               REF# 689209807237969                            44,544.39 CR
                            0 DAY FLOAT                  0.39
                            1 DAY FLOAT             44,544.00
          10/14   LOCKBOX DEPOSIT      7574               REF# 689209804183550                            19,525.60 CR
                            0 DAY FLOAT              2,419.60
                            1 DAY FLOAT             17,106.00
          10/14   LOCKBOX DEPOSIT      7581               REF# 689209802681971                            33,834.45 CR
                            0 DAY FLOAT                  0.45
                            1 DAY FLOAT             33,834.00
          10/14   LOCKBOX DEPOSIT      7581               REF# 689209803941541                            29,162.74 CR
                            0 DAY FLOAT                  0.74
                            1 DAY FLOAT             28,835.00
                            2 DAY FLOAT                327.00
          10/15   LOCKBOX DEPOSIT      7545               REF# 689209801223763                         2,796,176.89 CR
                            0 DAY FLOAT                  0.89
                            1 DAY FLOAT          2,796,176.00
          10/15   LOCKBOX DEPOSIT      7549               REF# 689209801223761                           215,574.43 CR
                            0 DAY FLOAT                  0.43
                            1 DAY FLOAT            215,574.00
          10/15   LOCKBOX DEPOSIT      7551               REF# 689209801225756                           146,495.63 CR
                            0 DAY FLOAT                  0.63
                            2 DAY FLOAT            146,495.00
          10/15   LOCKBOX DEPOSIT      7570               REF# 689209801225697                         1,152,646.50 CR
                            0 DAY FLOAT                  0.50
                            1 DAY FLOAT          1,152,646.00
          10/15   LOCKBOX DEPOSIT      7570               REF# 689209801006710                           180,576.66 CR
                            0 DAY FLOAT                  0.66
                            1 DAY FLOAT            180,576.00
          10/15   LOCKBOX DEPOSIT      7574               REF# 689209801054231                            44,689.72 CR
                            0 DAY FLOAT              1,737.72
                            1 DAY FLOAT             42,592.00
                           2 DAY FLOAT                360.00
          10/15   LOCKBOX DEPOSIT      7574               REF# 689209806449024                            12,802.83 CR
                            0 DAY FLOAT                  0.83
                            1 DAY FLOAT             12,802.00
          10/15   LOCKBOX DEPOSIT      7581               REF# 689209801225753                         4,220,245.88 CR
                            0 DAY FLOAT                  0.88
                            1 DAY FLOAT          4,220,245.00
          10/15   LOCKBOX DEPOSIT      7581               REF# 689209801006584                            12,532.24 CR
                            0 DAY FLOAT                  0.24
                            1 DAY FLOAT             12,532.00
          10/18   LOCKBOX DEPOSIT      7551               REF# 689209806476611                            695,92.28 CR
                            0 DAY FLOAT            695,921.28
          10/18   LOCKBOX DEPOSIT      7551               REF# 689209801870063                            18,861.35 CR
                            0 DAY FLOAT                  0.35
                            1 DAY FLOAT             18,861.00
          10/18   LOCKBOX DEPOSIT      7551               REF# 689229880254145                             5,304.96 CR
                            0 DAY FLOAT                  0.96
                            1 DAY FLOAT              5,304.00
          10/18   LOCKBOX DEPOSIT      7570               REF# 689209802232905                             3,096.60 CR
                            0 DAY FLOAT                  0.60
                            1 DAY FLOAT              3,096.00
          10/18   LOCKBOX DEPOSIT      7570               REF# 689209801688730                             1,577.00 CR
                            0 DAY FLOAT              1,577.00
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      77 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                            LOCKBOX SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/18   LOCKBOX DEPOSIT      7570               REF# 689209806476609                               729.60 CR
                            0 DAY FLOAT                  0.60
                            1 DAY FLOAT                729.00
          10/18   LOCKBOX DEPOSIT      7574               REF# 689209806456426                            96,217.69 CR
                            0 DAY FLOAT             91,577.69
                            1 DAY FLOAT              4,640.00
          10/18   LOCKBOX DEPOSIT      7574               REF# 689209801696312                            23,603.22 CR
                            0 DAY FLOAT              4,862.22
                            1 DAY FLOAT             18,741.00
          10/18   LOCKBOX DEPOSIT      7574               REF# 689209801973905                            19,561.39 CR
                            0 DAY FLOAT                  0.39
                            1 DAY FLOAT              7,809.00
                            2 DAY FLOAT             11,752.00
          10/18   LOCKBOX DEPOSIT      7574               REF# 689209802236443                             6,025.00 CR
                            2 DAY FLOAT              6,025.00
          10/18   LOCKBOX DEPOSIT      7581               REF# 689209801870066                         2,011,512.54 CR
                            0 DAY FLOAT                  0.54
                            1 DAY FLOAT          2,011,512.00
          10/18   LOCKBOX DEPOSIT      7581               REF# 689209806453844                           178,697.83 CR
                            0 DAY FLOAT              4,344.83
                            1 DAY FLOAT            174,353.00
          10/18   LOCKBOX DEPOSIT      7581               REF# 689209802232898                            12,580.88 CR
                            0 DAY FLOAT                  0.88
                            1 DAY FLOAT             12,580.00
          10/18   LOCKBOX DEPOSIT      7581               REF# 689209801696342                                66.00 CR
                            1 DAY FLOAT                 66.00
          10/19   LOCKBOX DEPOSIT      7549               REF# 689209801501602                           969,108.12 CR
                            0 DAY FLOAT                  0.12
                            1 DAY FLOAT            930,818.00
                            2 DAY FLOAT             38,290.00
          10/19   LOCKBOX DEPOSIT      7570               REF# 689209801504484                            15,082.24 CR
                            0 DAY FLOAT                  0.24
                            1 DAY FLOAT                432.00
                            2 DAY FLOAT             14,650.00
          10/19   LOCKBOX DEPOSIT      7574               REF# 689209801394316                            30,739.44 CR
                            0 DAY FLOAT                  0.44
                            1 DAY FLOAT             29,286.00
                            2 DAY FLOAT              1,453.00
          10/19   LOCKBOX DEPOSIT      7581               REF# 689209801501604                             1,499.10 CR
                            0 DAY FLOAT                  0.10
                            2 DAY FLOAT              1,499.00
          10/20   LOCKBOX DEPOSIT      7549               REF# 689209801763391                           395,907.56 CR
                            0 DAY FLOAT                  0.56
                            2 DAY FLOAT            395,907.00
          10/20   LOCKBOX DEPOSIT      7574               REF# 689209806156997                            49,870.11 CR
                            0 DAY FLOAT                  0.11
                            1 DAY FLOAT             49,870.00
          10/20   LOCKBOX DEPOSIT      7574               REF# 689209801720922                            13,622.32 CR
                            0 DAY FLOAT                  0.32
                            1 DAY FLOAT             13,622.00
          10/20   LOCKBOX DEPOSIT    7581                 REF# 689209801712420                           182,015.38 CR
                            0 DAY FLOAT                  0.38
                            1 DAY FLOAT            179,569.00
                            2 DAY FLOAT              2,446.00
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      78 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                            LOCKBOX SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/20   LOCKBOX DEPOSIT      7581               REF# 689209801763401                           123,063.24 CR
                            0 DAY FLOAT                  0.24
                            1 DAY FLOAT            123,063.00
          10/20   LOCKBOX DEPOSIT      7581               REF# 689209802929713                             8,034.60 CR
                            0 DAY FLOAT                  0.60
                            1 DAY FLOAT              8,034.00
          10/21   LOCKBOX DEPOSIT      7545               REF# 689209802493409                           165,990.78 CR
                            0 DAY FLOAT                  0.78
                            1 DAY FLOAT            165,990.00
          10/21   LOCKBOX DEPOSIT      7549               REF# 689209801011654                             5,681.76 CR
                            0 DAY FLOAT                  0.76
                            1 DAY FLOAT              5,681.00
          10/21   LOCKBOX DEPOSIT      7551               REF# 689209801254546                           103,891.93 CR
                            0 DAY FLOAT                  0.93
                            1 DAY FLOAT            103,891.00
          10/21   LOCKBOX DEPOSIT      7570               REF# 689209801018423                         2,093,107.37 CR
                            0 DAY FLOAT                  0.37
                            1 DAY FLOAT          2,093,107.00
          10/21   LOCKBOX DEPOSIT      7570               REF# 689229880279705                            17,633.15 CR
                            0 DAY FLOAT                  0.15
                            1 DAY FLOAT             16,544.00
                            2 DAY FLOAT              1,089.00
          10/21   LOCKBOX DEPOSIT      7574               REF# 689209801215218                            71,220.40 CR
                            0 DAY FLOAT                  0.40
                            1 DAY FLOAT             52,862.00
                            2 DAY FLOAT             18,358.00
          10/21   LOCKBOX DEPOSIT      7581               REF# 689209801254593                           181,696.26 CR
                            0 DAY FLOAT                  0.26
                            1 DAY FLOAT            181,696.00
          10/21   LOCKBOX DEPOSIT      7581               REF# 689209801011652                            41,393.57 CR
                            0 DAY FLOAT                  0.57
                            1 DAY FLOAT             41,393.00
          10/22   LOCKBOX DEPOSIT      7545               REF# 689209807646785                             9,052.98 CR
                            0 DAY FLOAT                  0.98
                            1 DAY FLOAT              7,573.00
                            2 DAY FLOAT              1,479.00
          10/22   LOCKBOX DEPOSIT      7551               REF# 689209807646788                            75,484.74 CR
                            0 DAY FLOAT                  0.74
                            1 DAY FLOAT             75,065.00
                            2 DAY FLOAT                419.00
          10/22   LOCKBOX DEPOSIT      7570               REF# 689209802885444                            45,310.84 CR
                            0 DAY FLOAT                  0.84
                            1 DAY FLOAT             45,310.00
          10/22   LOCKBOX DEPOSIT      7574               REF# 689209802874655                            35,997.60 CR
                            0 DAY FLOAT                  0.60
                            1 DAY FLOAT             31,770.00
                            2 DAY FLOAT              4,227.00
          10/22   LOCKBOX DEPOSIT      7581               REF# 689209802885442                         2,216,854.75 CR
                            0 DAY FLOAT                  0.75
                            1 DAY FLOAT          2,216,854.00
          10/22   LOCKBOX DEPOSIT      7581               REF# 689209807652972                           115,795.26 CR
                            0 DAY FLOAT                  0.26
                            1 DAY FLOAT            115,795.00
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      79 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                            LOCKBOX SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/25   LOCKBOX DEPOSIT      7545               REF# 689209801195412                           613,489.22 CR
                            0 DAY FLOAT                  0.22
                            1 DAY FLOAT            613,489.00
          10/25   LOCKBOX DEPOSIT      7549               REF# 689209801192021                            31,450.34 CR
                            0 DAY FLOAT                  0.34
                            2 DAY FLOAT             31,450.00
          10/25   LOCKBOX DEPOSIT      7551               REF# 689209801087008                            59,494.79 CR
                            0 DAY FLOAT             59,494.79
          10/25   LOCKBOX DEPOSIT      7551               REF# 689229880105705                            15,592.34 CR
                            0 DAY FLOAT                  0.34
                            1 DAY FLOAT             15,592.00
          10/25   LOCKBOX DEPOSIT      7551              REF# 689209801195318                              9,866.40 CR
                            0 DAY FLOAT                  0.40
                            1 DAY FLOAT              9,866.00
          10/25   LOCKBOX DEPOSIT      7570               REF# 689209805361529                            98,005.07 CR
                            0 DAY FLOAT                  0.07
                            1 DAY FLOAT             98,005.00
          10/25   LOCKBOX DEPOSIT      7570              REF# 689209801086912                             25,968.66 CR
                            0 DAY FLOAT             25,968.66
          10/25   LOCKBOX DEPOSIT      7570              REF# 689209803750893                             16,650.22 CR
                            0 DAY FLOAT                416.22
                            1 DAY FLOAT             16,234.00
          10/25   LOCKBOX DEPOSIT      7570              REF# 689209801192019                                753.20 CR
                             0 DAY FLOAT                 0.20
                             1 DAY FLOAT               753.00
          10/25   LOCKBOX DEPOSIT      7574              REF# 689209805316104                             28,498.03 CR
                             0 DAY FLOAT                 0.03
                             1 DAY FLOAT            21,480.00
                             2 DAY FLOAT             7,018.00
          10/25   LOCKBOX DEPOSIT      7574              REF# 689209803750629                             20,924.52 CR
                             0 DAY FLOAT               383.52
                             1 DAY FLOAT            20,541.00
          10/25   LOCKBOX DEPOSIT      7574              REF# 689209801226589                              4,834.78 CR
                             0 DAY FLOAT                 0.78
                             1 DAY FLOAT             4,834.00
          10/25   LOCKBOX DEPOSIT      7581              REF# 689209801184441                            226,792.93 CR
                             0 DAY FLOAT                 0.93
                             1 DAY FLOAT           226,792.00
          10/25   LOCKBOX DEPOSIT      7581              REF# 689209802574537                            127,643.68 CR
                             0 DAY FLOAT                 0.68
                             1 DAY FLOAT           127,643.00
          10/25   LOCKBOX DEPOSIT      7581              REF# 689209801087012                            105,630.42 CR
                             0 DAY FLOAT                 0.42
                             1 DAY FLOAT           105,630.00
          10/25   LOCKBOX DEPOSIT      7581              REF# 689209805361526                             99,388.33 CR
                             0 DAY FLOAT                 0.33
                             1 DAY FLOAT             5,826.00
                             2 DAY FLOAT            93,562.00
          10/26   LOCKBOX DEPOSIT      7545              REF# 689209803139503                              6,781.48 CR
                             0 DAY FLOAT                 0.48
                             1 DAY FLOAT             6,781.00
          10/26   LOCKBOX DEPOSIT      7574              REF# 689209807054108                             15,609.30 CR
                             0 DAY FLOAT             3,580.30
                             1 DAY FLOAT            12,029.00
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      80 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                            LOCKBOX SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/26   LOCKBOX DEPOSIT      7574               REF# 689209804345738                             2,524.00 CR
                            1 DAY FLOAT              2,524.00
          10/26   LOCKBOX DEPOSIT      7581               REF# 689209803242950                            10,500.00 CR
                            1 DAY FLOAT             10,500.00
          10/26   LOCKBOX DEPOSIT      7581               REF# 689209803139501                             7,832.40 CR
                            0 DAY FLOAT                  0.40
                            1 DAY FLOAT              7,832.00
          10/26   LOCKBOX DEPOSIT      7581               REF# 689209807053892                               379.00 CR
                            1 DAY FLOAT                379.00
          10/27   LOCKBOX DEPOSIT      7545               REF# 689209803519241                         1,505,631.50 CR
                            0 DAY FLOAT                  0.50
                            1 DAY FLOAT          1,505,631.00
          10/27   LOCKBOX DEPOSIT      7545               REF# 689209802800452                             7,142.34 CR
                            0 DAY FLOAT                  0.34
                            1 DAY FLOAT              7,142.00
          10/27   LOCKBOX DEPOSIT      7551               REF# 689209805928984                            34,704.06 CR
                            0 DAY FLOAT                  0.06
                            1 DAY FLOAT             34,704.00
          10/27   LOCKBOX DEPOSIT      7551               REF# 689209802800441                            24,589.27 CR
                            0 DAY FLOAT             24,589.27
          10/27   LOCKBOX DEPOSIT      7570               REF# 689209803511993                           171,117.11 CR
                            0 DAY FLOAT                  0.11
                            1 DAY FLOAT            168,670.00
                            2 DAY FLOAT              2,447.00
          10/27   LOCKBOX DEPOSIT      7570               REF# 689209802800443                             1,440.60 CR
                            0 DAY FLOAT                  0.60
                            1 DAY FLOAT              1,440.00
          10/27   LOCKBOX DEPOSIT      7574               REF# 689209802811906                            50,594.38 CR
                            0 DAY FLOAT                  0.38
                            1 DAY FLOAT             50,594.00
          10/27   LOCKBOX DEPOSIT      7574               REF# 689209803507773                             3,357.20 CR
                            0 DAY FLOAT                  0.20
                            1 DAY FLOAT              3,357.00
          10/27   LOCKBOX DEPOSIT      7581               REF# 689209803511917                         1,942,781.95 CR
                            0 DAY FLOAT                  0.95
                            1 DAY FLOAT          1,938,037.00
                            2 DAY FLOAT              4,744.00
          10/27   LOCKBOX DEPOSIT      7581               REF# 689209802950501                           156,041.86 CR
                            0 DAY FLOAT                  0.86
                            1 DAY FLOAT            156,041.00
          10/27   LOCKBOX DEPOSIT      7581               REF# 689209802800450                           115,327.62 CR
                            0 DAY FLOAT                  0.62
                            1 DAY FLOAT            115,327.00
          10/28   LOCKBOX DEPOSIT      7545               REF# 689209801197148                         4,909,348.23 CR
                            0 DAY FLOAT                  0.23
                            1 DAY FLOAT          4,909,348.00
          10/28   LOCKBOX DEPOSIT      7549               REF# 689209801079472                           387,552.00 CR
                            0 DAY FLOAT            387,552.00
          10/28   LOCKBOX DEPOSIT      7570               REF# 689209801197154                         2,226,768.40 CR
                            0 DAY FLOAT                  0.40
                            1 DAY FLOAT            473,313.00
                            2 DAY FLOAT          1,753,455.00
          10/28   LOCKBOX DEPOSIT      7570               REF# 689209801079476                            31,278.89 CR
                            0 DAY FLOAT                  0.89
                            1 DAY FLOAT             31,278.00
</TABLE>
<PAGE>

Logo of Bank of America                                        Corporate Deposit
                                                                       Statement

    CDA USCG ILLINOIS NORTH #8188
    231 LA SALLE                   ACCOUNT NUMBER: 8188-9-10116
    CHICAGO IL 60697

    PHONE NUMBER 800-262-2726

    1029991010
                                                           PAGE      81 OF 82

<TABLE>
<CAPTION>
----------------------------------------------------------------------------------------------------------------------
                                            LOCKBOX SUMMARY
----------------------------------------------------------------------------------------------------------------------
     POST DATE               CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/28   LOCKBOX DEPOSIT      7574               REF# 689209803645291                            39,209.29 CR
                            0 DAY FLOAT              4,916.29
                            1 DAY FLOAT             34,293.00
          10/28   LOCKBOX DEPOSIT   7574                  REF# 689209801216582                             8,311.02 CR
                            0 DAY FLOAT                  0.02
                            1 DAY FLOAT              8,311.00
          10/28   LOCKBOX DEPOSIT      7581               REF# 689209801193571                         7,387,930.98 CR
                            0 DAY FLOAT                  0.98
                            1 DAY FLOAT          7,289,878.00
                            2 DAY FLOAT             98,052.00
          10/28   LOCKBOX DEPOSIT      7581               REF# 689209801077279                           260,966.99 CR
                            0 DAY FLOAT              7,088.99
                            1 DAY FLOAT            253,878.00
          10/28   LOCKBOX DEPOSIT      7581               REF# 689209802236131                             1,420.25 CR
                            0 DAY FLOAT                  0.25
                            1 DAY FLOAT              1,420.00
          10/29   LOCKBOX DEPOSIT      7549               REF# 689209801448847                           806,473.59 CR
                            0 DAY FLOAT                  0.59
                            1 DAY FLOAT            806,473.00
          10/29   LOCKBOX DEPOSIT      7551               REF# 689209804822565                           191,410.10 CR
                            0 DAY FLOAT                  0.10
                            1 DAY FLOAT            191,410.00
          10/29   LOCKBOX DEPOSIT      7551               REF# 689209802642425                            11,062.58 CR
                            0 DAY FLOAT                  0.58
                            1 DAY FLOAT              6,407.00
                            2 DAY FLOAT              4,655.00
          10/29   LOCKBOX DEPOSIT      7551               REF# 689209802632021                             2,652.48 CR
                            0 DAY FLOAT                  0.48
                            1 DAY FLOAT              2,652.00
          10/29   LOCKBOX DEPOSIT      7570               REF# 689209802641754                         1,243,791.20 CR
                            0 DAY FLOAT                  0.20
                            1 DAY FLOAT          1,243,791.00
          10/29   LOCKBOX DEPOSIT      7574               REF# 689209802522820                            56,939.39 CR
                            0 DAY FLOAT                  0.39
                            1 DAY FLOAT             56,939.00
          10/29   LOCKBOX DEPOSIT      7574               REF# 689209804822570                            18,469.38 CR
                            0 DAY FLOAT                  0.38
                            1 DAY FLOAT             18,469.00
          10/29   LOCKBOX DEPOSIT      7581               REF# 689209802641670                         3,299,987.02 CR
                            0 DAY FLOAT                  0.02
                            1 DAY FLOAT                152.00
                            2 DAY FLOAT          3,299,835.00
          10/29   LOCKBOX DEPOSIT      7581               REF# 689209802684254                            32,496.82 CR
                            0 DAY FLOAT                  0.82
                            1 DAY FLOAT             32,496.00
          10/29   LOCKBOX DEPOSIT      7581               REF# 689209804822056                               250.25 CR
                            0 DAY FLOAT                  0.25
                            1 DAY FLOAT                250.00

                                                                   TOTAL CREDITS                      71,863,569.20
</TABLE>
<PAGE>

Logo of Bank of America
                                                               Corporate Deposit
                                                                       Statement
CDA USCG ILLINOIS NORTH #8188
231 LA SALLE                  ACCOUNT NUMBER:  8188-9-10116
CHICAGO IL 60697

PHONE NUMBER 800-262-2726

1029991010


                                                           PAGE      82 OF 82

<TABLE>
<CAPTION>

                                        MISCELLANEOUS CREDITS AND DEBITS
----------------------------------------------------------------------------------------------------------------------
    POST DATE                CUSTOMER REFERENCE OR ITEM DESCRIPTION                                     AMOUNT
---------------   --------------------------------------------------------------------------  ------------------------
<S>               <C>                                                                         <C>
          10/06   MISCELLANEOUS CREDIT                    REF# 173200041000297                                88.00 CR
                  33804049 FCO 376153 COLL ITEM
          10/20   MISCELLANEOUS CREDIT                    REF# 173200041000351                               239.52 CR
                  33804049 FCO 376246 COLL DEPT
                                                                 TOTAL CREDITS                               327.52

          10/01   MISCELLANEOUS DEBIT                     REF# 123301114763900                             2,174.65 DB
                  CHECK DEPOSIT ADJUSTMENT
          10/01   MISCELLANEOUS DEBIT                     REF# 123301114764100                               150.63 DB
                  CHECK DEPOSIT ADJUSTMENT
          10/06   MISCELLANEOUS DEBIT                     REF# 123301321435500                               220.63 DB
                  CHECK DEPOSIT ADJUSTMENT
          10/07   DB--RESTRICT OVERRIDE                   REF# 308200000004654                             9,195.00 DB
                  DEPOSITED ITEM RETURNED
                                                                  TOTAL DEBITS                            11,740.91
</TABLE>
<PAGE>

                           BREED Technologies, Inc.
                                 Citibank-FSC
                              Account #0012754019
                              G/L 430 107700-0150
                               October 31, 1999



     Bank balance                               1,334.36
     GL balance                                 1,334.36
                                              ----------
                    Variance                         -


     Reconciling items:



                                  ----------
                                                     -
                                              ----------
                    Unexplained variance             -
                                              ==========


     Prepared by:        Jerry Harper
                         -------------------
     Date:                  12/8/99
                         -------------------
     Approved by:
                         -------------------
<PAGE>

  BREED TECHNOLOGIES INT'L INC  0/012754/019  AS OF: 29 OCT 99  PAGE  1 OF  1
  ------------------------------------------------------------------------------
                                  4210

          BREED TECHNOLOGIES
          INTERNATIONAL INC                            GL 430 107700-0150
          ATTN:JACK SONTHEIMER, CONTROLLER
          5300 OLD TAMPA HIGHWAY
          LAKELAND FL             33811
                                                           REGULAR STATEMENT
--------------------------------------------------------------------------------
                             SUMMARY  OF  BALANCE
--------------------------------------------------------------------------------

               OPENING BALANCE AS OF 01 OCT 99             1,334.36

                    0 DEBITS                                   0.00

                         0  CHECKS                             0.00
                         0  NON-CHECKS                         0.00

                    0 CREDITS                                  0.00

                         0  DEPOSITS                           0.00
                         0  NON-DEPOSITS                       0.00

               CLOSING LEDGER AS OF 29 OCT 99              1,334.36

--------------------------------------------------------------------------------

--------------------------------------------------------------------------------


     ANY ERROR OR OMISSION ON THIS STATEMENT MUST BE NOTIFIED IN WRITING TO THE
     ATTENTION OF THE CONTROL DIVISION WITHIN THIRTY (30) DAYS FROM MAILING
     DATE. FAILURE TO DO SO WILL SIGNIFY THAT THE STATEMENT IS CORRECT.


--------------------------------------------------------------------------------
<PAGE>

                           BREED TECHNOLOGIES, INC.
                               SunTrust Payroll
                                100 105200-0000
                                 October, 1999

<TABLE>
<CAPTION>
<S>                                                                          <C>           <C>
Balance Acct # 0215252163455 closed aug 99                                                         0.00
Balance Acct # 32020280737 closed aug 99                                                           0.00
Investment Account                                                                                 0.00
General Ledger Balance                                                                       758,352.56
                                                                                           ------------
    .                                                                                       (758,352.56)
Posting error for closing withdrawal (cr. Posted to 105 070)                  628,688.55
Reconciling Items - August
--------------------------
paid cks on bank unpaid report per
reconcilement of 7-31-99 that are not including
in bank totals and which understated outstanding checks                        39,266.78
-------------------------------------------------------
        p r cks acct  0032020280737              118.21
                                                 413.63
                                                 140.37                           672.21
                                             ----------
              Payroll checks voided             (534.35)
                                              (1,308.17)
                                              (2,077.23)                       (3,919.75)
                                             ----------
                         August cks not recorded                              164,669.55
                           less: ck 45836 - stop payment
                         Ck 902406 paid by bank as $l99.10 on O/s list            180.00
                           as S19.10
October interest                                                               (2,539.15)
September interest                                                             (2,511.05)
September bank charges                                                         36,991.93
Reconciling Items - July
------------------------
Investment Interest Income July 99                  (4.081.51)
Checks on Stmt not in G/L 320202080737               1,522.18                  (2,559.33)
Outstanding Checks
Unpaid report from Bank         (343,742.13)
Paid Checks on Unpaid Rpt                 -
Voids on Unpaid Report            76,647.08
Void Checks 220905-221008        167,092.92       (100,002.13)               (100,002.13)
Unexplained difference from July                                                 (419.14)
Unexplained difference from August                                               (165.91)
                                                                          -----------------------------
                     Total Reconciling Items                                                 758,352.56

                                                                                          -------------
                      Unidentified Variances                                                       0.00
                                                                                          =============

Prepared by: Jerry Harper     12 10 99
            --------------------------

Reviewed by
            --------------------------
</TABLE>
<PAGE>

<TABLE>
<S>                                                                                                   <C>
              SUNTRUST BANK, CENTRAL FLORIDA, NA                                                     Page 1 of 1
              FLORIDA CORPORATE                                                                      83/E00/0215/1
              P O BOX 628096                                                                         0215252163455
              ORLANDO, FL 32897

[LOGO] SunTrust                                                                                      Account
                                                                                                     Statement

                                                                                                     CLOSED

              BREED TECHNOLOGIES INC                                                                 Questions? Please call
              PO BOX 33050                                                                           407-839-4786
              LAKELAND FL 33807-3050


              Y2K!  WHY YES, WE'RE READY!  IF YOU HAVE YEAR 2000 READINESS QUESTIONS, PLEASE
              CALL OUR Y2K INFORMATION LINE AT 1-877-999-20003 OR LOG ON TO WWW.SUNTRUST.COM.

====================================================================================================================================
Statement     Account Type                     Account Number              Statement Period                Taxpayer ID
Summary
              BUSINESS CHECKING                0215252163455           10/01/1999 - 10/31/1999              22-2767118
              --------------------------------------------------------------------------------------------------------
              Description                     Amount  Description                                               Amount
              Beginning Balance              $149.40  Average Balance                                          $266.53
              Deposits/Credits           $630.539.15  Average Collected Balance                                $266.53
              Checks                            $.99  Number of Days in Statement Period                            31
              Withdrawals/Debits         $630.688.55
              Ending Balance                    $.00

----------------------------------------------------------------------------------------------------------------------
Deposits/     Date      Amount      Serial#   Description
Credits      10/01     2,539.15               INVESTMENT SALE
                                                 SWEEP            INTEREST
             10/13    628.000.00              INVESTMENT SALE

             Deposits/Credits: 2     Total Items Deposited: 0
----------------------------------------------------------------------------------------------------------------------
Withdrawals  Date       Amount      Serial#   Description
Debits       Paid
             10/01      2.000.00              INVESTMENT PURCHASE
             10/13    628.688.55              MISCELLANEOUS DEBIT
             Withdrawals/Debits: 2
----------------------------------------------------------------------------------------------------------------------
           DDA/Savings CLOSING  Debit                      PREPARED BY      PHONE NO      APPROVED BY    DATE
                       -------                                ???           237-5786          ???        ???
                                                          -------------------------------------------------------------
                                                           ORIGINATING DEPARTMENT           TRANSACTION DATE
                                                               CENTER CODE
[LOGO] Sun Bank   Sun Bank, National Association             Treas. Mgmt                                10-13-99
                                                         --------------------------------------------------------------
AUXILIARY SERIAL NO.   COMPANY STORE NO.     OFFICE ID      ACCOUNT NUMBER          TRAN CODE          CLOSING BALANCE
                                                            0215252163455               902          $    628688.55
                                                         --------------------------------------------------------------
                                                           YOUR ACCOUNT HAS BEEN CHARGED FOR THE REASONS SHOWN
                                                             CLOSING ACCOUNT
                         Breed Technologies                Per memo of October 4th. Close account and send cashier's check
                                                           via overnight mail.
                                                         --------------------------------------------------------------
                                                                           CUSTOMER'S SIGNATURE IF APPLICABLE

                                                         --------------------------------------------------------------
</TABLE>
<PAGE>

SUNTRUST BANK, CENTRAL FLORIDA, NA           PAGE 1 OF 1
FLORIDA CORPORATE                            01/E00/0215/0
P O BOX 628096                               6215215850312
ORLANDO, FL 32897


                                             ACCOUNT
                                             STATEMENT


                                             ***CLOSED***



BREED TECHNOLOGIES INC                       QUESTIONS? PLEASE CALL
CONTROLLED PAYMENT ACCOUNT                   407-839-4786
PO BOX 33050
LAKELAND FL 33807-3050

Y2K! WHY YES, WE'RE READY! IF YOU HAVE YEAR 2000 READINESS QUESTIONS, PLEASE
CALL OUR Y2K INFORMATION LINE AT 1-877-999-2003 OR LOG ON TO WWW.SUNTRUST.COM.

<TABLE>
<CAPTION>
---------------------------------------------------------------------------------------------
                               STATEMENT SUMMARY

ACCOUNT TYPE                  ACCOUNT NUMBER           STATEMENT PERIOD         TAXPAYER ID

BUSINESS CHECKING             6215215850312       10/01/1999 - 10/31/1999        22-2767118
---------------------------------------------------------------------------------------------
<S>                           <C>                 <C>                             <C>
DESCRIPTION                   AMOUNT              DESCRIPTION                         AMOUNT
BEGINNING BALANCE             $  .00              AVERAGE BALANCE                       $.00
DEPOSITS/CREDITS              $  .00              AVERAGE COLLECTED BALANCE             $.00
CHECKS                        $  .00              NUMBER OF DAYS IN STATEMENT PERIOD      31
WITHDRAWALS/DEBITS            $  .00
ENDING BALANCE                $  .00
-----------------------------------------------------------------------------------------------------------------------
</TABLE>

                            BALANCE ACTIVITY HISTORY

DATE          BALANCE        COLLECTED       DATE       BALANCE      COLLECTED
                              BALANCE                                 BALANCE
10/01          .00               .00         10/29        .00          .00

<PAGE>

    SUNTRUST BANK, CENTRAL FLORIDA, N A                      PAGE 1
    INVESTMENT SERVICES
    P.O. BOX 3833
    ORLANDO, FLORIDA 32802

                                    CLASSIC INST CASH MGT MM FUND
                                        MONTHLY ACTIVITY STATEMENT
                                    STATEMENT PERIOD 10/01/1999 - 10/31/1999





    BREED TECHNOLOGIES INC
    P0 BOX 33050
    LAKELAND FL 33807-3050

<TABLE>
<CAPTION>

---------------------------------------------------------------------------------------
                               STATEMENT SUMMARY
---------------------------------------------------------------------------------------
<S>                  <C>                <C>                              <C>
INTEREST PAID                  2,539.15   INTEREST PAID YEAR TO DATE         46,049.95
INTEREST EARNED                1,018.15   INTEREST EARNED YEAR TO DATE       41,311.71
AVERAGE BALANCE              243,096.77   AVERAGE BALANCE YEAR TO DATE    1,086,098.68
AVERAGE MONTHLY YIELD             4.931%  AVERAGE YIELD YEAR TO DATE             4.567%
CUSTOMER NUMBER        215252163455-001   CUSTOMER TAX ID NUMBER            22-2767118
---------------------------------------------------------------------------------------
INTEREST PAYABLE               1,018.15
---------------------------------------------------------------------------------------
                               MONTHLY ACTIVITY
---------------------------------------------------------------------------------------
 TRANSACTION  TRANSACTION                                                    INTEREST
    DATE        AMOUNT         NET CHANGE          BALANCE     RATE           EARNED

   9-30-1999                                     626,000.00
  10-01-1999  2,539.15     DIVIDENDS PAID
              2,539.15-    DIVIDENDS DISBURSED
                                 2,000.00        628,000.00  4.9702715          256.55
  10-04-1999                          .00        628,000.00  4.9854920           85.78
  10-05-1999                          .00        628,000.00  4.9270190           84.77
  10-06-1999                          .00        628,000.00  4.8892415           84.12
  10-07-1999                          .00        628,000.00  4.8803720           83.97
  10-08-1999                          .00        628,000.00  4.9129300          338.11
  10-12-1999                          .00        628,000.00  4.9310340           84.85
  10-13-1999                   628,000.00-              .00  4.8909205             .00
</TABLE>
<PAGE>

                                  Sun Trust
                             Flex Spending Account
                           Account #300320020393720
                              GL 100 105300-0000
                               October 31, 1999

Bank Balance                                               9,397.98
GL Balance                                                20,484.66
                                                        ------------
        Variance                                         (11,086.68)

Reconciling items:
        Dep in Transit   July 99          10,000.00
        Dep in Transit   June 99             585.41
        Dep in Transit   June 99             445.25}       1,774.66
        Dep in Transit   July 99             744.00

          BANK FEES
          Erroneous SE ar1099-004       A.  (687.98)
                                          ----------
                                                          11,086.68
                                                        ------------
                                                                -
                                                        ============
          Unexplained variance

         A. David Riggs to correct-Nov 99

Prepared By  Jerry Harper
            ---------------------
Date         12/17/99
            ---------------------

Approved By
            ---------------------
<PAGE>

SUNTRUST BANK, TAMPA BAY                                             Page 1 OF 2
P.O. B0X 3303                                                     72/E00/0656/28
TAMPA, FL 33601-3303                                               0032020393720



[SUNTRUST LOGO]                                                      Account
                                                                     Statement

BREED TECHNOLOGIES INC                                    Questions? Please call
FLEX SPENDING ACCT                                        1-800-786-8787
JACK SONTHEIMER
5300 OLD TAMPA HWY
LAKELAND FL 33811-1130


YZK! WHY YES, WE'RE READY? IF YOU HAVE YEAR 2000 READINESS QUESTIONS, PLEASE
CALL OUR Y2K INFORMATION LINE AT 1-877-999-2003 OR LOG ON TO WWW.SUNTRUST.COM.

<TABLE>
<CAPTION>
Statement    Account Type               Account Number               Statement Period               Taxpayer ID
Summary
<S>          <C>                        <C>                       <C>                               <C>
             BUSINESS CHECKING          0032020393720             10/01/1999 -10/31/1999             22-2767118
                                    GL # 100 105300 0000
------------------------------------------------------------------------------------------------------------------
             Description                          Amount       Description                                Amount
             Beginning Balance                  $  2.824.31    Average Balance                       $  7,895.73
             Deposits/Credits                   $ 17,346.69    Average Collected Balance             $  7,895.73
             Checks                             $ 10.672.97    Number of Days in Statement Period             31
             Withdrawals/Debits                     $100.05
             Ending Balance                     $  9,397.98
------------------------------------------------------------------------------------------------------------------
Deposits/    Date     Amount      Serial #    Description
Credits      10/07   10,000.00                INCOMING FEDWIRE CR TRN #005574
             10/12    2,565.66                INCOMING FEDWIRE CR TRN #003769
             10/20    2,335.19                INCOMING FEDWIRE CR TRN #008629
             10/29    2,445.84                INCOMING FEDWIRE CR TRN #007257

             Deposits/Credits:  4     Total Items Deposited: 0
<CAPTION>
------------------------------------------------------------------------------------------------------------------
Checks       Check                Amount   DATE    Check        Amount    Date     Check           Amount   Date
             Number                        Paid    Number                 Paid     Number                   Paid
<S>          <C>               <C>         <C>     <C>         <C>        <C>      <C>             <C>      <C>
              5603                 27.64   10/22    5623       2,499.00   10/26    10289           420.00   10/05
             *5610                666.72   10/01   *5625         263.31   10/27    10290            50.00   10/12
             *5615                245.00   10/14    5626         789.48   10/26    10291           121.10   10/12
              5616                273.32   10/04   *5628           4.33   10/28    10292            30.00   10/18
              5617              1,925.00   10/06   *10267         35.00   10/25    10293           238.37   10/18
              5618                 70.00   10/18   *10276        687.98   10/15    10294           238.00   10/27
              5619                117.00   10/21   *10284        318.19   10/04    10295           238.37   10/28
              5620                437.77   10/13   *10286        454.55   10/01    10296            88.00   10/27
              5621                208.34   10/15    10287        102.00   10/08
              5622                 66.66   10/20    10288         57.84   10/28

              Checks: 28                        *Break in check sequence
<CAPTION>
------------------------------------------------------------------------------------------------------------------
Withdrawals/  Date          Amount     Serial#        Description
Debits        Paid
<S>           <C>           <C>        <C>            <C>
              10/06         29.00                     NON-SUFFICIENT FUNDS PENALTY
              10/07         15.00                     INCOMING FEDWIRE TRANSFER FEE TRN #005574
              10/12         15.00                     INCOMING FEDWIRE TRANSFER FEE TRN #003769
              10/20         15.00                     INCOMING FEDWIRE TRANSFER FEE TRN #008629
              10/29         15.00                     INCOMING FEDWIRE TRANSFER FEE TRN #007257
              10/29         11.05                     SERVICE FEE
                      TOTAL ITEMS PAID FEE                                               4.20
                      TOTAL PER DEPOSIT FEE                                              1.40
                      MONTHLY MAINTENANCE FEE                                           13.00
                      MONTHLY EARNINGS CREDIT                                            7.55

              Withdrawals/Debits: 9
</TABLE>

2518                              Member FDIC             Continued on Next page

<PAGE>

               [LETTERHEAD OF BREED ELECTRONICS OF NEVADA, INC.]

Pay to the Order of    JANICE C GEORGE

<TABLE>
     <S>                                    <C>                                                        <C>
                                                                                                       xxxxxxxxxxx

                                            Exactly                                                           xxxxxxxxxxx
                                            ----------------------------------------------------------
     JANICE C GEORGE                        Four Hundred Sixty-One and 75/100 Dollars****************
     639 ISBELL RD, SUITE 390
     RENO, NV 89509                         ----------------------------------------------------------
</TABLE>



Memo:  10/01/99 - 12/31/99                                  ____________________
<PAGE>

SUNTRUST BANK, TAMPA BAY                                       Page 2 of 2
P.O. BOX 3303                                                  72/E00/0656/28
TAMPA, FL  33601-3303                                          0032020393720

[SUNTRUST LOGO]                                                Account
                                                               Statement
          BREED TECHNOLOGIES INC
          FLEX SPENDING ACCT

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------
               Account Type                  Account Number          Statement Period            Taxpayer ID
               BUSINESS CHECKING             0032020393720           10/01/99 - 10/31/99          22-2767118
------------------------------------------------------------------------------------------------------------
<S>            <C>           <C>             <C>               <C>             <C>               <C>
Balance        Date           Balance        Collected         Date               Balance          Collected
Activity                                       Balance                                               Balance
History        10/01           1,703.04        1,703.04        10/18             9,082.63           9,082.63
               10/04           1,111.53        1,111.53        10/20            11,336.16          11,336.16
               10/05             691.53          691.53        10/21            11,219.16          11,219.16
               10/06           1,262.47-       1,262.47-       10/22            11,191.52          11,191.52
               10/07           8,722.53        8,722.53        10/25            11,156.52          11,156.52
               10/08           8,620.53        8,620.53        10/26             7,868.04           7,868.04
               10/12          11,000.09       11,000.09        10/27             7,278.73           7,278.73
               10/13          10,562.32       10,562.32        10/28             6,978.19           6,978.19
               10/14          10,317.32       10,317.32        10/29             9,397.98           9,397.98
               10/15           9,421.00        9,421.00
</TABLE>


2519                              Member FDIC
<PAGE>

                            BREED TECHNOLOGIES, INC
                     CASH: NATIONAL WESTMINSTER (01002732)
                    ACCOUNT # 100 107600 0130 & 107601 0130
                                 October, 1999

                              ME Xchge Rate     Sterling              Dollars
                                                --------              -------
Balance Per Bank Statement

     October 1999
     current ME rate                 0.6086     167,069.09          274,513.79
     Outstanding Deposits                                                 0.00
     Outstanding Cheques                         (5,310.03)          (8,724.99)
                                                                  ------------
                                                                    265,788.79
                                                   0.03

Balance Per General Ledger

     107600 0130 - Non Debtor                                        (9,138.10)
     107601 0130 - Debtor                                           274,926.91
                                                                  ------------
                                                                    265,788.81

                                                                  ------------
                                                       Variance:          0.02
                                                                  ============

Prepared by: /s/ Jerry Harper
             ----------------

Approved by:
             ----------------
<PAGE>

                                                                        NAT WEST

OCTOBER 1999                                                    CUT OFF 29.10.99

UK OPERATIONS-BANK RECONCILIATION

<TABLE>
<CAPTION>

                                               (Pounds)          (Pounds)
<S>                                            <C>               <C>
Balance B/F                                        (26.29)
Receipts                                       224,663.39
Payments                                                         230,198.55
Balance C/F                                                       (5,561.45)
Totals                                         467,111.07        467,111.07

Balance Per Bank Statement 29 OCTOBER 1999                          (251.42)
Add: Late Lodgements                                                   0.00

Less: Outstanding Cheques

Date Per Cash Book             CHEQUE NO          (Pounds)
                   09/08/99        4705             26.29
                   20/10/99        4756            180.00
                   25/10/99        4757          1,235.10
                                   4758          1,650.50
                                   4759          2,110.00
                   30/10/99         TRF            108.14
                                                                   5,310.03

Balance Per Cash Book-31 OCTOBER 1999                             (5,561.45)
</TABLE>

                                                           ISSUED BY CS 29/10/99
<PAGE>

                        NatWest BankLine - Cash Manager
                               STATEMENT MODULE
                                   Statement

<TABLE>
<S>                                            <C>                     <C>               <C>
ACCOUNT NAME: BREED AUTOMOTIVE                 ACCOUNT TYPE:           CURRENT           SORT CODE:  60-12-34
CURRENCY CODE: GBP                             BANK CODE:              NWB               ACCOUNT NO: 01002732
</TABLE>

                 Entries between: 30 Sep 1999 and 29 Oct 1999
                              Debits and Credits
                             All Transaction Types

<TABLE>
<CAPTION>


PRINTED ON:       29 Oct 1999  11:08                                                              PAGE  No:     1
------------------------------------------------------------------------------------------------------------------------------------
  Date                           Details                            Debits                 Credits                    Balance
-----------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>                             <C>                    <C>                          <C>
29SEP     STARTING BALANCE                                                                                             0 00

30SEP     601235 00-63563630       TR                             28,700 31
          ACCOUNT CHARGE           CHG                               405 35
          HM CUSTOMS VAT           SO                                                    29,105 66                     0 00
01OCT     GE CAPITAL FLEET         DD                                200 42
          COV.CC NNDR ACCNT        DD                                191 00
          601235 00-63563630       TR                                                       391 42                     0 00
04OCT     601235 00-63563630       TR                                140 69
          CORNHILL INSURANCE       SO                                                       140 69                     0 00
07OCT     DIALCARD RECEIPTS        DD                                298 12
          601235 00-63563630       TR                                                       298 12                     0 00
08OCT     + BANKLINE AUTOPAY       TR                             13,106 72
          AMERICA EXPRESS          DD                                202 13
          601235 00-63563630       TR                                                    13,308 85                     0 00
12OCT     O04751                   CQ                             11,499 13
          TRAVELEX CORP SV         DD                             32,082 64
          + BANKLINE AUTOPAY       TR                             17,553 70
          TRAVELEX CORP SV         DD                              8,156 84
          TRAVELEX CORP SV         DD                              1,228 03
          TRAVELEX CORP SV         DD                                243 26
          601235 00-63563630       TR                                                    70,773 60                     0 00
130CT     004743                   CQ                                 68 14
          004744                   CQ                                 99 88
          004747                   CQ                                362 89
          004749                   CQ                                266 12
          004753                   CQ                                 49 00
          601235 00-63563630       TR                             37,153 97
          CHAPS 00010 165050       TR                                                    38,000 00                     0 00
          BREED TECHNOLOGIES
14OCT     004745                   CQ                                223 93
          004746                   CQ                              2,761 25
          004748                   CQ                              4,654 07
          004755                   CQ                                434 28
          DIALCARD RECEIPTS        DD                                223 99
          601235 00-63563630       TR                                                     8,297 52                     0 00
15OCT     004750                   CQ                              l,988 95
          004752                   CQ                              3,143 97
          601235 00-63563630       TR                                                     5,132 92                     0 00
20OCT     004754                   CQ                              1,427 66
          601235 00-63563630       TR                                                     1,427 66                     0 00
21OCT     VODAFONE RETAIL          DD                                925 79
          VODAFONE RETAIL          DD                                392 90
                                                                                                       -----------------------------
210CT     BALANCE TO PAGE 2                  National Westminister Bank Plc
------------------------------------------------------------------------------------------------------------------------------------
</TABLE>

                                      Key
                                      ---
<TABLE>
<CAPTION>
<S>                          <C>                         <C>                       <C>                    <C>
AC  SERVICETILL OR AUTOMATED CC   CASH/CHEQUES           CHG CHARGES               COL  COLLECTION ITEM   CP  SWITCH TRANSACTION
CQ  CHEQUES                  CQB  CHEQUE BOOK            CD  DIRECT DEBIT          DV   DIVIDEND          EC  EUROCHEQUE
IN  INTEREST                 MON  MONDEX TRANSACTION     MSC MISCELLANEOUS         OBL  TAKE-ON BALANCE   PY  SALARY OR WAGES
RD  RETURNED DIRECT DEBIT    SCR  SUNDRY CREDITS         SE  STOCK EXCHANGE        SO   STANDING ORDER    SUP SUPPLEMENTARY LIST
TC  TRADERS CREDIT           TR   TRANSFER               ZCH ZERO AMOUNT CHGS/INT                             ITEM
</TABLE>
   -----------------------------------------------------------------------
   Customers are reminded to verify this data with printed statements when
                                   received.
   -----------------------------------------------------------------------
<PAGE>

                       NatWest BankLine - Cash Manager

                               STATEMENT MODULE

                                   Statement


ACCOUNT NAME:  BREED AUTOMOTIVE:   ACCOUNT TYPE: CURRENT     SORT CODE: 60-12-35

CURRENCY CODE: GBP                 BANK CODE:    NWB         ACCOUNT No: ???????


                 Entries between; 30 Sep 1999 and 29 Oct 1999

                              Debits and Credits

                             All Transaction Types


PRINTED ON:  29 Oct 1999 11:08                                  PAGE No:       2

<TABLE>
<CAPTION>
-------------------------------------------------------------------------------------------------------
 Date                              Details      Debits               Credits                  Balance
-------------------------------------------------------------------------------------------------------
<S>      <C>                       <C>       <C>                  <C>                          <C>
21OCT    BALANCE FROM PAGE 1
         601235 00-63563630          TR                             1,318.69                     0.00
22OCT    DIALCARD RECEIPTS           DD         305.92
         601235 00-63563630          TR                               305.92                     0.00
25OCT    EBS DIRECT DEBITS           DD          20.00
         100134                      CC                               248.56
         601235 00-63563630          TR                                19.44                   248.00
27OCT    601235 00-63563630          TR         248.00                                           0.00
28OCT    601235 00-63563630          TR      84,984.96
         ACC TELECOM                 DD          15.04
         CHAPS 00016 165050          TR                            85,000.00                     0.00
         BREED TECHNOLOGIES
29OCT    DIALCARD RECEIPTS           DD                                          ** IN TODAY **
                                                                               ------------------------
29OCT                                  National Westminster Bank Plc                          (251.42)
-------------------------------------------------------------------------------------------------------
</TABLE>

<TABLE>
                                                                Key
                                                                ---
<S>                          <C>                     <C>                        <C>                     <C>
AC  SERVICETILL OR AUTOMATED CC   CASH/CHEQUES       CHG  CHARGES               COL  COLLECTION ITEM    CP  SWICTH TRANSACTION
CQ  CHEQUES                  CQB  CHEQUE BOOK        DD   DIRECT DEBIT          DV   DIVIDEND           EC  EUROCHEQUE
IN  INTEREST                 MON  MONDEX TRANSACTION MSC  MISCELLANEOUS         OBL  TAKE-ON BALANCE    PY  SALARY OR WAGES
RC  RETURNED DIRECT DEBIT    SCR  SUNDRY CREDITS     SE   STOCK EXCHANGE        SO   STANDING ORDER     SUP SUPPLEMENTARY LIST ITEM
TC  TRADERS CREDIT           TR   TRANSFER           ZCH  ZERO AMOUNT CHGS/INT
</TABLE>

--------------------------------------------------------------------------------
Customers are reminded to verify this data with printed statements when received
--------------------------------------------------------------------------------

<PAGE>

                        NatWest BankLine - Cash Manager

                               STATEMENT MODULE

                                   Statement
<TABLE>
<S>                                     <C>                           <C>
ACCOUNT NAME:  BREED TECHNOLOGY LTD     ACCOUNT TYPE:  CURRENT        SORT  CODE:  60-12-35

CURRENCY CODE: GBP                      BANK CODE:     NWB            ACCOUNT No:???????
</TABLE>

                 Entries between: 30 Sep 1999 and 29 Oct 1999

                              Debits and Credits

                             All Transaction Types

<TABLE>
<CAPTION>
PRINTED ON:  29 Oct 1999 11:12                                      PAGE  No: 1.
------------------------------------------------------------------------------------------------------------------------------------
 Date                           Details:                         Debits              Credits                       Balance
------------------------------------------------------------------------------------------------------------------------------------
<S>         <C>                            <C>                                    <C>                       <C>
29SEP       STARTING BALANCE                                                                                117,366.72
30SEP       601235   01002732   TR                                                28,700.31                 146,067.03
01OCT       601235   01002732   TR                               391.42                                     145,675.61
04OCT       601235   01002732   TR                                                   140.69                 145,816.30
07OCT       601235   01002732   TR                               298.12                                     145,518.18
08OCT       601235   0l002732   TR                            13,308.85                                     132,209.33
12OCT       601235   01002732   TR                            70,773.60                                      61,435.73
13OCT       601235   01002732   TR                                                37,153.97                  98,589.70
l4OCT       601235   01002732   TR                             8,297.52                                      90,292.18
15OCT       601235   01002732   TR                             5,132.92                                      85,159.26
20OCT       601235   01002732   TR                             1,427.66                                      83,731.60
21OCT       601235   01002732   TR                             1,318.69                                      82,412.91
22OCT       601235   01002732   TR                               305.92                                      82,106.99
25OCT       601235   01002732   TR                                19.44                                      82,087.55
27OCT       601235   01002732   TR                                                   248.00                  82,335.55
2?OCT       601235   01002732   TR                                                84,984.96                 167,320.51
                                                                                                 -----------------------------------
28OCT                                      National Westminster Bank Plc                                    ??????????
------------------------------------------------------------------------------------------------------------------------------------

                                                                KEY
                                                                ---

AC  SERVICETILL OR AUTOMATED  CC    CASH/CHEQUES         CHG  CHARGES              COL COLLECTION ITEM   CP  SWITCH TRANSACTION
CQ  CHEQUES                   CQB   CHEQUE BOOK          DD   DIRECT DEBIT         DV  DIVIDEND          EC  EUROCHEQUE
IN  INTEREST                  MON   MONDEX TRANSACTION   MSC  MISCELLANEOUS        OBL TAKE ON BALANCE   PY  SALARY OR WAGES
RD  RETURNED DIRECT DEBIT     SCR   SUNDRY CREDITS       SE   STOCK EXCHANGE       SO STANDING ORDER     SUP SUPPLEMENTARY LIST ITEM
TC  TRADERS CREDIT            TR    TRANSFER             ZCH  ZERO AMONT CHGS/INT

                       -----------------------------------------------------------------------------------
                         Customers are reminded to verify this data with printed statements when received
                       -----------------------------------------------------------------------------------
</TABLE>
<PAGE>

                           BREED TECHNOLOGIES, INC.
                             ABN-AMRO Bank (Japan)
                               000-00-13-52-180
                                100-108410-0000
                                 October 1999

<TABLE>
<CAPTION>
                                             Exchng        Bank Acct                               G/L Balance
                                              rate            Yen             Dollars                Dollars
                                          --------------------------------------------           ---------------
<S>                                       <C>            <C>                <C>                  <C>
                                             106.74      96,821,847         907,081.20
Beginning Balance
   current month's transactions
      Bank Fees                              104.23          (3,500)            (33.58)


                                                     ---------------------------------
                                                         96,818,347         907,047.62

Re-evaluated ending balance                  104.23      96,818,347         928,891.37             928,891.37
                                                     ---------------------------------
      M/E Exchange Variance                                                 (21,891.75)
                                                                       ---------------

Reconciling Difference;
Inflows to the G/L

                                                                                  0.00
Outflows to the G/L
      Wire transfer fee                                                          33.58
      Wire transfer fee                                                           0.00
      Wire transfer fee                                                           0.00

Miscellaneous adjustments
      Exchange variance for re-evaluated current balance                    (21,843.75)
      Exchange variance for re-evaluated Aug/Sept balance                     2,885.03

      Bank account maintenance fee - August 1999
      Bank account maintenance fee - Sept 1999
      Unidentified variance                                                       0.00
                                                                       ---------------
                           Total adjustments                                                       (18,925.14)
                                                                                                -------------

Adjusted balance                                                                                   909,966.23
Ending G/L balance                                                                                 909,966.22
                                                                                                -------------
      Reconciling Difference                                                                             0.01
                                                                                                =============
</TABLE>

Prepared by:                  Jerry Harper
            -----------------
Approved by:
            ------------------------------
<PAGE>

[LOGO OF ABN-AMRO]
                                                   Statement of account

<TABLE>
<CAPTION>

                                                 ABN AMRO BANK N.V., JAPAN
                                                 SHIROYAMA JT MORI BUILDING 13F
                                                 3-1, TORANOMON, 4-CHOME, MINATO-KU
                                                 TOKYO 105-6031
BREED TECHNOLOGIES, INC.                         JAPAN
5300 OLD TAMPA HIGHWAY                           P.O. Box 374  100-8691
LAKELAND, FL 33811                               Telephone 5405-6500
USA                                              Fax 5405-6900





<S>                                              <C>
                                                 Recapitulation           Page
                                                 1                        1  of  1
                                                 ------------------------ -------------------------
Product type                                     Account number
CURRENT ACCOUNT                                  000.00.13.52.180 JPY
------------------------------------------------ --------------------------------------------------
Customer Reference                               Name

------------------------------------------------ --------------------------------------------------
Previous Date       Previous balance             New date                 New balance
30/09/99                            96,821,847CR 31/10/99                              96,818,347CR
------------------- ---------------------------- ------------------------ -------------------------

Trans. date  Description/reference                Value date                 Debit            Credit

29/10/99     FEE/COMMISSION/CHARGES FOR INT TRF   29/10/99                   3,500

             BALANCE REPORTING FEE

             AS OF SEP.1999
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                           (Mexico)
------------------------------------------------------------------------------------------------------------------------------
                                                     BREED TECHNOLOGIES, INC.
                                                          ABN-AMBRO Bank
                                                         100-108 420-0000
                                                            October-99

                                Exchng.    Bank Acct -DDA                               Exchng.    Bank Acct - MM
                                 Rate      Mexican Pesos     US Dollars                  Rate      Mexican Pesos    Dollars
                              ===============================================================================================
<S>                           <C>          <C>              <C>         <C>             <C>        <C>              <C>
Beginning Book Balance        US Dollars                                    (57,306.57)

Deposits per G/L                                                          6,963,626.23
WITHDRAWALS per G/L                                                      (6,882,369.82)

                                                                         -------------
G/L Balance before adjustments                                               23,949.84
Reconciling Differences:
Inflows to the G/L (debits):
   Interests income - Oct - DDA                                4,548.05
   Interest income - Oct - MM                                    957.66
Outflows to the G/L (credits):
   Curr Mo. Bank fees - DDA                                     (401.28)
   Curr Mo. Bank fees - MM                                    (2,575.99)
Miscellaneous adjustments:
   Exchange variance for current balance DDA(E97)                834.07
   Exchange variance for current balance - MM                  5,235.74
   Oct JE's for prior interest, fees, & exchng               100,910.64
                                                            -----------
   Total adjustments                                                        109,508.88

                                                                         -------------
G/L Balance after adjustments                                               133,458.72
USD Total per Bank (E72)                                                    133,458.72
                                                                         -------------
     Variance                                                                     0.00
                                                                         =============

             Prepared by: Jerry Harper
                          ---------------------------

             Approved by:
                          ---------------------------
---------------------------------------------------------------------------------------------------------------------------

<CAPTION>
                                                         MM INTEREST INCOME
                                               Date     Each Rate    Mex Pesos    USD
                                               ======================================
<S>                                            <C>      <C>          <C>          <C>
Beginning Book Balance
Deposits per G/L
WITHDRAWALS per G/L
G/L Balance before adjustments


Reconciling Differences:
Inflows to the G/L (debits):
   Interests income - Oct - DDA
   Interest income - Oct - MM
Outflows to the G/L (Credits):
   Curr Mo. Bank fees - DDA
   Curr Mo. Bank fees - MM
Miscellaneous adjustments:
   Exchange variance for current balance DDA(E97)
   Exchange variance for current balance - MM
   Oct JE's for prior interest, fees, & exchng

   Total adjustments


G/L Balance after adjustments
USD Total per Bank (E72)

     Variance




             Prepared by: Jerry Harper
                          ---------------------------

             Approved by:
                          ---------------------------
-------------------------------------------------------------------------------------
</TABLE>
<PAGE>


--------------------------------------------------------------------------------
<TABLE>
<CAPTION>
                                                         BREED TECHNOLOGIES, INC.
                                                              ABN_AMRO Bank
                                                           100-108 420-0000
                                                              October-99


                            Exchng          Bank Acct - DDA                           Exchng     Bank Acct - MM
                             Rate            Mexican Pesos     US Dollars              Rate       Mexican Pesos         Dollars
                           =========================================================================================================
<S>                        <C>             <C>                <C>                     <C>       <C>                 <C>
                             9.5350           (1,844,573.00)   (193,452.86)           9.5350    (14,887,259.00)     (1,561,327.64)
                             9.5350           (1,926,289.00)   (202,022.97)
                             9.5350           (2,500,000.00)   (262,191.92)
                             9.5350           (4,400,000.00)   (461,457.79)
                             9.5350           14,887,259.00    1,561,327.64
                             1.0000                                    0.00           9.5350     14,887,259.00       1,561,327.64
                             1.0000                                    0.00           1.0000                                 0.00
                             1.0000                                    0.00
                             1.0000                                    0.00
                             1.0000                                    0.00
                             1.0000                                    0.00
                             1.0000                                    0.00
                             1.0000                                    0.00
                             1.0000                                    0.00
                             1.0000                                    0.00
                             1.0000                                    0.00           1.0000                                 0.00
                             1.0000                                    0.00
                             1.0000                                    0.00           1.0000                                 0.00
                             1.0000                                    0.00           1.0000                                 0.00
                             1.0000
Interest income              9.4521                4,548.05          481.17
                                    ---------------------------------------
Re-evaluated ending balance  9.4521                6,054.78          640.58           9.4521      1,255,410.39         132,818.15


Related Money Mkt Acct                         1,255,410.39      132,818.15                          15,249.81      MM int&fees
                                    ---------------------------------------
Total DDA + MM Accts                           1,261,465.17    133,458,7203                      (1,265,424.46)     Balance Per bank
                                    =======================================                     --------------
                                                                                                      5,235.74      MM Exchange Var
                                                                                                ==============
</TABLE>

--------------------------------------------------



                    MM INTEREST INCOME
Date      Exch Rate      Mex Pesos      USD
==================================================



















                         ------------------------
Int Income                9,098.73         957.66
                         ------------------------

                         ------------------------
Bank fees     945.21     24,348.54       2,575.99
                         ------------------------






-------------------------------------------------
<PAGE>

--------------------------------------------------------------------------------
                           BREED TECHNOLOGIES, INC.
                                ABN_AMRO Bank
                               100-108 420-0000
                                  October-99

<TABLE>
<CAPTION>
                                     Exchng          Bank Acct - DDA                                  Exchng     Bank Acct - MM
                                      Rate            Mexican Pesos         US Dollars                 Rate       Mexican Pesos
                                 ===================================================================================================
<S>                              <C>                 <C>                    <C>                      <C>         <C>
Beginning Balance                    9.2165                   389.81                42.29             9.2165        (490,410.49)
Current months' transactions:
    Service charge                   9.2558                   (19.08)               (2.06)
                      10/5/99        9.3225               (46,641.00)           (5,003.06)
                                     9.3225            (1,155,692.00)         (123,968.03)
                                     9.3225            (1,300,000.00)         (139,447.57)
                                     9.3225            (1,841,342.00)         (197,515.90)
                                     9.3225            (1,945,000.00)         (208,635.02)
                                     9.3225            (2,378,000.00)         (255,081.79)
                                     9.3225            (2,516,368.00)         (269,923.95)
                                     9.3225            (3,200,000.00)         (343,255.56)            9.3225     (14,383,041.00)
                                     9.3225            14,383,041.00         1,542,830.89             9.3225      14,383,041.00
                      10/12/99       9.3165            23,314,975.00         2,502,546.56             9.3165
                      10/13/99       9.3666            (2,038,857.00)         (217,673.12)            9.3666     (22,744,975.00)
                                     9.3666            (2,229,000.00)         (237,973.22)
                                     9.3666            (2,660,000.00)         (283,987.79)            9.3666      23,314,975.00
                                     9.3666            (2,800,000.00)         (298,934.51)
                                     9.3666            (3,243,357.00)         (346,268.34)
                                     9.3666            (3,773,761.00)         (402,895.50)
                                     9.3666            (6,000,000.00)         (640,573.95)
                                     9.3666            22,744,975.00         2,428,306.43
                                     9.3666           (23,314,975.00)       (2,489,160.95)
                      10/18/99       9.7100                 5,000.00               514.93             9.7100          (5,000.00)
    Service charge  10/19/1999       9.7100                  (563.50)              (58.03)
       Commissions    10-19-99       9.7100                (2,656.50)             (273.58)
                      10/19/99       9.7100              (681,021.00)          (70,136.05)            9.7100     (13,413,019.00)
                                     9.7100            (1,160,000.00)         (119,464.47)
                                     9.7100            (1,600,000.00)         (164,778.58)
                                     9.7100            (1,761,965.00)         (181,458.81)
                                     9.7100            (1,849,000.00)         (190,422.25)
                                     9.7100            (1,941,845.00)         (199,984.04)            9.7100      13,613,019.00
                                     9.7100            (4,380,000.00)         (451,081.36)            1.0000
                                     9.7100            13,413,019.00         1,381,361.38
Service charges      10/20/199       9.4620                   (80.50)               (8.51)
                                     9.4620               (39,188.00)           (4,141.62)
Service charges      10/27/199       9.5350                  (563.50)              (59.10)
                                     9.5350            (1,160,000.00)         (121,657.05)
                                     9.5350            (1,281,397.00)         (134,388.78)
                                     9.5350            (1,775,000.00)         (186,156.27)
------------------------------------------------------------------------------------------------------------------------------------

<CAPTION>
                                                                        MM INTEREST INCOME
                                        Dollars           Date        Exch Rate     Mex Pesos       USD
                                    =========================================================================
<S>                                 <C>                  <C>          <C>           <C>            <C>
Beginning Balance                      53,210.05
Current months' transactions:
    Service charge                                       10/1/99         9.2558        177.09       19.13
                      10/5/99                            10/4/99         9.2959        531.46       57.17
                                                         10/5/99         9.3225        184.17       19.76
                                                         10/6/99         9.2795        177.41       19.12
                                                         10/7/99         9.3124        163.83       17.59
                                                         10/8/99         9.3261        163.88       17.57
                                                        10/11/99         9.4479        491.80       52.05
                                                        10/12/99         9.3165        164.10       17.61
                                   (1,542,830.89)       10/13/99         9.3666        157.31       16.79
                                    1,542,830.89        10/14/99         9.4922        339.45       35.76
                      10/12/99              0.00        10/15/99         9.5697        354.32       37.03
                      10/13/99     (2,428,306.43)       10/18/99         9.7100      1,196.19      123.19
                                                        10/19/99         9.7100        397.32       40.92
                                    2,489,160.95        10/20/99         9.4620        437.47       46.23
                                            0.00        10/21/99         9.5325        455.12       47.74
                                                        10/22/99         9.4478        455,29       48.19
                                                        10/25/99         9.4875      1,445,19      152.33
                                                        10/26/99         9.5498        455.98       47.75
                                                        10/27/99         9.5350        491.22       51.52
                                                        10/28/99         9.5777        421.21       43.98
                      10/18/99           (514.93)       10/29/99         9.4970        438.91       46.22
    Service charge  10/19/1999                                                  -------------------------
       Commissions    10-19-99                          Total Int Income             9,098.73      957.66
                      10/19/99     (1,381,361.38)




                                    1,401,958.70
                                            0.00

Service charges      10/20/199

Service charges      10/27/199




-------------------------------------------------------------------------------------------------------------
</TABLE>

<PAGE>

                            [LOGO OF ABN - AMRO BANK]

<TABLE>
<S>                                       <C>                                            <C>
ABN AMRO BANK (Mexico), S.A.                                                         Periodo/
Institucion de Banca Multiple                                                        Statement Period


Num. de Cuenta/
Account Number 071013000062               ABN AMRO MEXICO (MEXICO). S.A.             De-A / From - To
                                          PROL. PASEO DE LA REFORMA 600-320
Cuentahabiente/                           SANTA FE, DEL. ALVARO OBREGON               01 OCT 99   29 OCT 99 Pagina /  Page
Account Name   BREED TECHNOLOGIES, INC.   01210, MEXICO D.F. MEXICO                                                             49

Pais del Domicilio/                                                                      MEXICAN PESOS      Moneda / Currency
Country of Domicile UNITED STATES OF AMERICA
</TABLE>

<TABLE>
<CAPTION>
                                                        ESTADO DE CUENTA
Enviar a/                                           ------------------------
Mail to                                               STATEMENT OF ACCOUNT                      MAIL STATEMENT -- HOLD CHECK AT ABN
           BREED TECHNOLOGIES, INC.
           5300 OLD TAMPA HIGHWAY
           LAKELAND, FL. 33811

                                        Informacion al reverso / Please see reverse side
------------------------------------------------------------------------------------------------------------------------------------
Fecha de   Fecha de   Cod
Operac./    Valor/  Trans./        Descripcion/                     Debitos/    Creditos/           Saldo Real    Saldo Disponible
 Posting    Value    Tran.          Description                      Debits      Credits           Book Balance   Available Balance
  Date       Date    Type
------------------------------------------------------------------------------------------------------------------------------------
                                                     OPENING BALANCE 01 OCT 99                          389.81CR           389.81CR
<S>       <C>       <C>  <C>                                      <C>           <C>              <C>                <C>
  01OCT   01OCT99    85  WITHHOLDING TAX 4.9% NON RESIDENT SEP           40.08                          370.73CR           370.73CR
  05OCT   05OCT99    15  TRANSFERENCIA ENVIADA A INVERLAT            46,641.00
  05OCT   05OCT99    15  TRANSFERENCIA ENVIADA A INVERLAT         1,155,692.00
  05OCT   05OCT99    15  TRANSFERENCIA ENVIADA BITAL              1,300,000.00
  05OCT   05OCT99    15  TRANSFERENCIA ENVIADA A INVERLAT         1,841,342.00
  05OCT   05OCT99    15  TRANSFERENCIA ENVIADA A INVERLAT         1,945,000.00
  05OCT   05OCT99    15  TRANSFERENCIA ENVIADA A BANAMEX          2,378,000.00
  05OCT   05OCT99    15  TRANSFERENCIA ENVIADA A INVERLAT         2,516,366.00
  05OCT   05OCT99    15  TRANSFERENCIA ENVIADA A BANAMEX          3,200,000.00
  05OCT   05OCT99    97, TRASPOSA DEL CONTRATO A LA CHEQUERA     14,383,041.00          370.73CR           370.73CR
 ---------------------------------------------------------------------------------------------
  12OCT   12OCT99    21  DEP REC FUERA DE HORARIO 17:00HRS                       23,315,975.00   23,315,345.73CR    23,315,345.73CR
----------------------------------------------------------------------------------------------
  13OCT   13OCT99    1D  U 000017 PAGO POR SPEUA                  2,038,857.00
  13OCT   13OCT99    1D  U 000011 PAGO POR SPEUA                  2,229,000.00
  13OCT   13OCT99    1D  U 000015 PAGO POR SPEUA                  2,660,000.00
  13OCT   13OCT99    1D  U 000012 PAGO POR SPEUA                  2,800,000.00
  13OCT   13OCT99    1D  U 000014 PAGO POR SPEUA                  3,243,357.00
  13OCT   13OCT99    1D  U 000016 PAGO POR SPEUA                  3,773,761.00
  13OCT   13OCT99    1D  U 000013 PAGO POR SPEUA                  6,000,000.00
  13OCT   13OCT99    1I  U 000010 PAGO POR SPEUA                                 22,744,975.00
  13OCT   13OCT99    1D  U 000009 PAGO POR SPEUA                 23,314,975.00                          370.73CR           370.73CR
----------------------------------------------------------------------------------------------
  18OCT   18OCT99    97  DEP POR TRASP DEL CONTRATO DE INVERSION                      5,000.00        5,370.73CR         5,370.73CR
----------------------------------------------------------------------------------------------
  19OCT   19OCT99    85  IVA POR COMISION                                10.50
  19OCT   19OCT99    85  IVA POR COMISION                                10.50
  19OCT   19OCT99    85  IVA POR COMISION                                10.50
  19OCT   19OCT99    85  IVA POR COMISION                                10.50
  19OCT   19OCT99    85  IVA POR COMISION                                10.50
  19OCT   19OCT99    85  IVA POR COMISION                                10.50
------------------------------------------------------------------------------------------------------------------------------------
                                                                   Saldo Total / Closing Balance
------------------------------------------------------------------------------------------------------------------------------------
                       Cheques / Checks       Debitos / Debits     Total / Total
                      ------------------------------------------------------------------------
                                             Creditos / Credits    Total / Total
                                            --------------------------------------------------
</TABLE>
<PAGE>

                            [LOGO OF ABN - AMRO BANK]

<TABLE>
<S>                                       <C>                                            <C>
ABN AMRO BANK (Mexico), S.A.                                                             Periodo/
Institucion de Banca Multiple                                                            Statement Period


Num. de cuenta/
Account Number 071013000062               ABN AMRO MEXICO (MEXICO), S.A.                 De-A / From-To
                                          PROL. PASEO DE LA REFORMA 600-320
Cuentahabiente/                           SANTA FE, DEL. ALVARO OBREGON                   01 OCT 99 29 OCT 99   Pagina /  Page
Account Name   BREED TECHNOLOGIES, INC.   01210, MEXICO D.F. MEXICO                                                              50

Pais del Domicilio                                                                           MEXICAN PESOS      Moneda / Currency
Country of Domicile UNITED STATES OF AMERICA
</TABLE>

<TABLE>
<CAPTION>
                                                        ESTADO DE CUENTA
Enviar a/                                           ------------------------
Mail to                                               STATEMENT OF ACCOUNT                      MAIL STATEMENT -- HOLD CHECK AT ABN
           BREED TECHNOLOGIES, INC.
           5300 OLD TAMPA HIGHWAY
           LAKELAND, FL 33811

                                        Informacion al reverso / Please see reverse side
------------------------------------------------------------------------------------------------------------------------------------
Fecha de   Fecha de    Cod
Operac./    Valor/   Trans./        Descripcion/                     Debitos/    Creditos/        Saldo Real/     Saldo Disponible/
 Posting    Value     Tran.          Description                      Debits      Credits        Book Balance     Available Balance
  Date       Date     Type
------------------------------------------------------------------------------------------------------------------------------------
<S>         <C>      <C>   <C>                                       <C>         <C>             <C>              <C>
  19OCT     19OCT99    85  IVA POR COMISION                             10.50
  19OCT     19OCT99    85  COM POR TRANSFERENCIA ENV A BANAMEX          70.00
  19OCT     19OCT99    85  COM POR TRANSFERENCIA ENV A BITAL            70.00
  19OCT     19OCT99    85  COM POR TRANSFERENCIA A BANAMEX              70.00
  19OCT     19OCT99    85  COM POR TRANSFERENCIA ENV A INVERLAT         70.00
  19OCT     19OCT99    85  COM POR TRANSFERENCIA ENV A INVERLAT         70.00
  19OCT     19OCT99    85  COM POR TRANSFERENCIA ENV A INVERLAT         70.00
  19OCT     19OCT99    85  COM POR TRANSFERENCIA ENV A INVERLAT         70.00
-----------------------------------------------------------------------------
  19OCT     19OCT99    85  COMISIONES E IVAS DEL DIA 14 SEPT (5)       402.50
  19OCT     19OCT99    85  COMISIONES E IVAS DEL DIA 27 SEPT (6)       483.00
  19OCT     19OCT99    85  COMISIONES E IVAS DEL DIA 20 SEPT (7)       563.50
  19OCT     19OCT99    85  COMISIONES E IVAS DEL DIA 13 OCT (7)        563.50
  19OCT     19OCT99    85  COMISIONES E IVAS DEL DIA 05 OCT (8)        644.00
-----------------------------------------------------------------------------
  19OCT     19OCT99    15  TRANSFERENCIA ENVIADA A INVERLAT        681,021.00
  19OCT     19OCT99    15  TRANSFERENCIA ENVIADA A INVERLAT      1,160,000.00
  19OCT     19OCT99    15  TRANSFERENCIA ENVIADA A BITAL         1,600,000.00
  19OCT     19OCT99    15  TRANSFERENCIA ENVIADA A INVERLAT      1,761,965.00
  19OCT     19OCT99    15  TRANSFERENCIA ENVIADA A BANAMEX       1,849,000.00
  19OCT     19OCT99    15  TRANSFERENCIA ENVIADA A INVERLAT      1,941,845.00
  19OCT     19OCT99    15  TRANSFERENCIA ENVIADA A BANAMEX       4,380,000.00
  19OCT     19OCT99    97  TRASPASO DE CONTRATO A CHEQUERA                        13,413,019.00  41,338.73CR      41,338.73CR
-----------------------------------------------------------------------------------------------
  20OCT     20OCT99    85  IVA POR TRANSFERENCIA                        10.50
  20OCT     20OCT99    85  COMISION POR TRANSFERENCIA A INVERLAT        70.00             80.50
-----------------------------------------------------------------------------------------------
  20OCT     20OCT99    97  TRANSFERENCIA ENVIADA A INVERLAT         39,188.00                     2,070.23CR       2,070.23CR
-----------------------------------------------------------------------------------------------
  27OCT     27OCT99    85  IVA POR TRANSFERENCIA A BANAMEX              10.50
  27OCT     27OCT99    85  IVA POR TRANSFERENCIA A BITAL                10.50
  27OCT     27OCT99    85  IVA POR TRANSFERENCIA A BANAMEX              10.50
------------------------------------------------------------------------------------------------------------------------------------
                                                                     Saldo Total / Closing Balance
------------------------------------------------------------------------------------------------------------------------------------
                           Cheques / Checks       Debitos / Debits   Total / Total
                         ------------------------------------------------------------------------
                                                 Creditos / Credits  Total / Total
                         ------------------------------------------------------------------------
</TABLE>
<PAGE>


                             LOGO OF ABN-AMRO Bank
<TABLE>
<S>                                              <C>                                  <C>                          <C>
ABN AMRO Bank (Mexico), S.A.                                                           Periodo/
Institucion de Banca Multiple                                                         Statement Period

Num. de Cuenta/
Account Number       071013000062                ABN AMRO MEXICO (MEXICO), S.A.        De-A From - To
                                                 PROL. PASEO DE LA REFORMA 600-320                                 Pagina / Page
Cuentahabiente/                                  SANTA FE, DEL. ALVARO OBREGON         01 OCT 99     29 OCT 99                   51
Account Name         BREED TECHNOLOGIES, INC.    01210, MEXICO D.F. MEXICO                                         Moneda / Currency

Pais del Domicilio/                                                                       MEXICAN PESOS
Country of Domicile  UNITED STATES OF AMERICA
</TABLE>

<TABLE>
<CAPTION>
Enviar a/                                              ESTADO DE CUENTA
Mail to                                               --------------------                     MAIL STATEMENT---HOLD CHECK AT ABN
                                                      STATEMENT OF ACCOUNT

       BREED TECHNOLOGIES, INC.
       5300 OLD TAMPA HIGHWAY
       LAKELAND, FL 33811


                                         Informacion al reverso / Please see reverse side


------------------------------------------------------------------------------------------------------------------------------------
Fecha de  Fecha de  Cod
Operac./  Valor/   Trans/        Descripcion/                     Debitos/      Creditos/         Saldo Real/    Saldo Disponible
Posting   Value    Tran.         Description                      Debits         Credits           Book Balance   Available Balance
  Date    Date     Type
------------------------------------------------------------------------------------------------------------------------------------
<S>     <C>        <C>  <C>                                     <C>             <C>              <C>              <C>
 27OCT  27OCT99     85   IVA POR TRANSFERENCIA A INVERLAT             10.50
 27OCT  27OCT99     85   IVA POR TRANSFERENCIA A INVERLAT             10.50
 27OCT  27OCT99     85   IVA POR TRANSFERENCIA A INVERLAT             10.50
 27OCT  27OCT99     85   IVA POR TRANSFERENCIA A INVERLAT             10.50
 27OCT  27OCT99     85   COMISION POR TRANSFERENCIA A BANAMEX         70.00
 27OCT  27OCT99     85   COMISION POR TRANSFERENCIA A BITAL           70.00
 27OCT  27OCT99     85   COMISION POR TRANSFERENCIA A BANAMEX         70.00
 27OCT  27OCT99     85   COMISION POR TRANSFERENCIA A INVERLAT        70.00
 27OCT  27OCT99     85   COMISION POR TRANSFERENCIA A INVERLAT        70.00
 27OCT  27OCT99     85   COMISION POR TRANSFERENCIA A INVERLAT        70.00
 27OCT  27OCT99     85   COMISION POR TRANSFERENCIA A INVERLAT        70.00
------------------------------------------------------------------------------------------------------------------------------------
 27OCT  27OCT99     15   TRANSFERENCIA ENVIADA A INVERLAT      1,160,000,00
 27OCT  27OCT99     15   TRANSFERENCIA ENVIADA A INVERLAT      1,281,397.00
 27OCT  27OCT99     15   TRANSFERENCIA ENVIADA A BANAMEX       1,775,000.00
 27OCT  27OCT99     15   TRANSFERENCIA ENVIADA A INVERLAT      1,884,573.00
 27OCT  27OCT99     15   TRANSFERENCIA ENVIADA A INVERLAT      1,926,289.00
 27OCT  27OCT99     15   TRANSFERENCIA ENVIADA A BITAL         2,500,000.00
 27OCT  27OCT99     15   TRANSFERENCIA ENVIADA A BANAMEX       4,400,000.00
 27OCT  27OCT99     97   TRASPASO DE INVERSION A CHEQUERA                       14,887,259.00      1,506.73CR      1,506.73CR
------------------------------------------------------------------------------------------------------------------------------------
 29OCT  01NOV99     87   INTEREST EARNED         11/01/99                            4,548.05      6,054.78CR      1,506.73CR


------------------------------------------------------------------------------------------------------------------------------------
                                                                 Saldo Total / Closing Balance      6,054.78CR      1,506.73CR
------------------------------------------------------------------------------------------------------------------------------------
                        Cheques / Checks   0  Debitos / Debits  67  Total / Total  88,747,152.08
                      ----------------------------------------------------------------------------
                                              Creditos / Credits 7  Total / Total  88,752,817.05
                      ----------------------------------------------------------------------------
</TABLE>
<PAGE>

                            [LOGO] ABN - AMRO Bank

<TABLE>
<S>                                             <C>                                     <C>
ABN AMRO Bank (Mexico), S.A.                                                             Periodo/
Institucion de Banca Multiple                                                            Statement Period

Num. de Cuenta/
Account Number                                  ABN AMRO MEXICO (MEXICO), S.A.           De-A / From-To
                                                PROL. PASEO DE LA REFORMA 600-320
Cuentahabiente/                071013000062     SANTA FE, DEL. ALVARO OBREGON                    OCTOBER 1999   Pagina / Page      1
Account Name                                    01210, MEXICO D.F. MEXICO
                                                                                                 10/29/99       Moneda / Currency
Pais del Domicilio/      MEXICAN PESOS
Country of Domicile

Enviar a/
Mail to                                             ESTADO DE CUENTA
                                                  --------------------
            BREED TECHNOLOGIES, INC.              STATEMENT OF ACCOUNT
            5300 OLD TAMPA HIGHWAY
            LAKELAND, FL 33811
</TABLE>

                Informacion al reverso / Please see reverse side

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
 Fecha de    Fecha de     Cod
 Operac./     Valor/     Trans./              Descripcion/            Debitos/       Creditos/     Saldo Real/   Saldo Disponible/
 Posting      Value       Tran.               Description              Debits         Credits     Book Balance   Available Balance
  Date        Date        Type     389.81CR                  0.00
------------------------------------------------------------------------------------------------------------------------------------
<S>         <C>          <C>       <C>       <C>                      <C>            <C>         <C>            <C>
              1                    370.73CR                                            7.00000                   0.07CR
              2                    370.73CR                                            7.00000                   0.14CR
              3                    370.73CR                                            7.00000                   0.22CR
              4                    370.73CR                                            7.00000                   0.29CR
              5                    370.73CR                                            7.00000                   0.36CR
              6                    370.73CR                                            7.00000                   0.43CR
              7                    370.73CR                                            7.00000                   0.50CR
              8                    370.73CR                                            7.00000                   0.58CR
              9                    370.73CR                                            7.00000                   0.65CR
             10                    370.73CR                                            7.00000                   0.72CR
             11                    370.73CR                                            7.00000                   0.79CR
             12             23,315,345.73CR                                            7.00000               4,534.33CR
             13                    370.73CR                                            7.00000               4,534.40CR
             14                    370.73CR                                            7.00000               4,534.47CR
             15                    370.73CR                                            7.00000               4,534.55CR
             16                    370.73CR                                            7.00000               4,534.62CR
             17                    370.73CR                                            7.00000               4,534.69CR
             18                  5,370.73CR                                            7.00000               4,535.73CR
             19                 41,338.73CR                                            7.00000               4,543.77CR
             20                  2,070.23CR                                            7.00000               4,544.17CR
             21                  2,070.23CR                                            7.00000               4,544.58CR
             22                  2,070.23CR                                            7.00000               4,544.98CR
             23                  2,070.23CR                                            7.00000               4,545.38CR
             24                  2,070.23CR                                            7.00000               4,545.78CR
             25                  2,070.23CR                                            7.00000               4,546.19CR
             26                  2,070.23CR                                            7.00000               4,546.59CR
             27                  1,506.73CR                                            7.00000               4,546.88CR
             28                  1,506.73CR                                            7.00000               4,547.18CR
             29                  1,506.73CR                                            7.00000               4,547.47CR
             30                  1,506.73CR                                            7.00000               4,547.76CR
            *31                  1,506.73CR                                            7.00000               4,548.05CR
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Saldo Total/ Closing Balance
------------------------------------------------------------------------------------------------------------------------------------
                    Cheques / Checks        Debitos / Debits      Total / Total                    TOTAL ACCRUED INTEREST 4,548.05CR
                   --------------------------------------------------------------------------------
                                            Creditos / Credits    Total / Total
                                           --------------------------------------------------------
</TABLE>

* - INTEREST EARNED/CAPITALIZED     INTEREST SETTLED TO THIRD PARTY
<PAGE>

[LOGO] ABN - AMRO Bank

<TABLE>
<CAPTION>
                                                                                                                   octubre

                                                                                                                          HOJA: 1
-----------------------------------------------------------------       ------------------------------------------------------------
  NOMBRE                                R.F.C.           CUENTA            ASESOR                              PERIODO        DIAS
-----------------------------------------------------------------       ------------------------------------------------------------
<S>                                     <C>             <C>             <C>                                 <C>               <C>
BREED TECHNOLOGIES                        X             7000165            TES 003 DIANA  VILLALOBOS          1999/10/01       31
                                                                                                            AL 1999/10/31
</TABLE>

P.O. BOX 33050 LAKELAND FL 338073050
COL..
C.P. 33801
FLORIDA

<TABLE>
<CAPTION>
----------------------------------------------------------------    ----------------------------------------------------------------

                CARTERA AL INICIO DEL PERIODO                                           CARTERA AL FINAL DEL PERIODO

----------------------------------------------------------------    ----------------------------------------------------------------
EMISORA          TITULOS     PRECIO     PREMIO    VALUACION         EMISORA             TITULOS     PRECIO     PREMIO     VALUACION
<S>              <C>       <C>          <C>      <C>                <C>                 <C>      <C>          <C>      <C>
CETES B 991028    49,889   $9.83001760           $490,409.75         CETES  B 000120    132,368  $9.55297720  $913.25  $1,265,421.74
EFECTIV                                          $      0.64         EFECTIV                                           $        2.72


TOTAL                                            $490,410.39         TOTAL                                             $1,265,424.46

----------------------------------------------------------------

                     OPERACIONES DE EFECTIVO

----------------------------------------------------------------
FECHA               DEPOSITOS                RETIROS
</TABLE>

1999/10/05     $  14,383,041.00
1999/10/05                            $ 14,383,041.00
1999/10/13     $  23,314,975.00
1999/10/13                            $ 22,744,975.00
1999/10/18                            $      5,000.00
1999/10/19     $  13,613,019.00
1999/10/19                            $ 13,413,019.00
1999/10/27     $  14,887,259.00
1999/10/27                            $ 14,887,259.00
                                        CONTINUA...

<PAGE>

[LOGO] ABN - AMRO Bank

<TABLE>
<CAPTION>
                                                                                                                   octubre

                                                                                                                          HOJA: 2
-----------------------------------------------------------------       ------------------------------------------------------------
  NOMBRE                                R.F.C.           CUENTA            ASESOR                              PERIODO        DIAS
-----------------------------------------------------------------       ------------------------------------------------------------
<S>                                     <C>             <C>             <C>                                 <C>               <C>
BREED TECHNOLOGIES                        X             7000165            TES 003 DIANA  VILLALOBOS          1999/10/01       31
                                                                                                            AL 1999/10/31
</TABLE>

P.O. BOX 33050 LAKELAND FL 338073050
COL..
C.P. 33801
FLORIDA

---------------------------------------------------------------------
                      OPERACIONES  DE  EFECTIVO
---------------------------------------------------------------------

FECHA                  DEPOSITOS                  RETIROS


TOTAL           $ 66,198,294.00           $ 65,433,294.00

---------------------------------------------------------------------
                         IMPUESTOS  RETENIDOS
---------------------------------------------------------------------

DEL MES                ACUMULADO                  TOTAL ACUMULADO


                $ 0.00      $ 24,348.54                $  24,348.54
<PAGE>

[LOGO] ABN - AMRO Bank

                                                             octubre
                                                                         HOJA: 3

<TABLE>
<CAPTION>
-----------------------------------------------------------------       ------------------------------------------------------------
  NOMBRE                                R.F.C.           CUENTA            ASESOR                              PERIODO        DIAS
-----------------------------------------------------------------       ------------------------------------------------------------

BREED TECHNOLOGIES                        X             7000165            TES 003 DIANA  VILLALOBOS          1999/10/01       31


                                                                                                             AL 1999/10/31

P.O. BOX 33050 LAKELAND FL 338073050
COL..
C.P. 33801
FLORIDA

------------------------------------------------------------------------------------------------------------------------------------
                                               MOVIMIENTOS DE VALORES Y DE EFECTIVO
------------------------------------------------------------------------------------------------------------------------------------

CONCEPTO     FECHA          OPERACION       EMISORA-SERIE    TASA           TITULOS    PRECIO        ABONO            CARGO
<S>          <C>            <C>             <C>              <C>            <C>        <C>         <C>             <C>
EFECTIVO     1999/10/01   SALDO INICIAL
VALORES      1999/10/01   VENCE REP CPA         CETES   B   991028           49,889  $ 9.83001760  $   490,409.75
VALORES      1999/10/01   INTERESES             CETES   B   991028           49,889  $ 9.83001760  $       177.09
VALORES      1999/10/01   COMPRA REPORTO        CETES   B   991028  13.00 %  49,885  $ 9.83435580                  $   490,586.84
VALORES      1999/10/04   VENCE REP CPA         CETES   B   991028           49,885  $ 9.83435580  $   490,586.84
VALORES      1999/10/04   INTERESES             CETES   B   991028           49,885  $ 9.83435580  $       531.46
VALORES      1999/10/04   COMPRA REPORTO        CETES   B   000210  13.50 %  52,984  $ 9.26918130                  $   491,118.30
VALORES      1999/10/05   VENCE REP CPA         CETES   B   000210           52,984  $ 9.26918130  $   491,118.30
VALORES      1999/10/05   INTERESES             CETES   B   000210           52,984  $ 9.26918130  $       184.17
EFECTIVO     1999/10/05                                                                            $14,383,041.00
EFECTIVO     1999/10/05                                                                                            $14,383,041.00
VALORES      1999/10/05   COMPRA REPORTO        BONDES  L   010906  13.00 %   4,936  $99.51457860                  $   491,203.96
VALORES      1999/10/05   COMPRA REPORTO        CETES   B   991028  13.00 %      10  $ 9.85100000                  $        98.51
VALORES      1999/10/06   VENCE REP CPA         CETES   B   991028               10  $ 9.85100000  $        98.51
VALORES      1999/10/06   INTERESES             CETES   B   991028               10  $ 9.85100000  $         0.04
VALORES      1999/10/06   VENCE REP CPA         BONDES  L   010906            4,936  $99.51457860  $   491,203.96
VALORES      1999/10/05   INTERESES             BONDES  L   010906            4,936  $99.51457860  $       177.38
VALORES      1999/10/06   COMPRA REPORTO        CETES   B   991028  12.00 %  49,873  $ 9.85462840                  $   491,479.88
VALORES      1999/10/07   VENCE REP CPA         CETES   B   991028           49,873  $ 9.85462840  $   491,479.88
VALORES      1999/10/07   INTERESES             CETES   B   991028           49,873  $ 9.85462840  $       163.83
VALORES      1999/10/07   COMPRA REPORTO        CETES   B   991230  12.00 %  51,551  $ 9.53703540                  $   491,643.71

<CAPTION>
CONCEPT0            SALDO
<S>            <C>
EFECTIVO       $         0.64
VALORES        $   490,410.39
VALORES        $   490,587.48
VALORES        $         0.64
VALORES        $   490,587.48
VALORES        $   491,118.94
VALORES        $         0.64
VALORES        $   491,118.94
VALORES        $   491,303.11
EFECTIVO       $14,874,334.11
EFECTIVO       $   491,303.11
VALORES        $        99.15
VALORES        $         0.64
VALORES        $        99.15
VALORES        $        99.19
VALORES        $   491,303.15
VALORES        $   491,480.53
VALORES        $         0.65
VALORES        $   491,480.53
VALORES        $   491,644.36
VALORES        $         0.65
</TABLE>

CONTINUA ...
<PAGE>

[LOGO] ABN - AMRO Bank

                                                             octubre
                                                                         HOJA: 4

<TABLE>
<CAPTION>
-----------------------------------------------------------------       ------------------------------------------------------------
  NOMBRE                                R.F.C.           CUENTA            ASESOR                              PERIODO        DIAS
-----------------------------------------------------------------       ------------------------------------------------------------

BREED TECHNOLOGIES                        X             7000165            TES 003 DIANA  VILLALOBOS          1999/10/01       31
                                                                                                            AL 1999/10/31

P.O. BOX 33050 LAKELAND FL 338073050
COL..
C.P. 33801
FLORIDA

------------------------------------------------------------------------------------------------------------------------------------
                                               MOVIMIENTOS DE VALORES Y DE EFECTIVO
------------------------------------------------------------------------------------------------------------------------------------

CONCEPTO   FECHA         OPERACION      EMISORA-SERIE     TASA             TITULOS        PRECIO         ABONO            CARGO
<S>        <C>           <C>            <C>             <C>                <C>        <C>            <C>             <C>
VALORES    1999/10/08    VENCE REP CPA     CETES        B  991230            51,551   $  9.53703540  $   491,643.71
VALORES    1999/10/08    INTERESES         CETES        B  991230            51,551   $  9.53703540  $       163.88
VALORES    1999/10/08    COMPRA REPORTO    CETES        B  000106  12.00%    51,699   $  9.51290330                  $   491,807.59
VALORES    1999/10/11    VENCE REP CPA     CETES        B  000106            51,699   $  9.51290330  $   491,807.59
VALORES    1999/10/11    INTERESES         CETES        B  000106            51,699   $  9.51290330  $       491.80
VALORES    1999/10/11    COMPRA REPORTO    CETES        B  000113  12.00%    51,939   $  9.47841490                  $   492,299.39
VALORES    1999/10/12    VENCE REP CPA     CETES        B  000113            51,939   $  9.47841490  $   492,299.39
VALORES    1999/10/12    INTERESES         CETES        B  000113            51,939   $  9.47841490  $       164.10
VALORES    1999/10/12    COMPRA REPORTO    CETES        B  991209  11.50%    50,843   $  9.68596440                  $   492,463.49
VALORES    1999/10/13    VENCE REP CPA     CETES        B  991209            50,843   $  9.68596440  $   492,463.49
VALORES    1999/10/13    INTERESES         CETES        B  991209            50,843   $  9.68596440  $       157.31
EFECTIVO   1999/10/13                                                                                $23,314,975.00
EFECTIVO   1999/10/13                                                                                                $22,744,975.00
VALORES    1999/10/13    COMPRA REPORTO    CETES        B  991028  11.50%   107,506   $  9.88429310                  $ 1,062,620.81
VALORES    1999/10/14    VENCE REP CPA     CETES        B  991028           107,506   $  9.88429310  $ 1,062,620.81
VALORES    1999/10/14    INTERESES         CETES        B  991028           107,506   $  9.88429310  $       339.45
VALORES    1999/10/14    COMPRA REPORTO    BONDES       L  010201  12.00%    10,732   $ 99.04402530                  $ 1,062,940.48
VALORES    1999/10/14    COMPRA REPORTO    CETES        B  991028  12.00%         2   $  9.89000000                  $        19.78
VALORES    1999/10/15    VENCE REP CPA     BONDES       L  010201            10,732   $ 99.04402530  $ 1,062,940.48
VALORES    1999/10/15    INTERESES         BONDES       L  010201            10,732   $ 99.04402530  $       354.31
VALORES    1999/10/15    VENCE REP CPA     CETES        B  991028                 2   $  9.89000000  $        19.78
VALORES    1999/10/15    INTERESES         CETES        B  991028                 2   $  9.89000000  $         0.01
   CONTINUA ...

<CAPTION>
CONCEPTO            SALDO
<S>              <C>
VALORES          $    491,644.36
VALORES          $    491,808.24
VALORES          $          0.65
VALORES          $    491,808.24
VALORES          $    492,300.04
VALORES          $          0.65
VALORES          $    492,300.04
VALORES          $    492,464.14
VALORES          $          0.65
VALORES          $    492,464.14
VALORES          $    492,621.45
EFECTIVO         $ 23,807,596.45
EFECTIVO         $  1,062,621.45
VALORES          $          0.64
VALORES          $  1,062,621.45
VALORES          $  1,062,960.90
VALORES          $         20.42
VALORES          $          0.64
VALORES          $  1,062,941.12
VALORES          $  1,063,295.43
VALORES          $  1,063,315.21
VALORES          $  1,063,315.22
   CONTINUA ...
</TABLE>
<PAGE>

[LOGO] ABN - AMRO Bank

                                                             octubre
                                                                         HOJA: 6

<TABLE>
<CAPTION>
-----------------------------------------------------------------       ------------------------------------------------------------
  NOMBRE                                R.F.C.           CUENTA            ASESOR                              PERIODO        DIAS
-----------------------------------------------------------------       ------------------------------------------------------------

BREED TECHNOLOGIES                        X             7000165            TES 003 DIANA  VILLALOBOS          1999/10/01       31

                                                                                                            AL 1999/10/31

P.O. BOX 33050 LAKELAND FL 338073050
COL..
C.P. 33801
FLORIDA

------------------------------------------------------------------------------------------------------------------------------------
                                               MOVIMIENTOS DE VALORES Y DE EFECTIVO
------------------------------------------------------------------------------------------------------------------------------------

CONCEPTO   FECHA        OPERACION      EMISORA-SERIE      TASA           TITULOS          PRECIO           ABONO         CARGO
<S>        <C>          <C>            <C>             <C>        <C>    <C>             <C>        <C>              <C>
VALORES    1999/10/25   VENCE REP CPA      CETES       B  991125               7    $   9.81857140   $        68.73
VALORES    1999/10/25   INTERESES          CETES       B  991125               7    $   9.81857140   $         0.08
VALORES    1999/10/25   COMPRA REPORTO     CETES       B  000210  13.00% 134,239    $   9.40636580                    $ 1,262,701.14
VALORES    1999/10/26   VENCE REP CPA      CETES       B  000210         134,239    $   9.40636580   $ 1,262,701.14
VALORES    1999/10/26   INTERESES          CETES       B  000210         134,239    $   9.40636580   $       465.98
VALORES    1999/10/26   COMPRA REPORTO     CETES       B  991028  14.00%       3    $   9.94333330                    $        29.83
VALORES    1999/10/26   COMPRA REPORTO     BONDES      L  010531  14.00%  12,812    $  98.58939120                    $ 1,263,127.28
VALORES    1999/10/27   VENCE REP CPA      BONDES      L  010531          12,812    $  98.58939120   $ 1,263,127.28
VALORES    1999/10/27   INTERESES          BONDES      L  010531          12,812    $  98.58939120   $       491.21
VALORES    1999/10/27   VENCE REP CPA      CETES       B  991028               3    $   9.94333330   $        29.83
VALORES    1999/10/27   INTERESES          CETES       B  991028               3    $   9.94333330   $         0.01
EFECTIVO   1999/10/27                                                                                $14,887,259.00
EFECTIVO   1999/10/27                                                                                                 $14,887,259.00
VALORES    1999/10/27   COMPRA REPORTO     CETES       B  991118  12.00% 127,740    $   9.89234650                    $ 1,263,648.34
VALORES    1999/10/28   VENCE REP CPA      CETES       B  991118         127,740    $   9.89234650   $ 1,263,648.34
VALORES    1999/10/28   INTERESES          CETES       B  991118         127,740    $   9.89234650   $       421.21
VALORES    1999/10/28   COMPRA REPORTO     CETES       B  000127  12.50% 132,873    $   9.51336660                    $ 1,264,069.56
VALORES    1999/10/29   VENCE REP CPA      CETES       B  000127         132,873    $   9.51336660   $ 1,264,069.56
VALORES    1999/10/29   INTERESES          CETES       B  000127         132,873    $   9.51336660   $       438.91
VALORES    1999/10/29   COMPRA REPORTO     CETES       B  000120  13.00% 132,368    $   9.55297720                    $ 1,264,508.48
                                         CONTINUA...
<CAPTION>
CONCEPT0        SALDO
<S>          <C>
VALORES      $ 1,262,701.72
VALORES      $ 1,262,701.80
VALORES      $         0.66
VALORES      $ 1,262,701.80
VALORES      $ 1,263,157.78
VALORES      $ 1,263,127.95
VALORES      $         0.67
VALORES      $ 1,263,127.95
VALORES      $ 1,263,619.16
VALORES      $ 1,263,648.99
VALORES      $ 1,263,649.00
EFECTIVO     $16,150,908.00
EFECTIVO     $ 1,263,649.00
VALORES      $         0.66
VALORES      $ 1,263,649.00
VALORES      $ 1,264,070.21
VALORES      $         0.65
VALORES      $ 1,264,070.21
VALORES      $ 1,264,509.21
VALORES      $         0.64
</TABLE>
CONTINUA...
<PAGE>

[LOGO]ABN - AMRO Bank


<TABLE>
<CAPTION>
                                                                                                                      octubre
                                                                                                                             HOJA: 5
----------------------------------------------------------------------------------- ------------------------------------------------
 NOMBRE                                                       R.F.C.        CUENTA    ASESOR                        PERIOD     DIAS
----------------------------------------------------------------------------------- ------------------------------------------------

 BREED TECHNOLOGIES                                     X                  7000165   TES 003 DIANA VILLALOBOS     1999/10/01    31

                                                                                                                 AL 1999/10/31

 P.O. BOX 33050 LAKELAND FL 338073050
 COL..
 C.P. 33801
 FLORIDA

------------------------------------------------------------------------------------------------------------------------------------
                                                MOVIMIENTOS DE VALORES Y DE EFECTIVO
------------------------------------------------------------------------------------------------------------------------------------
CONCEPT  FECHA      OPERACION           EMISORA-SERIE          TASA        TITULOS    PRECIO            ABONO           CARGO
<S>       <C>        <C>                 <C>                    <C>         <C>        <C>               <C>         <C>
 VALORES  1999/10/15 COMPRA REPORTO          BONDES    L 010802     13.50%   10,723  $  99.16204140                  $ 1,063,314.57
 VALORES  1999/10/18 VENCE REP CPA           BONDES    L 010802              10,723  $  99.16204140   $ 1,063,314.57
 VALORES  1999/10/18 INTERESES               BONDES    L 010802              10,723  $  99.16204140   $     1,196.19
 EFECTIVO 1999/10/18                                                                                                 $     5,000.00
 VALORES  1999/10/18 COMPRA REPORTO          CETES     B 000608     13.50%  121,141  $   8.74609550                  $ 1,059,510.76
 VALORES  1999/10/19 VENCE REP CPA           CETES     B 000608             121,141  $   8.74609550   $ 1,059,510.76
 VALORES  1999/10/19 INTERESES               CETES     B 000608             121,141  $   8.74609550   $       397.32
 EFECTIVO 1999/10/19                                                                                  $13,613,019.00
 EFECTIVO 1999/10/19                                                                                                 $13,413,019.00
 VALORES  1999/10/19 COMPRA REPORTO          CETES     B 991028     12.50%  127,050  $   9.91663180                  $ 1,259,908.07
 VALORES  1999/10/20 VENCE REP CPA           CETES     B 991028             127,050  $   9.91663180   $ 1,259,908.07
 VALORES  1999/10/20 INTERESES               CETES     B 991028             127,050  $   9.91663180   $       437.47
 VALORES  1999/10/20 COMPRA REPORTO          CETES     B 000608     13.00%  143,927  $   8.75683880                  $ 1,260,345.54
 VALORES  1999/10/21 VENCE REP CPA           CETES     B 000608             143,927  $   8.75683880   $ 1,260,345.54
 VALORES  1999/10/21 INTERESES               CETES     B 000608             143,927  $   8.75683880   $       455.12
 VALORES  1999/10/21 COMPRA REPORTO          CETES     B 000120     13.00%  132,587  $   9.50923290                  $ 1,260,800.66
 VALORES  1999/10/22 VENCE REP CPA           CETES     B 000120             132,587  $   9.50923290   $ 1,260,800.66
 VALORES  1999/10/22 INTERESES               CETES     B 000120             132,587  $   9.50923290   $       455.29
 VALORES  1999/10/22 COMPRA REPORTO          BONDES    L 991230     13.75%   12,526  $ 100.68555170                  $ 1,261,187.22
 VALORES  1999/10/22 COMPRA REPORTO          CETES     B 991125     13.75%        7  $   9.81857140                  $        68.73
 VALORES  1999/10/25 VENCE REP CPA           BONDES    L 991230              12,526  $ 100.68555170   $ 1,261,187.22
 VALORES  1999/10/25 INTERESES               BONDES    L 991230              12,526  $ 100.68555170   $     1,445.11

    CONTINUA...

<CAPTION>
CONCEPT                 SALDO
<S>              <C>
 VALORES         $          0.65
 VALORES         $  1,063.315.22
 VALORES         $  1,064,511.41
 EFECTIVO        $  1,059,511.41
 VALORES         $          0.65
 VALORES         $  1,059,511.41
 VALORES         $  1,059,908.73
 EFECTIVO        $ 14,672,927.73
 EFECTIVO        $  1,259,908.73
 VALORES         $          0.66
 VALORES         $  1,259,908.73
 VALORES         $  1,260,346.20
 VALORES         $          0.66
 VALORES         $  1,260,346.20
 VALORES         $  1,260,801.32
 VALORES         $          0.66
 VALORES         $  1,260,801.32
 VALORES         $  1,261,256.61
 VALORES         $         69.39
 VALORES         $          0.66
 VALORES         $  1,261,187.88
 VALORES         $  1,262,632.99
    CONTINUA...
</TABLE>
<PAGE>

[LOGO] ABN - AMRO Bank

<TABLE>
<CAPTION>
                                                                                                                   octubre

                                                                                                                          HOJA: 7
-----------------------------------------------------------------       ------------------------------------------------------------
  NOMBRE                                R.F.C.           CUENTA            ASESOR                              PERIODO        DIAS
-----------------------------------------------------------------       ------------------------------------------------------------
<S>                                     <C>             <C>             <C>                                 <C>               <C>
BREED TECHNOLOGIES                        X             7000165            TES 003 DIANA  VILLALOBOS          1999/10/01       31
                                                                                                            AL 1999/10/31
</TABLE>

P.O. BOX 33050 LAKELAND FL 338073050
COL..
C.P. 33801
FLORIDA

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------

                                               MOVIMIENTOS DE VALORES Y DE EFECTIVO

------------------------------------------------------------------------------------------------------------------------------------
CONCEPTO      FECHA   OPERACION   EMISORA-SERIE         TASA      TITULOS        PRECIO       ABONO       CARGO             SALDO
<S>           <C>     <C>         <C>                   <C>       <C>            <C>          <C>         <C>               <C>

                                                    Para recibir pagos a traves
                                                    de1 sistema SPEUA utilice el
                                                   Num de su contrato y banco 102
</TABLE>

TOTAL DE     7 HOJAS


     Favor de revisar su estado de cuenta, en case de cualquier objecion
     notificar al Departamento de Auditoria Interna al telefono
     257-7881 0 257-7800. Si en un periodo de 90 dias, a partir de la fecha de
     corte de la cuenta no se recibe notificacion alguna, se asumira que todas
     las operaciones son correctas.
<PAGE>

                           BREED TECHNOLOGIES, INC.

                            CASH: SOCIETE GENERALE

                            ACCOUNT 115 109100 0125

                                 October 1999

                                                   Fr Francs         Dollars
                                                ---------------  --------------
Balance Per Bank Statement                           202,396.26


       Unposted deposits                                   0.00
       Less outstanding checks                             0.00
                                                ---------------
                                                     202,396.26
    Current ME Exchange Rate      6.2359                             32,456.62

    GL Balance                                                       32,456.63

                                                                 --------------
       Variance                                                          (0.01)
                                                                 ==============

                                                              0

       Prepared by:               Jerry Harper
                                  -----------------------------

       Approved by:
                                  -----------------------------
<PAGE>

           ISSUED BY:  CS
           ----------  --

           OCTOBER 1999
           ------------

           BREED FRANCE CC1530
           -------------------

           BANK RECONCILIATION
           -------------------                    DR             CR
                                                 FFR            FFR
                                                 ---            ---

          Balance B/F                             205,774.34

          Receipts                                      0.00


          Payments                                                 3,378.08

          Balance OF                                             202,396.26

                             ----------------------------------------------
          Totals                                  205,774.34     205,774.34
                             ----------------------------------------------




          Balance Per Bank Statement - 04.10.99                  205,411.26

          Add: Late Lodgements                                         0.00

          Less: Outstanding Cheques

          Date Per              Cheque
          Cash Book             Number              FFR
          ---------             -------             ---

           11.10.99             1471380           3,015.00
                                                                  3,015.000


                                                          -----------------
          Balance Per Cash Book - 30 OCTOBER 1999                202,396.26
          ---------------------------------------         -----------------

<PAGE>

<TABLE>
<S> <C>

                                                                                     -------------------------------
??? GENERALE                                                                                COMPTE D ENTREPRISE
-----------------------------------------------------------
RELEVE D'IDENTITE BANCAIRE                                                                  EN FRANCS FRANCAIS
-----------------------------------------------------------                          -------------------------------
CADRE RESERVE AU DESTINATAIRE DU R.I.B.                                                         0186100028010043  68

TITULAIRE DU COMPTE                                                               RELEVE du 15 10 1999 au 02 11 1999
BREED TECHNOLOGIES

DOMICILIATION AGENCE SOCIETE GENERALE
CHATOU (01861)
Tel.: 01 30 15 87 50                                                           00111020225014813401
                                                                               BREEED TECHNOLOGIES
IDENTIFICATION NATIONALE-R.I.B.

  banque    agence    numero de compte   ??? R.I.B.
                                                                               1 A 3 R EUGENE ET ARMAND PEUGEOT
  30003     01861      00028010043             68

IDENTIFICATION INTERNATIONALE                                                  92500 RUEIL MALMAISON       3101
IBAN: FR76 30003 01861 00028010043 68
ADRESSE SWIFT: SOGEFRPP
__________________________________________________________________
???

CH2                                                         Balance                 envol n 16         page 1/1
-----------------------------------------------------------------------------------------------------------------
Date           Nature de l'operation                Debit             Credit          Contre-valeur
                                                                                                         Valeur
                                                                                      en euros(1)
-----------------------------------------------------------------------------------------------------------------
                                SOLDE PRECEDENT                       205.411,26
9/10   CHEQUE 1471380    292752                        3.015,00                                         17/10/99
                                NOUVEAU SOLDE                         202.396,26
-----------------------------------------------------------------------------------------------------------------
(1) Les contre-valeurs en euros ont ete calculees sur la base de 1 euro = 6,55957 francs. Les montants d'operation exprimes en euros
n'ont qu'une valeur indicative. Le solde en euros est la contre-valeur du solde en francs apres application des regles de
conversion et d'arrondis.
</TABLE>
<PAGE>

                              Bank Reconciliation
                                 Bank Of China
                                100 109420 0065
                                  31-Oct-99

<TABLE>
<CAPTION>
                                                                                                                RMD
<S>                                                                        <C>                         <C>
Bank Ending Balance                                                                                              85,693.27

Less:  Outstanding checks
                     Check #  Check amount
                     -------  ------------
Exchange rate difference      Oct                                                                        82.85


Expense posting different from bank reconciliation checks

                     Oct                                                        17,719.69
                                                                           -----------------         17,719,69

Unrecorded interest income                            September                                           8.51
                                                                                                  ------------
Explained variances                                                                                  17,732.03   17,732.03
                                                                                                  ------------------------
Balance in local currency                                                                                       103,425.30
Exchange Rate                                                                                                       8.2411
                                                                                                  ------------------------
                                        Ending balance in Checkbook in USD                          S            12,549.94

                                         GL balance                                                              12,548.50
                                                                                                  ------------------------
                                          Unexplained Variance                                                        1.44
                                                                                                  ========================
</TABLE>



Prepared by Jerry Harper

Reviewed by
            -------------
<PAGE>

<TABLE>
<CAPTION>

Proof of Cash      In RMD's            -----------------------------------------------------------------------------
G.L. # 100 109420 0065                    Beginning    Cash       Cash                      exchnge     Ending
October, 1999                             Balance      Receipts   Disbursements    Fees    Variance     Balance
                                      ------------------------------------------------------------------------------
<S>                                       <C>          <C>        <C>              <C>     <C>          <C>
Bank Perc. Zhao                            58,093.05     71,439.84    43,704.33                 (135.29)     85,693.27
  Acct. #

Outstanding checks
  beginning                                     -
  ending                                                                                                          -

Prior mo deposit entry                    (71,357.04)    71,357.04                                                -
unrecorded bank fee                             -                                          -                      -

Sept interest income                          (70.51)                                                           (70.51)

exchange rate variance                        340.98                                             135.29         476.27
                                                                                                  82.85          82.85
Prior months exp post difference           11,092.42                 (11,092.42)                                  -
Oct expense posting difference                                       (17,719.69)                             17,719.69
                                        ------------------------------------------------------------------------------
Books                                      (1,901.10)   142,879.68    37,077.01        -   -        -       103.901.57
                                        ==============================================================================
                               proof       (1,901.10)   142,796.88    14,892.22        -   -      82.85     103,901.57

                           Difference           0.00        (82.80)  (22,184.79)       -   -      82.85           -
</TABLE>
<PAGE>

                              Bank Reconciliation
                               CITIC Industrial
                                100 109410 0065
                                   31-Oct-99
<TABLE>
<CAPTION>
                                                              USD           Exchange Rt.        RMB
                                                         ------------------------------------------------
<S>                                                      <C>                <C>              <C>
Bank Ending Balance                                         36,885.10               8.28     305,405.62
less:  deposit in transit

Less: Outstanding checks

                Check #         Check amount
                -------         ------------


Exchange rate difference        Plug figure                      3.82                 8.28         31.63

                                                            ----------           ----------   -----------
                Adjusted Balance                            36,888.92                         305,437.25

                   GL balance                               42,722.98               8.2800    353,746.27
                        Variance                         ------------------------------------------------
                                                            (5,834.06)                        (48,309.02)
                        Xchng Rt                                                                    8.28
                                                                                              -----------
                          Converted variance                                                   (5,834.42)

                Expense reimbursement different from bank reconciliation checks*
                        October                              5,834.06                           5,834.06
                                                            ----------                        -----------
                Unreconciled Variance                               -                              (0.36)
                                                            ==========                        ===========

</TABLE>

                *    Self-correcting in next month. There S/B only current month
                         difference since all prior month difference will be
                         accounted for the following month



Prepared by Jerry Harper


Reviewed by
            ----------
<PAGE>

                       Breed China Office (October '99)
                       --------------------------------

Bank Reconciliation
Name of Bank:    CITIC of China
Account Number:  109410


<TABLE>
<CAPTION>
<S>                                             <C>                    <C>                  <C>
1-Oct-99                                                                  USD                RMB
                                                                          ---                ---
Ending Balace(September 30 1999)                                       23,084.10             31.74

           Plus:      Outstanding deposits

                      payment from USA                                 30,660.00
                      interest

           Less:      Outstanding checks
                      Check number              Check amount
                      cash drawn                      5,000.00         (5,000.00)
                      service charge                     15.00            (15.00)
                      cash drawn                      4,000.00         (4,000.00)
                      service charge                     12.00            (12.00)
                      cash drawn                      4,000.00         (4,000.00)
                      service charge                     12.00            (12.00)
      transferred to the personal A/C as salary       3,820.00         (3,820.00)
                                                --------------       ------------
                                                     16,859.00        (16,859.00)             0.00

                                                                     ------------     ------------
                                                                       36,885.10             31.74

Ending balance in Checkbook                                            36,885.10             31.74
                                                                     ------------     ------------
Variance                                                                    0.00              0.00
</TABLE>
<PAGE>

                                  ? ? ? ? ? ?


? ?: 711 2-1-14-825-000141-97       ? ? ? ?????????????

??????, 1999/10/01 --- 1999/11/02   ? ? ? ? 1999 ? 11 02 17    ???:0861
-----------------------------------------------------------------------------
<TABLE>
<CAPTION>
????            ?????                ????          ??      ???            ????        ????
<S>             <C>                  <C>           <C>     <C>            <C>         <C>
1999/10/12      71102-1-0134-0011    1999/10/12    D        3,020.00      19,264.10   80041678
1999/10/18      71102-1-0134-0003    1999/10/18    D        5,015.00      14,249.18   80041679
1999/10/19      71102-1-0153-0010    1999/10/19    D        4,012.00      10,237,10   80041680
1999/10/19      71102-1-0134-0031    1999/10/19    G       38,660.00      48,897.10   8
1999/10/28      71102-1-0134-0007    1999/10/28    D        4,012.00                     41681
1999/11/02      71102-1-0134-0007    1999/11/02    D        5,015,00      31,210.10   80041683
1999/11/02      71102-1-0134-0008    1999/11/02    D        3,020.00      28,050,10   80041682
</TABLE>
<PAGE>

                           BREED TECHNOLOGIES, INC.
                              SAN PAOLO DI TORINO
                             BANK # N. 13/9286278
                             GL # 100-107 775-0000
                               October 31, 1999

<TABLE>
<CAPTION>
                                                                Exchng             Bank Acct
                                                                 Rate                Lira               Dollars
                                                     ----------------------------------------------------------------
<S>                                        <C>                     <C>              <C>                     <C>
Bank Beginning Balance                      6/30/99            1877.13           14,790,971,053          7,879,566.71
 Adjustments & Transactions:

       Wire transfer                         7/8/99            1903.28          (14,750,000,000)        (7,749,779.33)
       Bankfee                               7/7/99            1903.28                  (27,000)               (14.19)
       Bankfee                             10/17/99            1806.19                  (27,000)               (14.95)

                                                                                -------------------------------------
Re-evaluated ending balance                10/31/99                                  40,917,053            129,758.24
                                                                                =====================================


GL balance prior to adjustments            10/31/99                                                         77,005.20
       Reversal of July JE 0001-051A                                                                        52,481.98
       Bank fees- July & Oct                                                                                   (29.14)

                                                                                                         ------------
Adjusted GL balance                                                                                        129,458.04

Bank ending balance                        10/31/99            1840.73               40,917,053             22,228.71

                                                                                                         ------------
          Exchange Rate Variance                                                                           107,229.33
                                                                                                         ============

Prepared by:           Jerry Harper
            -----------------------

Approved by:
            -----------------------
</TABLE>
<PAGE>

[LOGO]


CURRENT ACCOUNT IN ITL                        BANK STATEMENT
N. 13/9286278                                 AT 31 OCTOBER 1999

                                              PAGE 1 OF 2
MONCALIERI FILIALE 2 - VADO BRANCH
VIA POSTIGLIONE - ZONA SANDA - VADO

                                              BREED TECHNOLOGIES INC

                                                                         01363#
                                              53000LD TAMPA HIGHWAY
                                                    LAKELAND FLORIDA 33811 USA

<TABLE>
<S>                                                        <C>            <C>
=============================
(Euro)  1 euro = 1936,27 ITL                              -------------   ----------
=============================                                  ITL           EUR
                                                          -------------   ----------

 INIT: BALANCE AT 3O SEPTEMBER 1999 TO YOUR CREDIT         40.944.053       21.145.84
</TABLE>

<TABLE>
-----------------------------------------------------------------------
 <S>    <C>       <C>                         <C>    <C>        <C>
 DATE    VALUE        OPERATION DESCRIPTION          CREDIT     DEBIT
-----------------------------------------------------------------------
07 10   30 09 99  STAMP DUTY ON STAT                             27.000
                  REF. N 7008231999100464271  $01
--------------------------------------------------  --------  ---------
                                           TOTALS          0     27.000
</TABLE>

<TABLE>
 <S>                                                       <C>              <C>
 FINAL BALANCE AT 31 OCTOBER 1999 TO YOUR CREDIT           40.917.053       21.131.89
</TABLE>

--------------------------------------------------------------------------------
 EXISTING CONDITIONS IN ITL
                                        ? Exchange Rate              1,840.73

  FROM      CONDITION DESCRIPTION                            VALUE

            CRED. RATES FOR AVERAGE ANNUAL FUND BRACKETS

  31 12 98  CRED. RATE UNTIL 48.406.750                                 1,716%
            CRED. RATE FRM 48.406.750 TO 98.749.770                     1,716%
            CRED. RATE FRM 98.749.770 TO 249.778.830                    1,716%
            CRED. RATE FRM 249.778.830 TO 499.557.660                   1,716%
            CRED. RATE FOR FUNDS EXCEEDING                              1,716%
  01 01 99  CRED. RATE UNTIL 48.406.750                                 0,9157%
            CRED. RATE FRM 48.406.750 TO 98.749.770                     0,9157%
            CRED. RATE FRM 98.749.770 TO 249.778.830                    0,9157%
            CRED. RATE FRM 249.778.830 TO 499.557.660                   0,9157%
            CRED. RATE FOR FUNDS EXCEEDING                              0,9157%
  31 01 99  CRED. RATE UNTIL 48.406.750                                 1,67%
            CRED. RATE FRM 48.406.750 TO 98.749.770                     1,67%
            CRED. RATE FRM 98.749.770 TO 249.778.830                    1,67%
            CRED. RATE FRM 249.778.830 TO 499.557.660                   1,67%
            CRED. RATE FOR FUNDS EXCEEDING                              1,67%
  28 02 99  CRED. RATE UNTIL 48.406.750                                 1,608%
            CRED. RATE FRM 48.406.750 TO 98.749.770                     1,608%
            CRED. RATE FRM 98.749.770 TO 249.778.830                    1,608%
            CRED. RATE FRM 249.778.830 TO 499.557.660                   1,608%
            CRED. RATE FOR FUNDS EXCEEDING                              1,608%
  31 03 99  CRED. RATE UNTIL 48.406.750                                 1,271%
            CRED. RATE FRM 48.496.750 TO 98.749.770                     1,271%
            CRED. RATE FRM 98.749.770 TO 249.778.830                    1,271%
            CRED. RATE FRM 249.778.830 TO 499.557.660                   1,271%
            CRED. RATE FOR FUNDS EXCEEDING                              1,271%
  19 04 99  CRED. RATE UNTIL 48.406.750                                 1,108%
            CRED. RATE FRM 48.406.750 TO 98.749.770                     1,108%
            CRED. RATE FRM 98.749.770 TO 249.778.830                    1,108%
            CRED. RATE FRM 249.778.830 TO 499.557.660                   1,108%
            CRED. RATE FOR FUNDS EXCEEDING                              1,108%
  30 04 99  CRED. RATE UNTIL 48.406.750                                 1,102%
            CRED. RATE FRM 48.406.750 TO 98.749.770                     1,102%
            CRED. RATE FRM 98.749.770 TO 249.778.830                    1,102%
            CRED. RATE FRM 249.778.830 TO 499.557.660                   1,102%
            CRED. RATE FOR FUNDS EXCEEDING                              1,102%
  31 05 99  CRED. RATE UNTIL 48.406.750                                 1,135%
            CRED. RATE FRM 48.406.750 TO 98.749.770                     1,135%
            CRED. RATE FRM 98.749.770 TO 249.778.830                    1,135%
            CRED. RATE FRM 249.778.830 TO 499.557.660                   1,135%
            CRED. RATE FOR FUNDS EXCEEDING                              1,135%
-------------------------------------- CONT'D ON PAGE 2 ------------------------
<PAGE>

[LETTER HEAD APPEARS HERE]

<TABLE>
<CAPTION>
____________________________________________________________________________________________________________________________________
<S>                                                              <C>                                              <C>
CURRENT ACCOUNT IN ITL                                           BANK STATEMENT
N. 13/9286278                                                    AT 30 SEPTEMBER 1999

                                                                 PAGE  1 OF 2
MONCALIERI FILIALE 2 - VADO' BRANCH
VIA POSTIGLIONE - ZONA SANDA-VADO'
                                                                 BREEED TECHNOLOGIES INC
                                                                                                                  01363#
                                                                 53000LD TAMPA HIGHWAY
                                                                       LAKELANDFLORIDA  33811 USA

________________________________
[EURO] 1  euro = 1936,27 ITL                                           ___________________________         ________________
________________________________                                                    ITL                           EUR
                                                                       ___________________________         ________________

INIT. BALANCE AT 31 AUGUST 1999 TO YOUR CREDIT                                  40.944.053                        21.145.84

FINAL BALANCE AT 30 SEPTEMBER 1999 TO YOUR CREDIT                               40.944.053                        21.145.84
</TABLE>

<TABLE>
<CAPTION>
____________________________________________________________________________________________________________________________________
EXISTING CONDITIONS IN ITL

     FROM          CONDITION DESCRIPTION                                             VALUE

                   CRED. RATES FOR AVERAGE ANNUAL FUND BRACKETS

<S>                <C>                                                                         <C>
31 12 98           CRED. RATE UNTIL 48.406.750                                                                1.716%
                   CRED. RATE FRM 48.406.750 TO 98.749.770                                                    1.716%
                   CRED. RATE FRM 98.749.770 TO 249.778.830                                                   1.716%
                   CRED. RATE FRM 249.778.830 TO 499.557.660                                                  1.716%
                   CRED. RATE FOR FUNDS EXCEEDING                                                             1.716%
01 01 99           CRED. RATE UNTIL 48.406.750                                                                0.9157%
                   CRED. RATE FRM 48.406.750 TO 98.749.770                                                    0.9157%
                   CRED. RATE FRM  98.749.770 TO 249.778.830                                                  0.9157%
                   CRED. RATE FRM 249.778.830 TO 499.557.660                                                  0.9157%
                   CRED. RATE FOR FUNDS EXCEEDING                                                             0.9157%
31 01 99           CRED. RATE UNTIL 48.406.750                                                                1.67%
                   CRED. RATE FRM 48.406.750 TO 98.749.770                                                    1.67%
                   CRED. RATE FRM 98.749.770 TO 249.778.830                                                   1.67%
                   CRED. RATE FRM 249.778.830 TO 499.557.660                                                  1.67%
                   CRED. RATE FOR FUNDS EXCEEDING                                                             1.67%
28 02 99           CRED. RATE UNTIL 48.406.750                                                                1.608%
                   CRED. RATE FRM 48.406.750 TO 98.749.770                                                    1.608%
                   CRED. RATE FRM 98.749.770 TO 249.778.830                                                   1.608%
                   CRED. RATE FRM 249.778.830 TO 499.557.660                                                  1.608%
                   CRED. RATE FOR FUNDS EXCEEDING                                                             1.608%
31 03 99           CRED. RATE UNTIL 48.406.750                                                                1.271%
                   CRED. RATE FRM 48.406.750 TO 98.749.770                                                    1.271%
                   CRED. RATE FRM 98.749.770 TO 249.778.830                                                   1.271%
                   CRED. RATE FRM 249.778.830 TO 499.557.660                                                  1.271%
                   CRED. RATE FOR FUNDS EXCEEDING                                                             1.271%
19 04 99           CRED. RATE UNTIL 48.406.750                                                                1.108%
                   CRED. RATE FRM 48.406.750 TO 98.749.770                                                    1.108%
                   CRED. RATE FRM 98.749.770 TO 249.778.830                                                   1.108%
                   CRED. RATE FRM 249.778.830 TO 499.557.660                                                  1.108%
                   CRED. RATE FOR FUNDS EXCEEDING                                                             1.108%
30 04 99           CRED. RATE UNTIL 48.406.750                                                                1.102%
                   CRED. RATE FRM 48.406.750 TO 98.749.770                                                    1.102%
                   CRED. RATE FRM 98.749.770 TO 249.778.830                                                   1.102%
                   CRED. RATE FRM 249.778.830 TO 499.557.660                                                  1.102%
                   CRED. RATE FOR FUNDS EXCEEDING                                                             1.102%
31 05 99           CRED. RATE UNTIL 48.406.750                                                                1.135%
                   CRED. RATE FRM 48.406.750 TO 98.749.770                                                    1.135%
                   CRED. RATE FRM 98.749.770 TO 249.778.830                                                   1.135%
                   CRED. RATE FRM 249.778.830 TO 499.557.660                                                  1.135%
                   CRED. RATE FOR FUNDS EXCEEDING                                                             1.135%
30 06 99           CRED. RATE UNTIL 48.406.750                                                                1.172%
                   CRED. RATE FRM 48.406.750 TO 98.749.770                                                    1.172%
                   CRED. RATE FRM 98.749.770 TO 249.778.830                                                   1.172%
                   CRED. RATE FRM 249.778.830 TO 499.557.660                                                  1.172%
                   CRED. RATE FOR FUNDS EXCEEDING                                                             1.172%
____________________________________________________________________________________________________________________________________
</TABLE>
                                    SCALAR ACCOUNT



<PAGE>

  RRENT ACCOUNT IN ITL                       BANK STATEMENT
  N. 13/9286278                              AT 30 SEPTEMBER 1999

                                             PAGE 2 OF 2



DATE; THE NUMBERS REPRESENT THE PRODUCT OF EACH BALANCE FOR THE DAYS BETWEEN THE
VALUE DATE THEREOF AND THE VALUE DATE OF THE NEXT BALANCE. THE RATES AND RELATED
NUMBERS, ACCORDING TO WHICH INTEREST IS CALCULATED, ARE GIVEN IN THE SPECIFIC
SPACE RESERVED FOR INDICATION OF THE ELEMENTS FOR CALCULATION OF INTEREST
RECEIVABLE/PAYABLE.
THE BRANCH AT WHICH YOU HAVE OPENED YOUR ACCOUNT WILL BE PLEASED TO PROVIDE ANY
FURTHER INFORMATION OR EXPLANATIONS.


--------------------------------------------------------------------------------
SCALAR SUMMARY AT 30 09 1999 IN ITL
                                                     NUMBERS/1000
 V. DATE          BALANCES BY V.DATE     DAYS      DEBTORS           CREDITORS
--------------------------------------------------------------------------------
C/over. at       30 06 99                                        1.115.965.825
30 06 99               14.790.944.053     8                        118.327.552
08 07 99                   40.944.053    84                          3.439.300

TOTAL NUMBERS TO BE PAID                                         1.237.732.677

 FINAL CASH BALANCE                    40.944.053
 FINAL ACCOUNTING BALANCE              40.944.053


Turin, 4 October 1999                                        SANPAOLO IMI S.p.A.
                                                9/30/99       DIREZONE GENERALE
                                                  18/9/91     /s/ [ILLEGIBLE]
<PAGE>

[LETTERHEAD OF SANPAOLO IMI]

CURRENT ACCOUNT IN ITL                         BANK STATEMENT
N.13/9286278                                   AT 31 AUGUST 1999

                                               PAGE  1 OF 2

MONCALIER: FILIALE 2 VADO BRANCH
VIA POSIGLIONE - ZONA SANDA-VACC

                                               BREED TECHNOLOGIES INC

                                                                       0:363#
                                               5300 OLD TAMPA HIGHWAY
                                                  LAKELAND FLORIDA 33811 USA

<TABLE>
<CAPTION>

1 EURO= 1936,27ITL                                                   ITL                                         EUR

INIT BALANCE AT 31 JULY 1999 TO YOUR CREDIT                    40.944.053                                     21.145.84

FINAL BALANCE AT 31 AUGUST 1999 TO YOUR CREDIT                 40.944.053                                     21.145.84

EXISTING CONDITIONS IN ITL

FROM           CONDITION DESCRIPTION                                  VALUE

               CRED. RATES FOR AVERAGE ANNUAL FUND BRACKETS
<S>            <C>                                                                   <C>
31 12 98       CRED. RATE UNTIL 48,406,750                                            1,716%
               CRED. RATE FRM 48,406,750 TO 93,749,770                                1,716%
               CRED. RATE FRM 98,749,770 TO 249,778,830                               1,716%
               CRED. RATE FRM 249,778,830 TO 499 557,660                              1,716%
               CRED. RATE FOR FUNDS EXCEEDING                                         1,716%
01 01 99       CRED. RATE UNTIL 48,406,750                                           0,9157%
               CRED. RATE FRM 48,406,750 TO 93,749,770                               0,9157%
               CRED. RATE FRM 98,749,770 TO 249,778,830                              0,9157%
               CRED. RATE FRM 249,778,830 TO 499,557,660                             0,9157%
               CRED. RATE FOR FUNDS EXCEEDING                                        0,9157%
31 01 99       CRED. RATE UNTIL 48,406,750                                             1,67%
               CRED. RATE FRM 48,406,750 TO 93,749,770                                 1,67%
               CRED. RATE FRM 98,749,770 TO 249,778,830                                1,67%
               CRED. RATE FRM 249,778,830 TO 499,557,660                               1,67%
               CRED. RATE FOR FUNDS EXCEEDING                                          1,67%
28 02 99       CRED. RATE UNTIL 48,406,750                                            1,608%
               CRED. RATE FRM 48,406,750 TO 93,749,770                                1,608%
               CRED. RATE FRM 98,749,770 TO 249,778,830                               1,608%
               CRED. RATE FRM 249,778,830 TO 499,557,660                              1,608%
               CRED. RATE FOR FUNDS EXCEEDING                                         1,608%
31 03 99       CRED. RATE UNTIL 48,406,750                                             1,27%
               CRED. RATE FRM 48,406,750 TO 93,749,770                                 1,27%
               CRED. RATE FRM 98,749,770 TO 249,778,830                                1,27%
               CRED. RATE FRM 249,778,830 TO 499,557,660                               1,27%
               CRED. RATE FOR FUNDS EXCEEDING                                          1,27%
19 04 99       CRED. RATE UNTIL 48,406,750                                            1,108%
               CRED. RATE FRM 48,406,750 TO 93,749,770                                1,108%
               CRED. RATE FRM 98,749,770 TO 249,778,830                               1,108%
               CRED. RATE FRM 249,778,830 TO 499,557,660                              1,108%
               CRED. RATE FOR FUNDS EXCEEDING                                         1,108%
30 04 99       CRED. RATE UNTIL 48,406,750                                            1,102%
               CRED. RATE FRM 48,406,750 TO 93,749,770                                1,102%
               CRED. RATE FRM 98,749,770 TO 249,778,830                               1,102%
               CRED. RATE FRM 249,778,830 TO 499,557,660                              1,102%
               CRED. RATE FOR FUNDS EXCEEDING                                         1,102%
31 05 99       CRED. RATE UNTIL 48,406,750                                            1,135%
               CRED. RATE FRM 48,406,750 TO 93,749,770                                1,135%
               CRED. RATE FRM 98,749,770 TO 249,778,830                               1,135%
               CRED. RATE FRM 249,778,830 TO 499,557,660                              1,135%
               CRED. RATE FOR FUNDS EXCEEDING                                         1,135%
30 06 99       CRED. RATE UNTIL 48,406,750                                            1,172%
               CRED. RATE FRM 48,406,750 TO 93,749,770                                1,172%
               CRED. RATE FRM 98,749,770 TO 249,778,830                               1,172%
               CRED. RATE FRM 249,778,830 TO 499,557,660                              1,172%
</TABLE>

                               CONT'D ON PAGE 2
<PAGE>

                                 [LETTERHEAD]

                ----------------------------------------------------------------
CURRENT ACCOUNT IN ITL                 BANK STATEMENT
N. 13/9286278                          AT 31 JULY 1999


                                       PAGE 1 OF 2
MONCALIERI FILIALE 2 -VADO BRANCH
VIA POSTIGLIONE - ZONA SANDA - VADO
                                       BREED TECHNOLOGIES INC

                                                                       01363#
                                       53000LD TAMPA HIGHWAY
                                             LAKELANDFLORIDA 33811 USA

<TABLE>
<CAPTION>
=============================                         -----------------------------   -----------------
 (E)   1 euro = 1936,27 ITL.                                        ITL                       EUR
=============================                         -----------------------------   -----------------
<S>                                                  <C>                             <C>
INIT.  BALANCE AT 30 JUNE 1999 TO YOUR CREDIT         14,790,971.053                       7.638.899,04

-----------------------------------------------------------------------------------
DATE   VALUE         OPERATION DESCRIPTION                   CREDIT     DEBIT
-----------------------------------------------------------------------------------

07 07 30 06 99 STAMP DUTY ON STAT.                                           27.000
               REF. N. 7008231999070291651 595
08 07 08 07 99 TRANSFER OF FUNDS                                     14.750.027.000
               REF. N. 60136319990708121200M26
--------------------------------------------------------- ---------- --------------
                                              TOTALS               0 14.750.027.000


FINAL BALANCE AT 31 JULY 1999 TO YOUR CREDIT              40.944.053                             21.145.84
</TABLE>

<TABLE>
<CAPTION>
-----------------------------------------------------------------------------------------------------
 EXISTING CONDITIONS IN ITL

  FROM      CONDITION DESCRIPTION                                VALUE

            CRED. RATES FOR AVERAGE ANNUAL FUND BRACKETS
<S>         <C>                                                                        <C>
  31 12 98  CRED. RATE UNTIL 48.406.450                                                1,716%
            CRED. RATE FRM 48.406.750 TO 98.749.770                                    1,716%
            CRED. RATE FRM 98.749.770 TO 249.778.830                                   1,716%
            CRED. RATE FRM 249.778.830 TO 499.557.660                                  1,716%
            CRED. RATE FOR FUNDS EXCEEDING                                             1,716%
  01 01 99  CRED. RATE UNTIL 48.406.750                                                0,9157%
            CRED. RATE FRM 48.406.750 TO 98.749.770                                    0,9157%
            CRED. RATE FRM 98.749.770 TO 249.778.830                                   0,9157%
            CRED. RATE FRM 249.778.830 TO 499.557.660                                  0,9157%
            CRED. RATE FOR FUNDS EXCEEDING                                             0,9157%
  31 01 99  CRED. RATE UNTIL 48.406.750                                                1,67%
            CRED. RATE FRM 48.406.750 TO 98.749.770                                    1,67%
            CRED. RATE FRM 98.749.770 TO 249.778.830                                   1,67%
            CRED. RATE FRM 249.778.830 TO 499.557.660                                  1,67%
            CRED. RATE FOR FUNDS EXCEEDING                                             1,67%
  28 02 99  CRED. RATE UNTIL 48.406.750                                                1,608%
            CRED. RATE FRM 48.406.750 TO 98.749.770                                    1,608%
            CRED. RATE FRM 98.749.770 TO 249.778.830                                   1,608%
            CRED. RATE FRM 249.778.830 TO 499.557.660                                  1,608%
            CRED. RATE FOR FUNDS EXCEEDING                                             1,608%
  31 03 99  CRED. RATE UNTIL 48.406.750                                                1,271%
            CRED. RATE FRM 48.406.750 TO 98.749.770                                    1,271%
            CRED. RATE FRM 98.749.770 TO 249.778.830                                   1,271%
            CRED. RATE FRM 249.778.830 TO 499.557.660                                  1,271%
            CRED. RATE FOR FUNDS EXCEEDING                                             1,271%
  19 04 99  CRED. RATE UNTIL 48.406.750                                                1,108%
            CRED. RATE FRM 48.406.750 TO 98.749.770                                    1,108%
            CRED. RATE FRM 98.749.770 TO 249.778.830                                   1,108%
            CRED. RATE FRM 249.778.830 TO 499.557.660                                  1,108%
            CRED. RATE FOR FUNDS EXCEEDING                                             1,108%
  30 04 99  CRED. RATE UNTIL 48.406.750                                                1,102%
            CRED. RATE FRM 48.406.750 TO 98.749.770                                    1,102%
            CRED. RATE FRM 98.749.770 TO 249.778.830                                   1,102%
            CRED. RATE FRM 249.778.830 TO 499.557.660                                  1,102%
            CRED. RATE FOR FUNDS EXCEEDING                                             1,102%
  31 05 99  CRED. RATE UNTIL 48.406.750                                                1,135%
            CRED. RATE FRM 48.406.750 TO 98.749.770                                    1,135%
            CRED. RATE FRM 98.749.770 TO 249.778.830                                   1,135%
</TABLE>

-----------------------------  CONT' D ON PAGE 2  ------------------------------
<PAGE>

                            BREED AUTOMOTIVE, L.P.

                             ACCOUNT # 067 00277467

                              GL 220 108510-0020

                                 October, 1999

Bank Balance as of October 31, 1999                       $ 9,130.96
Ledger Balance as of October 31, 1999                       2,488.69
                                                          ----------
     Variance:                                              6,642.27
                                                          ==========
     Outstanding Checks:
       Ck #      $         Ck#         $     Ck#      $
     -------------------  ----------------  -------------
                          1963      -70.54  1980   -94.48
      1936     -128.89    1964     -325.97  1981  -106.13
      1938     -521.51    1965      -50.85  1982   -78.47
      1940     -361.20    1966     -304.51  1983   -48.72
      1941      -90.54    1967     -440.92  1984  -396.13
      1946      -55.57    1968      -55.57  1985  -105.25
      1947     -337.67    1969     -446.05
      1948     -147.11    1970      -4l.42
      1951     -364.12    1972     -536.19
      1952     -465.10    1973     -169.06
      1953     -465.10    1974      -48.72
      1954     -501.34    1975     -328.68
      1955     -361.57    1976     -109.50
      1957     -477.67    1977     -120.64
      1960      -77.38    1979      -70.54
             ---------           ---------       --------
             (4,354.77)           -3119.16        -829.18
             ---------           ---------       --------
  Total O/S  Checks                                        (8,303.11)

  Other Reconciling items:
        1) Deposit not received; no reimb. Ck
            ever written                              (A)    1702.57

        2) COD "Overspent". Erroroneous JE
            to correct                                (A)     -41.57

            Total Reconciling Items                                   (6,642.11)
                                                                     ----------

             Unidentified variances (same as Sept)                         0.16
                                                                     ==========


  (A)  correcting entry made in Nov. 99.

  Prepared by         Jerry Harper

  Reviewed by________________________
<PAGE>

Chase Logo

                                            Page 1 of 2
                                            Business Statement
                                            Customer Service
                                            Call ServiceLine (24 hours) at
BREED AUTOMOTIVE LP                         (713) 216-7000 from the Houston area
CARMEN VASQUEZ                              or call (800) 235-8522
4601 COFFEE PORT RD                         For the Hearing Impaired, call
BROWNSVILLE TX 78521-5284                   (800) 732-5518

                                            Primary Account Number 067-00277467
                                            Number of Enclosures:   73

         Commercial Checking   067-00277467            BREED AUTOMOTIVE LP
===============================================================================
Summary                            Number                 Amount
          Opening Balance                              $6,633.63
          ---------------------------------------------------------------------
          Deposits and Credits          8             $47,320.97
          ---------------------------------------------------------------------
          Withdrawals and Debits        1                 $45.00
          ---------------------------------------------------------------------
          Checks Paid                  71             $44,778.64
          ---------------------------------------------------------------------
          Ending Balance                               $9,130.96

===============================================================================
Deposits    Date       Description                                       Amount
and Credits -------------------------------------------------------------------
            10/07      Ft Incoming Tran - Straight                   $10,000.00
                       Your reference: PETTY CASH
                       Our reference: 0347618280ZT
            10/08      Ft Incoming Tran - Straight                    $3,400.00
                       Your reference: PETTY CASH
                       Our reference: 0257418281ZT
            10/15      Deposit                1                         $900.83
            10/15      Ft Incoming Tran - Straight                    $5,000.00
                       Your reference: TRADE PAYMENT
                       Our reference: 0243518288ZT
            10/20      Ft Incoming Tran - Straight                   $10,000.00
                       Your reference: FUND PETTY CASH
                       Our reference: 0409418293ZT
            10/21      Ft Incoming Tran - Straight                    $8,000.00
                       Your reference: FUND PETTY CASH
                       Our reference: 0104118294ZT
            10/22      Deposit                                           $20.14
            10/26      Ft Incoming Tran - Straight                   $10,000.00
                       Your reference: FUND PETTY CASH
                       Our reference: 0093218299ZT
            -------------------------------------------------------------------
            TOTAL                                                    $47,320.97
===============================================================================
Withdrawals  Date      Description                                       Amount
and Debits   ------------------------------------------------------------------
             10/28     Account Analysis Fee                              $45.00
             ------------------------------------------------------------------
             Total                                                       $45.00
===============================================================================
Checks Paid
<TABLE>
<CAPTION>
            Check     Date Paid         Amount    Check    Date Paid        Amount    Check      Date Paid         Amount
<S>                   <C>              <C>         <C>     <C>           <C>          <C>        <C>            <C>
             1869       10/04          $207.31     1879      10/07          $15.33     1887        10/14          $125.42
             1872*      10/01           $52.90     1880      10/07         $248.35     1888        10/14          $125.42
             1873       10/01          $264.00     1882*     10/08          $30.66     1889        10/27           $25.00
             1874       10/06           $27.06     1884*     10/15       $1,559.94     1890        10/07          $528.37
             1876*      10/04           $90.00     1885      10/01         $756.74     1891        10/07           $49.16
             1878*      10/05          $391.23     1886      10/07         $240.20     1892        10/22        $1,319.97

             You will receive detailed statements when applicable for Retirement, Credit, and Securities accounts.
</TABLE>

<PAGE>

[CHASE LOGO}                                 Primary Account Number 067-00277467

BREED AUTOMOTIVE LP




   Commercial Checking 067-00277467                          BREED AUTOMOTIVE LP
   (continued)

<TABLE>
<CAPTION>
               =================================================================================================================
               Check    Date Paid          Amount      Check     Date Paid        Amount     Check     Date Paid          Amount
               ----------------------------------      ---------------------------------     -----------------------------------
               <S>      <C>           <C>              <C>        <C>          <C>           <C>       <C>          <C>
               1893       10/22         $   57.71        1912       10/29      $   38.89       1931       10/26        $   70.54
               1894       10/13         $  302.54        1913       10/25      $   50.85       1932       10/25        $  118.72
               1895       10/13         $  128.23        1914       10/25      $  118.20       1933       10/25        $  248.69
               1896       10/15         $  139.82        1915       10/20      $  217.27       1934       10/21        $8,052.89
               1897       10/13         $   98.43        1916       10/15      $  618.01       1935       10/25        $  111.70
               1898       10/18         $  118.99        1917       10/18      $  225.00       1937*      10/25        $  300.00
               1899       10/13         $  270.63        1918       10/20      $3,014.55       1942*      10/27        $  168.77
               1900       10/14         $  300.00        1919       10/18      $1,083.57       1943       10/28        $  480.75
               1901       10/12         $3,469.33        1920       10/26      $  273.36       1949*      10/28        $3,960.00
               1902       10/18         $  325.54        1921       10/26      $   95.00       1950       10/28        $3,960.00
               1903       10/18         $  229.51        1922       10/26      $   20.16       1956*      10/29        $   48.50
               1904       10/18         $  120.89        1923       10/26      $  139.82       1958*      10/28        $   53.00
               1905       10/13         $3,324.24        1924       10/26      $  105.59       1959       10/28        $  172.12
               1907*      10/13         $  277.30        1925       10/26      $   98.43       1961*      10/26        $  945.83
               1908       10/14         $  300.94        1926       10/25      $   50.85       1962       10/26        $1,167.87
               1909       10/26         $   25.06        1927       10/26      $   55.57     629055*      10/04        $  580.98
               1910       10/20         $   41.50        1928       10/22      $  135.31     651155*      10/06        $1,304.56
               1911       10/29         $  900.83        1930*      10/26      $  203.84
               -----------------------------------------------------------------------------------------------------------------
               Total           (71 checks)                                                                            $44,778.XX
               * indicates gap in sequence
</TABLE>

<TABLE>
<CAPTION>
================================================================================================================================
Daily Balance

               Date                Balance        Date              Balance          Date             Balance
               ----------------------------       --------------------------         -------------------------
               <S>              <C>               <C>            <C>                 <C>           <C>
               10/01            $ 5,559.99        10/13          $ 7,376.08          10/25         $12,184.89
               10/04            $ 4,681.70        10/14          $ 6,524.30          10/26         $18,983.32
               10/05            $ 4,290.47        10/15          $10,106.46          10/27         $18,790.05
               10/06            $ 2,958.85        10/18          $ 8,002.96          10/28         $10,119.18
               10/07            $11,877.44        10/20          $14,729.64          10/29         $ 9,130.96
               10/08            $15,246.78        10/21          $14,676.75
               10/12            $11,777.45        10/22          $13,183.90
</TABLE>
<PAGE>

                          BREED AUTOMOTIVE WEST, INC.
                          BANK OF AMERICA #640057428
                                450 108550 0070
                                 October, 1999
<TABLE>
<S>                                                              <C>            <C>
Bank Statement Balance at 10/31/99                                              $   2,551.50
GL ending Balance as of September 30                                            $   1,138.25
                                                                                ------------
     Variance                                                                   $   1,413.25

Outstanding checks

Reconciling items:
cks paid by bank not recorded on books
     paid in July                                                ck 20012       $       4.00
     paid in July                                                 ck 20014      $       1.50
     Paid in August                                               ck 20013      $      76.50 to US Treasury for 941 pymt
     Paid in September                                           ck 20015       $     461.75 Payroll ck
Bank fees                                                        august         $       9.00
Wire fee of $15.00 and statement copy fee $10 - Sept             september      $      25.00
Bank maintenance fee                                             october        $       9.00

Deposit on bank not recorded on books                            Sept. 1        $  (2,000.00)
                                                                                ------------
     Unexplained variance                                                       $        -
                                                                                ============

Prepared by: Jerry Harper


Reviewed by:
            ------------------------------
</TABLE>

<PAGE>

Logo of Bank of America

     Bank of America, N.A.                        Account Reference Information
     P.O. Box 798                                 Account Number: 0006 4005 7428
     Wichita, KS 67201                            Tax ID Number: 15-6547016
                                                  E 0 0 C Enclosures 2        50
                                                  Statement Period
                                                  10/1/99 through 10/31/99





     BREED AUTOMOTIVE WEST INC
     639 ISBELL RD STE # 390
     RENO, NV 89509-4993


                                          Customer Service:
                                             Bank of America, N.A.
                                             P.O. Box 798
                                             Wichita, KS 67201
                                             Toll Free 1-888-BUSINESS (287-4637)


                                                                     Page 1 of 2
================================================================================
                           Business Economy Checking
================================================================================

                          Account Summary Information

Statement Period
          10/01/99 through 10/31/99    Statement Beginning Balance      3,484.00
Number of Deposits/Credits        0    Amount of Deposits/Credits           0.00
Number of Withdrawals/Debits      3    Amount of Withdrawals/Debits       932.50
Number of Deposited Items         0    Statement Ending Balance         2,551.50

Number of Enclosures              2     Average Ledger Balance          2,634.51
Number of Days in Cycle          31     Service Charge                      9.00


                            Withdrawals and Debits


Checks
================================================================================
Check             Date      Bank          Check           Date      Bank
Number   Amount   Posted    Reference     Number  Amount  Posted    Reference
================================================================================
20011    461.75   10/01  813002250529088  20015   461.75  10.06  813002350790551


Preceding check (or checks) is outstanding, is included in summary listing, or
has been included in a previous statement.


Other Debits
================================================================================
Date                                                             Bank
Posted              Amount         Description                   Reference
================================================================================
10/29               9.00           Monthly Maintenance Fee


                              Daily Lodger Balances

================================================================================
Date       Balance           Date        Balance        Date         Balance
================================================================================
10/01       3,022.25         10/06        2,560.50      10/29         2,551.50

<PAGE>


     LOGO OF BANK OF AMERICA

                                                  Account Reference Information
     Bank of America, N.A.                        Account Number: 0003 7017 937
     P.O. Box 798                                 Tax ID Number: 88-0404110
     Wichita, KS 67201                            E  0  0  C Enclosures 1
                                                  Statement Period
                                                  10/01/99 through 10/31/99

     BREED ELECTRONICS OF NEVADA
     639 ISBELL RD #390
     RENO NV 89509

                                          Customer Service:
                                            Bank of America, N.A.
                                            P.O. Box 798
                                            Wichita, KS 67201
                                            Toll Free 1-888-BUSINESS (287-4637)

                                                                         Page 1


================================================================================
                           Business Economy Checking
================================================================================

                          Account Summary Information

Statement Period  10/01/99 through 10/31/99   Statement Beginning Balance  3,863
Number of Deposits/Credits                0   Amount of Deposits/Credits       0
Number of Withdrawals/Debits              1   Amount of Withdrawals/Debits   461
Number of Deposited Items                 0   Statement Ending Balance     3,402

Number of Enclosures                      1   Average Ledger Balance       3,476
Number of Days in Cycle                  31   Service Charge                   0


                            Withdrawals and Debits

Checks
================================================================================
  Check               Date      Bank
  Number    Amount    Posted    Reference
================================================================================
   20014    461.75     10/06    813002350790552

                             Daily Ledger Balances

================================================================================
  Date      Balance   Date      Balance
================================================================================
  10/01     3,863.87  10/06     3,402.12

<PAGE>

HAMLIN, INCORPORATED                             Beginning Date: October 1, 1999
A BREED TECHNOLOGIES COMPANY                       Ending Date: October 31, 1999
BANK ONE 06-11001-500

October-99
BANK RECONCILIATION

                              Date       Per Bank                  Per G/L
                            --------   ------------              -----------
Ending Balances:
     020716585 (Main)       10/31/99    46,217.87/1/               45,357.56
     020716658 (P/R)        10/31/99          -
     030005454 (A/P)        10/31/99          -
     1012 (Sweep)           10/31/99          -

Outstanding Checks:
     Accounts Payable                         -
     Payroll                                  -

Deposits in Transit:

Adjustments:
W.T. Xerox - wrong bank     10/18/99                                  860.31


                                      -----------                -----------
Totals:                               $ 46,217.87                $ 46,217.87
                                      ===========                ===========

                                                     -----------
Unreconcilied Difference:                            $      -
                                                     ===========

/1/  Variance. The attached bank statement bank balance S/B $37,431 per
     Credit/Debt Definity for Oct.

<PAGE>

11/23/99                       ACCOUNT STATEMENT                          Page 1
                               -----------------
                                  HAMLIN INC.
                             10/01/99 - 10/31/1999

________________________________________________________________________________
Account Title: HAMLIN INC-MAIN                                          ID:    1
Number: 000000020716585

Opening Ledger Balance:     $105,765.12      Credits:      6         $95,316.57
Closing Ledger Balance:      $46,217.87      Debits:       5        $163,651.06
Calculated balance          $37,432.63
________________________________________________________________________________



Date         Amount  Tran Code                Bank Reference Customer Reference
________________________________________________________________________________
________________________________________________________________________________
________________________________________________________________________________
                             DEPOSITS and CREDITS
________________________________________________________________________________


Date         Amount  Tran Code                Bank Reference Customer Reference
________________________________________________________________________________
10/04/99  $1,796.64  INCOMING WIRE TRANSFER   1004000
10/13/99  $5,605.00  ACH CREDIT               2866824348
10/18/99   *$860.31  ACH CREDIT               2878117212
10/18/99  $5,174.70  INCOMING WIRE TRANSFER   1018000420
10/20/99    $764.09  ACH CREDIT               2918982807
10/21/99 $18,115.83  INCOMING WIRE TRANSFER   1021000843
________________________________________________________________________________
________________________________________________________________________________
                               CHECKS and DEBITS
________________________________________________________________________________


Date         Amount   Tran Code               Bank Reference Customer Reference
________________________________________________________________________________
10/01/99  $12,500.00  ACH DEBIT               2708978849
10/04/99     $349.78  ZBA DEBIT               0080000114            000020716658
10/20/99     $546.00  OUTGOING MONEY TRANSFER 1020500494
10/25/99 $150,000.00  ACH DEBIT               2951865542
10/25/99     $255.28  MISCELLANEOUS FEES
________________________________________________________________________________

* posted to Bank of America
  6J to reclass in 00-05
<PAGE>

Case Name: BREED TECHNOLOGIES, INC. ET AL.
Case Number: 99-03399MFW THRU 99-03415

                    PAYMENTS TO INSIDERS AND PROFESSIONALS

                                   INSIDERS
--------------------------------------------------------------------------------
See attached Listing of Insider Compensation and Schedule of Expense
Reimbursements

Transfers to Affiliated Debtor and Non-Debtor Listed in Cash Consolidation
Worksheets

                                 PROFESSIONALS
--------------------------------------------------------------------------------

None

                         ADEQUATE PROTECTION PAYMENTS
--------------------------------------------------------------------------------

Payments on behalf of DIP facility

         Date         Payee         Description of Payment           Amount
--------------------------------------------------------------------------------
      09/23/99    BankAmerica    DIP Fees                           3,765,000.00
      09/30/99    BankAmerica    Bank Fees                              2,296.68
      09/30/99    BankAmerica    DIP Base Rate                         32,945.21
      09/30/99    BankAmerica    DIP Unused Fees                       11,666.67
      10/06/99    BankAmerica    Bank Fees                                457.57
      10/29/99    BankAmerica    DIP Base Rate Interest               149,027.78
      10/29/99    BankAmerica    DIP Cash Collateral Interest         361,965.17
      10/27/99    BankAmerica    DIP LIBOR Interest                    74,083.33
      10/29/99    BankAmerica    DIP Unused Fee Interest               38,263.89

                                                                    ------------
                                                         TOTAL      4,435,706.30
                                                                    ------------
<PAGE>

BREED TECHNOLOGIES, INC.
Summary Insider Compensation

                                         Oct-99
   Employee             Salary       Commission      Car Allowance     Total

BILKEY, WILLIAM        15,386.00             -           858.48      16,244.48
BOYD, STUART           11,540.00             -           738.48      12,278.48
BREED, ALLEN                   -             -                -              -
BREED, JOHNNIE         35,108.00             -         1,846.16      36,954.16
BUHSMER, JOHN           9,553.86             -                -       9,553.86
CANNAVO, FRANK          7,692.32             -           646.16       8,338.48
COLBERT, GARY          11,538.46             -                -      11,538.46
DRAYER, LONNIE          9,894.24             -                -       9,894.24
ESQUER, NESTOR          7,333.19             -                -       7,333.19
FINCHER, ROBERT         9,648.00             -           738.48      10,386.48
FRIED, MICHAEL          9,807.70             -           461.54      10,269.24
GALLAGHER, JACK                -             -                -              -
GNISCI, FRANK                  -             -                -              -
GUPTILL, LIZANNE        6,862.13             -                -       6,862.13
HAYES, JAMES           10,576.93             -           738.48      11,315.41
LANE, WENDELL          14,999.80        930.00                -      15,929.80
LESNER, MARK            6,930.00             -                -       6,930.00
LINCKS, BERNARD         6,090.00             -                -       6,090.00
MARTELL, DETLEF                -             -                -              -
MERCER, EDWIN          11,666.44             -                -      11,666.44
PALOMINO, SALVADOR     11,344.00             -                -      11,344.00
PELLLERITO, MICHAEL            -             -                -              -
PETERS, MARK                   -             -                -              -
PHILLIPS, KOLA         11,670.00             -           858.48      12,528.48
RAPONE, ROBERT         11,539.00             -           507.70      12,046.70
SALTARELLI, ROBERT             -             -                -              -
SPERANZELLA, CHARLES   28,848.00             -         1,846.16      30,694.16
WEHNER, MARK           10,416.47             -           800.00      11,216.47
WHITE, CRAIG           14,678.00             -           738.48      15,416.48
WILSON, STEVE           7,307.70        603.93                -       7,911.63

                     -----------     ---------       ----------    -----------
TOTALS               $280,430.24     $1,533.93       $10,778.60    $292,742.77
                     -----------     ---------       ----------    -----------
<PAGE>

BREED TECHNOLOGIES, INC.
Listing of Payments to Insiders
Expense Reimbursements October, 1999

                                                   Oct-99
                                                   ------
                Negro, Alberto S.                   21,712.57
                Stuart D. Boyd                         211.37
                Frank A. Cannavo                     3,641.64
                Lonnie R. Drayer                        94.29
                Robert Fincher                          21.59
                Michael Freid                          315.44
                Lizanne Guptill                        341.28
                James W. Hayes                       1,206.68
                Ronald Humphreys                       274.38
                Kola Phillips                        9,559.54
                Charles J. Speranzella, Jr.         41,495.72*
                Craig W. White                       2,649.05
                                                  -----------
                TOTAL                               81,523.55
                                                  -----------

* Expense reimbursements for C.J. Speranzella is usually high due to use of his
credit card for corporate airfare purchases during a transition period in the
Company's corporate credit card program.
<PAGE>

Case Name: BREED TECHNOLOGIES, INC. ET AL.
Case Number: 99-03399MFW THRU 99-03415

<TABLE>
<CAPTION>
Questionnaire                                                                                      Yes         No
------------------------------------------------------------------------------------------------------------------------
<S>                                                                                                <C>         <C>
1.   Have assets been sold or transferred outside the normal course of business this                            X
     reporting period?
------------------------------------------------------------------------------------------------------------------------
2.   Have 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 period?         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 past due?                                                  X
------------------------------------------------------------------------------------------------------------------------
11.  Have any pre-petition taxes been paid during this 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.

Item 3. The Debtors conducts transactions through Intercompany accounts with its affiliated Debtors and Non-debtors.
------------------------------------------------------------------------------------------------------------------------
At various points in time, balances may due to/from these various affiliates.
------------------------------------------------------------------------------------------------------------------------
Item 4. Payments relating to certain pre-petition taxes and pre-petition employee benefits, pursuant to the 1st day
orders.
------------------------------------------------------------------------------------------------------------------------
Item 5. The Debtor borrowed $30,000,000 on the DIP facility as of 10/31/99. Additionally, the Debtor has incurred a
minor amount of debt in connection with its travel and procurement credit card program.
------------------------------------------------------------------------------------------------------------------------


Insurance                                                                                          Yes         No
------------------------------------------------------------------------------------------------------------------------
1.   Are worker's compensation, general liability and other necessary insurance coverage
     in effect?
------------------------------------------------------------------------------------------------------------------------
2.   Are all premium payments paid current?
------------------------------------------------------------------------------------------------------------------------
3.   Please itemize policies below.
------------------------------------------------------------------------------------------------------------------------

The Debtor supplied all insurance policy information in the First Day Package. Attached please find the Debtors most
recent summary schedule of insurance.
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                     BREED TECHNOLOGIES, INC.

                                       PROPERTY & CASUALTY INSURANCE PROGRAM POLICY REGISTER

                                                           1999 TO 2000

Coverage                     Insurer                  Bests' Rating  Policy No.   Term      Limits                    Deductible
------------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>                      <C>            <C>          <C>       <C>                       <C>
Global DIC/DIL               Insurance Co. of the      A++ XV        800263469    11/01/99- $2M General Liability     None
(Foreign Liability           State of Pennsylvania                                11/01/00  $1M Employers' Liability
                             (AIG)                                                          $1M Auto Liability

Workman's Compensation       American Home Assurance   A++ XV        WC8888103    11/01/99- $1M Each Accident/Disease None
                                                                     WC8888104    11/01/00

Commercial General Liability American Home Assurance   A++ XV        800263469    11/01/99  $2M EACH OCC /AGGR.       $10K/$100K
                                                                                  11/01/00  $2M Personal Inj          OCC/AGGR
                                                                                            $2M Advertising
                                                                                            $1M Fire
                                                                                            $10K Medical Exp
                                                                                            $1M/$3M EMPLOYEE BENIFIT

Auto Liability               National Union            A++ XV        RMCA 5347541 11/01/99  $1M BI                    None
                             (AIG)                                   RMCA 5347542 11/01/00  $10K Medical
                                                                                            $1M Uninsured
                                                                                            Stat PI

Aircraft Products            National Union            A++ XV        AP4793465-06 10/01/99- $15M Each Occurence       None
                             (AIG)                                                10/01/00  $15M Aggregate

Design E&O                   AIU                       A++ XV        BE9324598    11/01/98- Shared with Umbrella     $2M per Claim
                                                                                  11/01/00  Limit                    $2M Aggregate

3rd Party Impaired Prop      AIU                       A++ XV        BE9324598    11/01/98- $25M per Occurence       $3M Per Claim
                                                                                  11/01/00  $25M Aggregate           $10M Aggregate

Umbrella Liability           AIU                       A++ XV        BE9324598    11/01/97- $25M per Occurence       $2M per Claim
(including Products Recall                                                        11/01/00  $25M Aggregate           $2M Aggregate
& Design E&O)

Punitive Damages (Wrap       Normandy Reinsurance                    TBD          11/01/99- $25M excess $25M
Around Umbrella)                                                                  11/01/00  Per Occurence/Aggregate

Excess Liability             ASLIC                                                11/01/99- $25M excess $25M         None
                                                                                  11/01/00  Per Occurence/Aggregate

Excess Liability             Gerling Konzern           A VIII        U9M0035      11/01/99- $50M excess $50M         None
                                                                                  11/01/00  Per Occurence/Aggregate
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                     BREED TECHNOLOGIES, INC.
                                      PROPERTY & CASUALTY INSURANCE PROGRAM POLICY REGISTER
                                                           1999 TO 2000

 Coverage             Insurer                          Bests' Rating    Policy No.      Term        Limits
------------------------------------------------------------------------------------------------------------------------------------
<S>                   <C>                              <C>              <C>             <C>         <C>
Global Property       FM Global                        A++, 12p         JA987           11/01/99-   $1.6B Loss Limit
                                                                                        11/01/00    Subject to certain sublimits



Cargo                 Underwriters at                                   MC 1282 C       05/01/99    $2M Any Land Conveyance
                      Lloyds of London                                                  05/01/00    $2M Any One Vessel
                      through Donald J. Rojas, Inc.                                                 $2M Any Aircraft


Executive Protection  Federal Ins. Co.                 A++ XV           81320107B       09/01/97-   $3M Fiduciary Liability
                                                                                        09/01/99    $5M Fidelity ($10M as of 3/1/98)
                                                                                                    $5M Special Crime

Primary D & O         National Union                   A++ XV           4,862,399       09/01/97-   $20M Each Claim/Aggregate
                                                                                        09/01/2001  excess of retentions(s)

Excess D & O          Zurich Ins. Co.                  A+  XV           DOC 835745001   09/01/97-   $10M XS $20M
                                                                                        09/01/2001

Excess D & O          Reliance Ins. Co.                A-  XII          NDA0140547-97   09/01/97-   $10M XS $30M Primary
                                                                                        09/01/2001

Employment            National Union                   A++ XV           008571822       11/01/99    $25M
Practices                                                                               11/01/00

<CAPTION>
 Coverage                       Deductible
--------------------            ---------------------------
<S>                             <C>
Global Property                 General Deductibles:
                                $100,000 US/Mexico
                                $50,000 All Other
                                $250K Deductible Aggregate
                                $250K Deductible Maintenance

Cargo                           $5,000 Each Shipment




Executive Protection            $1,000 Indemnifiable Loss
                                $50,000 any Loss
                                $0

Primary D & O                   Retentions:
                                Individual Directors/Officers: $0
                                Corporate Liability: $250,000 Each Claim

Excess D & O                    Not Applicable


Excess D & O                    Not Applicable


Employment                      $250K SIR
Practices
</TABLE>

<PAGE>

Case Name: BREED TECHNOLOGIES, INC. ET AL.
Case Number: 99-03399MFW THRU 99-03415

                                   Personnel
--------------------------------------------------------------------------------
                                                                Full & Part Time
--------------------------------------------------------------------------------
1. Total Number of employees at beginning of period                  2,397
--------------------------------------------------------------------------------
2. Number of employees hired during the period                          43
--------------------------------------------------------------------------------
3. Number of employees terminated or resigned during the period        (59)
--------------------------------------------------------------------------------
4. Total number of employees on payroll at end of period             2,381
--------------------------------------------------------------------------------


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