FOCUS SURGERY INC
8-K, 1997-11-18
ELECTROMEDICAL & ELECTROTHERAPEUTIC APPARATUS
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<PAGE>

                          SECURITIES AND EXCHANGE COMMISSION

                                Washington, D.C. 20549


                                     -----------

                                      FORM 8 - K

                                    CURRENT REPORT

                       Pursuant to Section 13  or 15(d) of the

                         Securities and Exchange Act of 1934

Date of Report (Date of earliest event reported)      SEPTEMBER 30, 1997
                                                 -------------------------

                                 FOCUS SURGERY, INC.
- --------------------------------------------------------------------------------
                  (Exact name of registrant as specified in charter)

         DELAWARE                   0-22136               77-0332937
- --------------------------------------------------------------------------------
(State or other jurisdiction  (Commission File Number)   (IRS Employer
    of incorporation)                                 Identification No.)

    113 TYNAN WAY, PORTOLA VALLEY, CA                           94028
- --------------------------------------------------------------------------------
(Address of principal executive offices)                     (Zip Code)

Registrant's telephone number, including area code    (415) 529-0730
                                                   ----------------------------

                                         N/A
- --------------------------------------------------------------------------------
            (Former name or former address, if changed since last report.)

<PAGE>

Item 3.  Bankruptcy or Receivership

    On February 9, 1996, the Registrant filed for protection under Chapter 11
of the federal bankruptcy laws in the United States Bankruptcy Court, Northern
District of California, Oakland division pursuant to which the Registrant's
existing directors and officers will continue in possession but subject to the
supervision and orders of the bankruptcy court.

    The Company is currently reviewing the claims of its various creditors.  It
is unclear at this time whether there will be any funds available for
distribution to shareholders. Once this information has been determined, the
Company may file a plan of reorganization with the bankruptcy court.

Item 7. Financial Statements and Exhibits

Exhibit No.   Description

99.20         Summary of Financial Status of the Registrant for the month ended
              September 1997, as filed with the United States Bankruptcy Court,
              Northern District of California, Oakland division.


<PAGE>


                                      SIGNATURES

    Pursuant to the requirements of the Securities and Exchange Act of 1934,
the registrant has duly caused this report to be signed on its behalf by the
undersigned hereunto duly authorized.

                                       Focus Surgery, Inc.
                                  ------------------------------
                                            (Registrant)


Date:  November 18, 1997          By:       /s/ RICK REDETT
                                       -------------------------
                                  Name:     Rick Redett
                                  Title:    President and Chief Executive
                                            Officer

<PAGE>

                        UNITED STATES BANKRUPTCY COURT
                        NORTHERN DISTRICT OF CALIFORNIA



IN RE:  FOCUS SURGERY, INC., DEBTOR .    |           CASE NO.  96-41107-N
                                         |
EMPLOYER'S TAX IDENTIFICATION            |           CHAPTER 11
NO.:     77-0332937                      |           MONTHLY OPERATING REPORT
                                         |           (GENERAL BUSINESS CASE)
                                         |
- -----------------------------------------

                         SUMMARY OF FINANCIAL STATUS

MONTH ENDED        SEP-97
               ---------------

1.  Debtor in possession (or trustee) hereby submits this Monthly Operating 
    Report on the Accrual Basis of accounting (or if checked here ___ the 
    Office of the U.S. Trustee or the Court has approved the Cash Basis of 
    Accounting for the Debtor).  Dollars reported in ($  _____).

                                             End of        End of        As of
                                            Current        Prior        Petition
2.  ASSET/Liability Summary                  Month         Month         Filing
                                             -----         -----         ------
    CURRENT ASSETS (MARKET VALUE)           $500,834      $500,439      $502,204
                                            --------      --------    ----------
    TOTAL ASSETS (MARKET VALUE)             $500,834      $500,439    $2,152,204
                                            --------      --------    ----------
    CURRENT LIABILITIES                      $77,248       $72,385 
                                            --------      --------    ----------
    TOTAL LIABILITIES                       $427,248      $422,385      $831,829
                                            --------      --------    ----------

                                                                      Petition
3.  Statement of Cash Receipts &             Current        Prior      Date to
      Disbursements for Month                 Month         Month     Month End
                                              -----         -----     ---------
    a.  TOTAL RECEIPTS                          $273        $1,437    $1,475,893
                                            --------      --------    ----------
    b.  TOTAL DISBURSEMENTS                     $878        $2,962    $1,017,632
                                            --------      --------    ----------
    c.  EXCESS (DEFICIENCY) OF RECEIPTS 
         OVER DISBURSEMENTS (a - b)            ($605)      ($1,525)     $458,261
                                            --------      --------    ----------
    d.  CASH BALANCE BEGINNING OF MONTH     $478,439      $479,964 
                                            --------      -------- 
    e.  CASH BALANCE END OF MONTH (c + d)   $477,834      $478,439 
                                            --------      -------- 
                                            --------      -------- 

4.  Post-petition Liabilities & 
     Receivables                           Receivables               Liabilities
                                           -----------               -----------
    BALANCE AT END OF PREVIOUS MONTH                                     $72,385
                                            --------                  ----------
    BALANCE AT END OF CURRENT MONTH                                      $77,248
                                            --------                  ----------

5.  Past Due Post-petition Liabilities
    BALANCE AT END OF PREVIOUS MONTH 
      (OVER 30 DAYS)                                                     $23,760
                                                                      ----------
    BALANCE AT END OF CURRENT MONTH 
      (OVER 30 DAYS)                                                     $23,760
                                                                      ----------

                                                            Yes           No
6.  ARE ALL FEDERAL, STATE, AND LOCAL TAXES                 ---           --
    CURRENT? (IF NO, ATTACH SCHEDULE OF
    UNPAID ITEMS)                                            X
                                                          --------    ----------
7.  HAVE ANY PAYMENTS BEEN MADE TO PRE-PETITION 
    CREDITORS, OTHER THAN PAYMENTS IN THE NORMAL 
    COURSE TO SECURED CREDITORS OR LESSORS? (IF YES, 
    ATTACH LISTING INCLUDING DATE OF PAYMENT, AMOUNT 
    OF PAYMENT AND NAME OF PAYEE)                                          X
                                                          --------    ----------
8.  HAVE ANY PAYMENTS BEEN MADE TO OFFICERS, 
    INSIDERS, SHAREHOLDERS, RELATIVES? (IF YES, 
    ATTACH LISTING INCLUDING DATE OF PAYMENT, AMOUNT 
    AND REASON FOR PAYMENT, AND NAME OF PAYEE)                             X
                                                          --------    ----------
9.  HAVE ANY PAYMENTS BEEN MADE TO PROFESSIONALS?  
    (IF YES, ATTACH LISTING INCLUDING DATE OF 
    PAYMENT, AMOUNT OF PAYMENT AND NAME OF PAYEE)                          X
                                                          --------    ----------
10. IF YOU ANSWERED YES TO LINE 7,8, OR 9, WERE ALL 
    SUCH PAYMENTS APPROVED BY THE COURT?
                                                          --------    ----------

11. IS THE ESTATE INSURED FOR REPLACEMENT COST OF 
    ASSETS AND FOR GENERAL LIABILITY?                                      X
                                                          --------    ----------
12. ARE U.S. TRUSTEE QUARTERLY FEES CURRENT?                 X
                                                          --------    ----------

    I DECLARE UNDER PENALTY OF PERJURY THAT I HAVE REVIEWED THE ABOVE SUMMARY 
    AND ATTACHED FINANCIAL STATEMENTS, AND AFTER MAKING REASONABLE INQUIRY 
    BELIEVE THAT THESE DOCUMENTS ARE CORRECT.

    DATE:     NOVEMBER 10, 1997                       /S/  RICK REDETT
         -------------------------               -----------------------------
                                                      RESPONSIBLE INDIVIDUAL

<PAGE>

                                BALANCE SHEET

                           (General Business Case)

                   FOR THE MONTH ENDED        SEP-97 
                                           -----------

                                  ($____)

    Assets


                                                 From Schedules   Market Value
                                                 --------------   ------------
    Current Assets
1      CASH AND CASH EQUIVALENTS - UNRESTRICTED                     $477,834 
                                                                  ------------
2      CASH AND CASH EQUIVALENTS - RESTRICTED                 
                                                                  ------------
3      ACCOUNTS RECEIVABLE (NET)                        A            $19,000 
                                                                  ------------
4      INVENTORY                                        B                 $0 
                                                                  ------------
5      PREPAID EXPENSES                                               $3,000 
                                                                  ------------
6      OTHER:  INTEREST RECEIVABLE                                    $1,000 
             ----------------------------------------             ------------
7      
       ----------------------------------------------             ------------
8           Total Current Assets                                    $500,834 
                                                                  ------------


    Property and Equipment (Market Value)
9      REAL PROPERTY                                    C                 $0 
                                                                  ------------
10     MACHINERY AND EQUIPMENT                          D                 $0 
                                                                  ------------
11     FURNITURE AND FIXTURES                           D                 $0 
                                                                  ------------
12     OFFICE EQUIPMENT                                 D                 $0 
                                                                  ------------
13     LEASEHOLD IMPROVEMENTS                           D                 $0 
                                                                  ------------
14     VEHICLES                                         D                 $0 
                                                                  ------------
15     OTHER:                                           D
             ----------------------------------------             ------------
16                                                      D
       ----------------------------------------------             ------------
17                                                      D
       ----------------------------------------------             ------------
18                                                      D
       ----------------------------------------------             ------------
19                                                      D
       ----------------------------------------------             ------------

20          Total Property and Equipment                                  $0 
                                                                  ------------

    Other Assets
21     PATENTS, COPYRIGHTS, AND OTHER INTELLECTUAL PROPERTY               $0 
       ----------------------------------------------             ------------
22     ALL TECHNOLOGY SOLD TO TAKAI HOSPITAL IN JULY 1996.
       ----------------------------------------------             ------------
23
       ----------------------------------------------             ------------
24
       ----------------------------------------------             ------------

25          Total Other Assets                                            $0 
                                                                  ------------

26          Total Assets                                            $500,834 
                                                                  ------------
                                                                  ------------



    NOTE: INDICATE THE METHOD USED TO ESTIMATE THE MARKET VALUE OF ASSETS (E.G.,
          APPRAISALS; FAMILIARITY WITH COMPARABLE MARKET PRICES, ETC.) AND 
          THE DATE THE VALUE WAS DETERMINED.
                                            -----------------------------------
          ---------------------------------------------------------------------
          ---------------------------------------------------------------------
          ---------------------------------------------------------------------
          ---------------------------------------------------------------------
          ---------------------------------------------------------------------


<PAGE>

                          LIABILITIES AND EQUITY

                         (General Business Case)

                                  ($____)


    Liabilities                                  From Schedules
      Post-petition                              --------------

        Current Liabilities
27        SALARIES AND WAGES
                                                                  ------------
28        PAYROLL TAXES
                                                                  ------------
29        REAL AND PERSONAL PROPERTY TAXES
                                                                  ------------
30        INCOME TAXES
                                                                  ------------
31        NOTES PAYABLE (SHORT TERM)
                                                                  ------------
32        ACCOUNTS PAYABLE (TRADE)                      A            $25,010 
                                                                  ------------
33        REAL PROPERTY LEASE ARREARAGE
                                                                  ------------
34        PERSONAL PROPERTY LEASE ARREARAGE
                                                                  ------------
35        ACCRUED PROFESSIONAL FEES                                  $51,438 
                                                                  ------------
36        CURRENT PORTION OF LONG-TERM DEBT
           (DUE WITHIN 12 MONTHS)
                                                                  ------------
37        OTHER:    OTHER ACCRUALS                                      $800 
                  ----------------------------                    ------------
38
            --------------------------------                      ------------
39
            --------------------------------                      ------------

40        Total Current Liabilities                                  $77,248 
                                                                  ------------

41      Long-Term Debt, Net of Current Portion
                                                                  ------------

42        Total Post-Petition Liabilities                            $77,248 
                                                                  ------------

    PRE-PETITION LIABILITIES (ALLOWED AMOUNT)
43        Secured claims                                   E
                                                                  ------------
44        PRIORITY UNSECURED CLAIMS                        E              $0 
                                                                  ------------
45        GENERAL UNSECURED CLAIMS                         E        $350,000 
                                                                  ------------

46        Total Pre-petition Liabilities                            $350,000 
                                                                  ------------

47        Total Liabilities                                         $427,248 
                                                                  ------------

    Equity (Deficit)

48
          --------------------------------                        ------------
49
          --------------------------------                        ------------
50
          --------------------------------                        ------------
51
          --------------------------------                        ------------
52     MARKET VALUE ADJUSTMENT
53        Total Equity (Deficit)                                     $73,586 


54        Total Liabilities and Equity (Deficit)                    $500,834 
                                                                  ------------


<PAGE>

<TABLE>
<CAPTION>
                                      SCHEDULES
                               (General Business Case)
                                        ($___)

                                      Schedule A
                           Accounts Receivable(Net)/Payable

                                                    Accounts       Accounts Payable        Past Due
RECEIVABLES AND PAYABLES AGEINGS                   Receivable      [Post Petition]    Post Petition Debt
                                                   ----------     ---------------    ------------------
<S><C><C><C>
    0 -30 DAYS                                              $0            $1,250
                                                 --------------    --------------  --
    31-60 DAYS                                              $0                $0     |             
                                                 --------------    --------------    |
    61-90 DAYS                                              $0                       |          $23,760 
                                                 --------------    --------------    | ----------------
    91+ DAYS                                           $19,000           $23,760     |             
                                                 --------------    --------------    |
    TOTAL ACCOUNTS RECEIVABLE/PAYABLE                  $19,000           $25,010     |             
                                                 --------------    --------------  --
    ALLOWANCE FOR DOUBTFUL ACCOUNTS
                                                 --------------
    ACCOUNTS RECEIVABLE (NET)                         $19,000 
                                                 --------------




                                      Schedule B
                             Inventory/Cost of Goods Sold


types and amount of inventory(ies)                  cost of goods sold
- ----------------------------------                  -------------------
                                    inventory(ies)  INVENTORY BEGINNING OF MONTH
                                     balance at                                                     --------------
                                    end of month     ADD -                                          --------------
                                   ---------------
RETAIL/RESTAURANTS -                                       NET PURCHASES                            
                                                                                                    --------------
   PRODUCT FOR RESALE                                      DIRECT LABOR                             
                                   --------------                                                   --------------
                                                           MANUFACTURING OVERHEAD                                         
                                                                                                    --------------
DISTRIBUTION -                                             FREIGHT IN                               
                                                                                                    --------------
   PRODUCT FOR RESALE                                      OTHER:
                                   --------------          
                                                           --------------                           --------------
MANUFACTURER -                                             --------------                           --------------
   RAW MATERIALS                              $0 
                                   --------------
   WORK-IN-PROGRESS                           $0    LESS -
                                   --------------
   FINISHED GOODS                             $0           INVENTORY END OF MONTH
                                   --------------                                                   --------------
                                                           SHRINKAGE
                                                                                                    --------------
OTHER -                                                    PERSONAL USE
                                   --------------                                                   --------------
   EXPLAIN 
           ------------------
   --------------------------                       COST OF GOODS SOLD                                         $0 
                                                                                                    --------------
                                                                                                    --------------
       TOTAL                                  $0 
                                   --------------
                                   --------------



method of inventory control                                 inventory valuation methods
- ---------------------------                                ---------------------------
DO YOU HAVE A FUNCTIONING PERPETUAL INVENTORY SYSTEM?       INDICATE BY A
CHECKMARK METHOD OF INVENTORY VALUATION USED.
                  YES  X     NO
                      ---       ---
HOW OFTEN DO YOU TAKE A COMPLETE PHYSICAL INVENTORY?        VALUATION METHODS - 
                                                                FIFO COST               X
                                                                                    ----------
    WEEKLY                                                 LIFO COST
                             ---                                                    ----------
    MONTHLY                                                LOWER OF COST OR
                            ---
    QUARTERLY                                                 MARKET                    X
                            ---                                                     ----------
    SEMI-ANNUALLY                                          RETAIL METHOD
                            ---                                                     ----------
    ANNUALLY                 X
                            ---
                                                           OTHER - 
                                                                                    ----------
DATE OF LAST PHYSICAL INVENTORY WAS           12/31/94        EXPLAIN
                                          -----------------

- ---------------------------------                                      -----------------------
DATE OF NEXT PHYSICAL INVENTORY IS          NOT SCHEDULED
                                          -----------------                         
- ---------------------------------                                      -----------------------

</TABLE>


<PAGE>

<TABLE>
<CAPTION>

                                      Schedule C
                                    Real Property

description                                                                                 cost               market value
- -----------                                                                                 ----               ------------
<S><C><C>
- ----------------------------------------------------------------------------              ---------------    ---------------

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

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

- ----------------------------------------------------------------------------               ---------------   ---------------
   TOTAL                                                                                               $0                $0 
                                                                                           ---------------   ---------------
                                                                                           ---------------   ---------------
                                      Schedule D
                               Other Depreciable Assets

DESCRIPTION                                                                                      COST          MARKET VALUE
- -----------                                                                                      ----          ------------

machinery & equipment -
SEE LISTING ATTACHED TO ORIGINAL PETITION FILING - ALL EQUIPMENT SOLD TO                               $0                $0
- ----------------------------------------------------------------------------               ---------------   ---------------
   TAKAI HOSPITAL IN JULY 1996.
- ----------------------------------------------------------------------------               ---------------   ---------------

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

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

   total                                                                                               $0                $0
                                                                                           ---------------   ---------------
                                                                                           ---------------   ---------------
furniture & fixtures -
                                                                                                                         $0
- ----------------------------------------------------------------------------               ---------------   ---------------

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

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

- ----------------------------------------------------------------------------               ---------------   ---------------
   total                                                                                               $0                $0
                                                                                           ---------------   ---------------
                                                                                           ---------------   ---------------
office equipment -
SEE LISTING ATTACHED TO ORIGINAL PETITION FILING - ALL EQUIPMENT SOLD TO
- ----------------------------------------------------------------------------               ---------------   ---------------
TAKAI HOSPITAL IN JULY 1996.
- ----------------------------------------------------------------------------               ---------------   ---------------

- ----------------------------------------------------------------------------               ---------------   ---------------
   total                                                                                               $0                $0
                                                                                           ---------------   ---------------
                                                                                           ---------------   ---------------

leasehold improvements -
NONE - THE COMPANY DOES NOT CURRENTLY LEASE FACILITIES                                                                   $0 
- ----------------------------------------------------------------------------               ---------------   ---------------

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

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

- ----------------------------------------------------------------------------               ---------------   ---------------
   total                                                                                               $0                $0 
                                                                                           ---------------   ---------------
                                                                                           ---------------   ---------------

vehicles -
NONE
- ----------------------------------------------------------------------------               ---------------   ---------------

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

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

- ----------------------------------------------------------------------------               ---------------   ---------------
   total                                                                                               $0                $0
                                                                                           ---------------   ---------------
                                                                                           ---------------   ---------------


                                                                  SCHEDULE E
                                                           Pre-Petition Liabilities
                                                                                               CLAIMED              ALLOWED
  list total claims for each classification -                                                   amount            amount  (b)
- ---------------------------------------------------                                        --------------       ---------------
    SECURED CLAIMS  (A)                                                                          $115,778 
                                                                                           ---------------      ---------------
    PRIORITY CLAIMS OTHER THAN TAXES                                                                   $0 
                                                                                           ---------------      ---------------
    PRIORITY TAX CLAIMS                                                                                $0 
                                                                                           ---------------      ---------------
    GENERAL UNSECURED CLAIMS                                                                     $586,534             $350,000 
                                                                                           ---------------      ---------------

</TABLE>

    (A)  LIST TOTAL AMOUNT OF CLAIMS EVEN IF UNDER SECURED.

    (B)  ESTIMATED AMOUNT OF CLAIM TO BE ALLOWED AFTER COMPROMISE OR
         LITIGATION.  AS AN EXAMPLE, YOU ARE A DEFENDANT IN A LAWSUIT ALLEGING
         DAMAGE OF $10,000,000 AND A PROOF OF CLAIM IS FILED IN THAT AMOUNT. 
         YOU BELIEVE THAT YOU CAN SETTLE THE CASE FOR A CLAIM OF $3,000,000. 
         FOR SCHEDULE E REPORTING PURPOSES YOU SHOULD LIST $10,000,000 AS THE
         CLAIMED AMOUNT AND $3,000,000 AS THE ALLOWED AMOUNT.


<PAGE>


                                         STATEMENT OF OPERATIONS
                                         (General Business Case)

                                      FOR THE MONTH ENDED    SEP-97
                                                         ------------
                                             $
                                               -----------
<TABLE>
<CAPTION>

         current month
- --------------------------------------                                                  cumulative           next month
  actual     forecast    variance                                                   (case to date)           forecast 
  ------     --------    --------                                                     ------------           -------- 
<S><C><C>
                                         REVENUES
       $0                       $0     1    GROSS SALES
- ----------  ---------   -----------                                                    ----------            ----------
       $0                       $0     2    LESS: SALES RETURNS & ALLOWANCES
- ----------  ---------   -----------                                                    ----------            ----------
       $0         $0            $0     3    NET SALES                                                               $0 
- ----------  ---------   -----------                                                    ----------            ----------
       $0                       $0     4    LESS: COST OF GOODS SOLD    (SCHEDULE 'B')
- ----------  ---------   -----------                                                    ----------            ----------
       $0         $0            $0     5    GROSS PROFIT                                                            $0 
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     6    INTEREST
- ----------  ---------   -----------                                                    ----------            ----------
                                       7    OTHER INCOME:
                                $0     8    OTHER INCOME                                    $565 
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     9
- ----------  ---------   -----------                                                    ----------            ----------

       $0           $0          $0     10     total revenues                                $565                    $0 
- ----------  ---------   -----------                                                    ----------            ----------


                                          expenses
                                $0     11   COMPENSATION TO OWNER(S)/OFFICER(S)
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     12   SALARIES/COMMISSIONS
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     13   MANAGEMENT FEES
- ----------  ---------   -----------                                                    ----------            ----------
                  $0            $0     14   DEPRECIATION                                $368,860                    $0 
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     15   TAXES:
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     16      EMPLOYER PAYROLL TAXES
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     17      REAL PROPERTY TAXES
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     18      OTHER TAXES
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     19   OTHER SELLING
- ----------  ---------   -----------                                                    ----------            ----------
     $785       $800           $15     20   OTHER ADMINISTRATIVE                         $37,320                  $800 
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     21   INTEREST
- ----------  ---------   -----------                                                    ----------            ----------
                                       22   OTHER EXPENSES:
            ---------                                                                  ----------            ----------
                                $0     23   WRITEDOWN OF RECEIVABLES AND OTHER          $252,406 
- ----------  ---------   -----------         ---------------------------------------    ----------            ----------
                                $0     24
- ----------  ---------   -----------         ---------------------------------------    ----------            ----------
                                $0     25
- ----------  ---------   -----------         ---------------------------------------    ----------            ----------
                                $0     26
- ----------  ---------   -----------         ---------------------------------------    ----------            ----------
                                $0     27
- ----------  ---------   -----------         ---------------------------------------    ----------            ----------
                                $0     28
- ----------  ---------   -----------         ---------------------------------------    ----------            ----------
                                $0     29
- ----------  ---------   -----------         ---------------------------------------    ----------            ----------
                                $0     30
- ----------  ---------   -----------         ---------------------------------------    ----------            ----------

     $785       $800           $15     31     total expenses                            $658,586                  $800 
- ----------  ---------   -----------                                                    ----------            ----------

   ($785)       ($800)         $15     32 subtotal                                     ($658,021)                ($800)
- ----------  ---------   -----------                                                    ----------            ----------

                                          reorganization items
   $5,257       $3,700    ($1,557)     33   PROFESSIONAL FEES                           $236,511                $3,700 
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     34   PROVISIONS FOR REJECTED EXECUTORY CONTRACTS
- ----------  ---------   -----------                                                    ----------            ----------
                                            INTEREST EARNED ON ACCUMULATED CASH
 ($1,273)     ($1,500)      ($227)     35   RESULTING FROM CHP 11 CASE                   (21,419)              ($1,500)
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     36   LOSS FROM SALE OF EQUIPMENT, INVENTORY 
                                            AND PATENTS                                 $450,000 
- ----------  ---------   -----------                                                    ----------            ----------
     $500       $500            $0     37   MISCELLANEOUS                                $16,702 
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     38   SETTLEMENTS                                 $662,500 
- ----------  ---------   -----------                                                    ----------            ----------

   $4,484     $2,700       ($1,784)    39   total reorganization items                $1,344,294                $2,200 
- ----------  ---------   -----------                                                    ----------            ----------

  ($5,269)   ($3,500)      ($1,769)    40   net profit (loss) before federal & state 
                                            taxes                                    ($2,002,315)              ($3,000)
- ----------  ---------   -----------                                                    ----------            ----------
                                $0     41   FEDERAL & STATE INCOME TAXES
- ----------  ---------   -----------                                                    ----------            ----------

 ($5,269)     ($3,500)    ($1,769)     42   net profit (loss)                        ($2,002,315)            ($3,000)
- ----------  ---------   -----------                                                    ----------            ----------
- ----------  ---------   -----------                                                    ----------            ----------

</TABLE>
 

explanation of variance to statement of operations
(for variances greater than +/- 10% only)

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

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

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

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

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


<PAGE>

                      SUMMARY OF CASH RECEIPTS AND DISBURSEMENTS
                               (GENERAL BUSINESS CASE)

                   FOR THE MONTH ENDED      SEP-97
                                       ----------------





CASH BALANCE BEGINNING OF MONTH                                      $478,439 
                                                                --------------
                                                                --------------
cash receipts  (1)                                                       $273 
                                                                --------------
cash disbursements  (1)                                                  $878 
                                                                --------------
excess (deficiency) of receipts over disbursements                      ($605)
                                                                --------------
cash balance end of month                                            $477,834 
                                                                --------------
                                                                --------------






RECAPITULATION OF FUNDS HELD AT END OF MONTH
- ---------------------------------------------

<TABLE>
<CAPTION>

                                   account 1                account 2                account 3
                                   ---------                ---------                ---------
<S><C>
bank                         SILICON VALLEY BANK          MERRILL LYNCH             TRUST ACCT -
                             --------------------     --------------------     --------------------
account type                       CHECKING                 CHECKING              MURRAY & MURRAY
                             --------------------     --------------------     --------------------
account no.                       3300023699                233-07K66
                             --------------------     --------------------     --------------------
account purpose             GENERAL OPERATING ACCT.        INVESTMENT
                             --------------------     --------------------     --------------------
balance, end of month                     $1,587                      $71                 $355,392 
                             --------------------     --------------------     --------------------


                                   account 4                account 5                account 6
                                   ---------                ---------                ---------

bank                         SILICON VALLEY BANK
                             --------------------     --------------------     --------------------
account type                       CHECKING
                             --------------------     --------------------     --------------------
account no.                       3300023699 
                             --------------------     --------------------     --------------------
account purpose                  MONEY MARKET
                             --------------------     --------------------     --------------------
balance, end of month                   $120,783 
                             --------------------     --------------------     --------------------


total funds on hand for all 
accounts                                $477,834 
                             --------------------
                             --------------------

</TABLE>







(1)  EXCLUDING BANK TRANSFERS BETWEEN YOUR ACCOUNTS.


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