<PAGE> 1
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, DC 20549
FORM 8-K
CURRENT REPORT PURSUANT
TO SECTION 13 OR 15(d) OF THE
SECURITIES EXCHANGE ACT OF 1934
Date of Report (Date of Earliest Event Reported): August 2, 1999
TRANSAMERICAN REFINING CORPORATION
(Exact name of registrant as specified in its charter)
TEXAS
-----
(State or other jurisdiction of incorporation)
33-85930 76-0229632
-------- ----------
(Commission File Number) (I.R.S. Employer
Identification No.)
1300 North Sam Houston Parkway East, Suite 320
Houston, Texas 77032
-------------------------------
(Address of principal executive offices, including zip code)
(281) 986-8811
--------------
(Registrant's telephone number, including area code)
<PAGE> 2
ITEM 1. CHANGES IN CONTROL OF REGISTRANT.
Not applicable.
ITEM 2. ACQUISITION OR DISPOSITION OF ASSETS.
Not applicable.
ITEM 3. BANKRUPTCY OR RECEIVERSHIP.
Not applicable.
ITEM 4. CHANGES IN REGISTRANT'S CERTIFYING ACCOUNTANT.
Not applicable.
ITEM 5. OTHER EVENTS.
On August 2, 1999, the Registrant filed its Monthly Operating
Report for the period ended June 30, 1999 with the U.S.
Bankruptcy Court for the Southern District of Texas, Corpus
Christi Division. A copy of the Monthly Operating Report is
being filed as an exhibit hereto.
ITEM 6. RESIGNATIONS OF REGISTRANT'S DIRECTORS.
Not applicable.
ITEM 7. FINANCIAL STATEMENTS AND EXHIBITS.
(a) Financial statements of businesses acquired:
Not applicable.
(b) Pro forma financial information:
Not applicable.
(c) Exhibits:
99.1 -- Monthly Operating Report for the period
ended June 30, 1999, as filed with the U.S.
Bankruptcy Court for the Southern District
of Texas, Corpus Christi Division.
ITEM 8. CHANGE IN FISCAL YEAR.
Not applicable.
ITEM 9. SALES OF EQUITY SECURITIES PURSUANT TO REGULATION S.
Not applicable.
2
<PAGE> 3
SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934,
the registrant has duly caused this report to be signed on its behalf by the
undersigned hereunto duly authorized.
TRANSAMERICAN REFINING CORPORATION
By: /s/ Ed Donahue
-------------------------------
Name: Ed Donahue
Title: Vice President
Dated: August 2, 1999
3
<PAGE> 4
INDEX TO EXHIBITS
<TABLE>
<CAPTION>
Exhibit
No. Description
- ------- -----------
<S> <C>
99.1 Monthly Operating Report for the period ended June 30, 1999,
as filed with the U.S. Bankruptcy Court for the Southern
District of Texas, Corpus Christi Division
</TABLE>
<PAGE> 1
EXHIBIT 99.1
UNITED STATES BANKRUPTCY COURT
SOUTHERN DISTRICT OF TEXAS
CORPUS CHRISTI DIVISION
CASE NAME: TRANSAMERICAN REFINING CORPORATION PETITION DATE: APRIL 20, 1999
CASE NUMBER: 99-21552-C-11
MONTHLY OPERATING REPORT SUMMARY FOR MONTH JUNE YEAR 1999
<TABLE>
<CAPTION>
====================================================================
MONTH 5/99 6/99
- --------------------------------------------------------------------
<S> <C> <C>
REVENUES (MOR-6) -- --
- --------------------------------------------------------------------
INCOME BEFORE INT, DEPREC./TAX (MOR-6) (458,319) (283,678)
- --------------------------------------------------------------------
NET INCOME (LOSS) (MOR-6) (16,353,751) (12,496,551)
- --------------------------------------------------------------------
PAYMENTS TO INSIDERS (MOR-9) -- --
- --------------------------------------------------------------------
PAYMENTS TO PROFESSIONALS (MOR-9) -- --
- --------------------------------------------------------------------
TOTAL DISBURSEMENTS (MOR-8) 8,014 43,467
====================================================================
</TABLE>
***The ORIGINAL of this document MUST BE FILED with the United States Bankruptcy
Court and a COPY MUST BE SENT to the United States Trustee***
No. of Policies expiring within 90 days: 0
---
<TABLE>
<CAPTION>
- -------------------------------------------------------
REQUIRED INSURANCE MAINTAINED
AS OF SIGNATURE DATE EXP.
*SEE ATTACHED SCHEDULE DATE
- ----------------------------- -----------
<S> <C> <C>
CASUALTY YES( X ) NO( ) * - -
--- --- ---
LIABILITY YES( X ) NO( ) * - -
--- --- ---
VEHICLE YES( X ) NO( ) * - -
--- --- ---
WORKER'S YES( X ) NO( ) * - -
--- --- ---
OTHER YES( ) NO( ) - -
-------------------- --- --- ---
- -------------------------------------------------------
</TABLE>
- -------------------------------------------------------
ATTORNEY NAME: Pete Holzer
----------------------------------------
FIRM: Jordan, Hyden, Womble & Culbreth, P.C.
-------------------------------------------------
ADDRESS: 500 N. Shoreline, Suite 900
----------------------------------------------
ADDRESS:
----------------------------------------------
CITY, STATE, ZIP: Corpus Christi, TX 78471
-------------------------------------
TELEPHONE:(361) 884-5678
---------------------------------------------
- -------------------------------------------------------
CHECK ONE
Are all accounts receivable being collected within terms? YES (X) NO ( )
Are all post-petition liabilities, including taxes, being paid within terms?
YES (X) NO ( )
Have any pre-petition liabilities been paid? YES ( ) NO (X) If so, describe
----
- --------------------------------------------------------------------------------
Are all funds received being deposited into DIP bank accounts? YES (X) NO ( )
Were any assets disposed of outside the normal course of business?
YES ( ) NO (X) If so, describe
--------------------------------------------------
Are all U. S. Trustee Quarterly Fee Payments current? YES (X) NO ( )
What is the status of your Plan of Reorganization? Plan filed July 16, 1999;
-----------------------------
First Amended Plan filed July 23, 1999
- --------------------------------------------------------------------------------
I certify under penalty of perjury that the following complete Monthly
Operating Report (MOR), consisting of MOR-1 through MOR-9 plus
attachments, is true and correct.
SIGNED /s/ ED DONAHUE
---------------------------------------------------------------
(ORIGINAL SIGNATURE)
TITLE VICE PRESIDENT
---------------------------------------------------------------
MOR-1
<PAGE> 2
CASE NAME: TRANSAMERICAN REFINING CORPORATION CASE NUMBER: 99-21552-C-11
COMPARATIVE BALANCE SHEETS
<TABLE>
<CAPTION>
====================================================================================================
FILING DATE* MONTH MONTH
ASSETS 4/20/99 5/99 6/99
- ----------------------------------------------------------------------------------------------------
<S> <C> <C> <C>
CURRENT ASSETS
- ----------------------------------------------------------------------------------------------------
CASH 16,207,124 16,122,286 16,141,516
- ----------------------------------------------------------------------------------------------------
ACCOUNTS RECEIVABLE, NET 335,785 335,785 335,785
- ----------------------------------------------------------------------------------------------------
INVENTORY: LOWER OF COST OR MARKET -- -- --
- ----------------------------------------------------------------------------------------------------
PREPAID EXPENSES (1) 768,722 456,667 228,334
- ----------------------------------------------------------------------------------------------------
INVESTMENTS -- -- --
- ----------------------------------------------------------------------------------------------------
OTHER -- -- --
- ----------------------------------------------------------------------------------------------------
TOTAL CURRENT ASSETS 17,311,631 16,914,738 16,705,635
====================================================================================================
PROPERTY, PLANT&EQUIP, @ COST -- -- --
- ----------------------------------------------------------------------------------------------------
LESS ACCUMULATED DEPRECIATION -- -- --
- ----------------------------------------------------------------------------------------------------
NET BOOK VALUE OF PP & E -- -- --
- ----------------------------------------------------------------------------------------------------
OTHER ASSETS:
- ----------------------------------------------------------------------------------------------------
1. TAX DEPOSITS -- -- --
- ----------------------------------------------------------------------------------------------------
2. INVESTMENTS IN SUBS 1,112,871,975 1,112,871,975 1,112,871,975
- ----------------------------------------------------------------------------------------------------
3. DUE FROM AFFILIATES 2,782,795 2,782,795 2,782,795
- ----------------------------------------------------------------------------------------------------
4. DEFERRED DEBT COSTS (2) 25,743,676 25,309,646 24,876,775
- ----------------------------------------------------------------------------------------------------
TOTAL ASSETS 1,158,710,077 1,157,879,154 1,157,237,180
====================================================================================================
</TABLE>
*Per Schedules and Statement of Affairs
MOR-2
<PAGE> 3
CASE NAME: TRANSAMERICAN REFINING CORPORATION CASE NUMBER: 99-21552-C-11
COMPARATIVE BALANCE SHEETS
<TABLE>
<CAPTION>
===========================================================================================================
LIABILITIES & OWNER'S FILING DATE* MONTH MONTH
EQUITY 4/20/99 5/99 6/99
- -----------------------------------------------------------------------------------------------------------
<S> <C> <C> <C>
LIABILITIES:
- -----------------------------------------------------------------------------------------------------------
POST-PETITION LIABILITIES (MOR-4) -- -- 6,554,099
- -----------------------------------------------------------------------------------------------------------
PRE-PETITION LIABILITIES:
- -----------------------------------------------------------------------------------------------------------
Notes Payable-Secured (3) 899,176,694 914,699,522 920,000,000
- -----------------------------------------------------------------------------------------------------------
Priority Debt -- -- --
- -----------------------------------------------------------------------------------------------------------
Federal Income Tax -- -- --
- -----------------------------------------------------------------------------------------------------------
FICA/Withholding -- -- --
- -----------------------------------------------------------------------------------------------------------
Unsecured Debt (4) 192,867,039 192,867,039 192,867,039
- -----------------------------------------------------------------------------------------------------------
Other 17,504,403 17,504,403 17,504,403
- -----------------------------------------------------------------------------------------------------------
TOTAL PRE-PETITION LIABILITIES 1,109,548,136 1,125,070,964 1,130,371,442
- -----------------------------------------------------------------------------------------------------------
TOTAL LIABILITIES 1,109,548,136 1,125,070,964 1,136,925,541
===========================================================================================================
OWNERS'S EQUITY (DEFICIT):
- -----------------------------------------------------------------------------------------------------------
PREFERRED STOCK -- -- --
- -----------------------------------------------------------------------------------------------------------
COMMON STOCK 300,000 300,000 300,000
- -----------------------------------------------------------------------------------------------------------
ADDITIONAL PAID-IN CAPITAL 597,023,521 597,023,521 597,023,521
- -----------------------------------------------------------------------------------------------------------
RETAINED EARNINGS: Filing Date (548,161,580) (548,161,580) (548,161,580)
- -----------------------------------------------------------------------------------------------------------
RETAINED EARNINGS: Post Filing Date -- (16,353,751) (28,850,302)
- -----------------------------------------------------------------------------------------------------------
TOTAL OWNER'S EQUITY (NET WORTH) 49,161,941 32,808,190 20,311,639
===========================================================================================================
TOTAL LIABILITIES & OWNER'S EQUITY 1,158,710,077 1,157,879,154 1,157,237,180
===========================================================================================================
</TABLE>
*Per Schedules and Statement of Affairs
MOR-3
<PAGE> 4
CASE NAME: TRANSAMERICAN REFINING CORPORATION CASE NUMBER: 99-21552-C-11
SCHEDULE OF POST-PETITION LIABILITIES
<TABLE>
<CAPTION>
MONTH MONTH
5/99 6/99
- ----------------------------------------------------------------------------
<S> <C> <C>
TRADE ACCOUNTS PAYABLE -- 11,877
- ----------------------------------------------------------------------------
TAX PAYABLE:
- ----------------------------------------------------------------------------
FEDERAL PAYROLL TAXES -- --
- ----------------------------------------------------------------------------
STATE PAYROLL & SALES -- --
- ----------------------------------------------------------------------------
AD VALOREM TAXES -- --
- ----------------------------------------------------------------------------
OTHER TAXES -- --
- ----------------------------------------------------------------------------
TOTAL TAXES PAYABLE -- --
- ----------------------------------------------------------------------------
SECURED DEBT POST-PETITION -- --
- ----------------------------------------------------------------------------
ACCRUED INTEREST PAYABLE -- 6,542,222
- ----------------------------------------------------------------------------
*ACCRUED PROFESSIONAL FEES: -- --
- ----------------------------------------------------------------------------
OTHER ACCRUED LIABILITIES:
- ----------------------------------------------------------------------------
1. -- --
- ----------------------------------------------------------------------------
2. -- --
- ----------------------------------------------------------------------------
3. -- --
- ----------------------------------------------------------------------------
TOTAL POST-PETITION LIABILITIES (MOR-3) -- 6,554,099
============================================================================
</TABLE>
*PAYMENT REQUIRES COURT APPROVAL.
MOR-4
<PAGE> 5
CASE NAME: TRANSAMERICAN REFINING CORPORATION CASE NUMBER: 99-21552-C-11
AGING OF POST-PETITION LIABILITIES
MONTH OF JUNE 1999
<TABLE>
<CAPTION>
===================================================================================================
DAYS TOTAL TRADE ACCTS FED TAXES STATE TAXES AD-VALOREM, OTHER
OTHER TAXES
===================================================================================================
<S> <C> <C> <C> <C> <C> <C>
0-30 6,554,099 11,877 6,542,222
- ---------------------------------------------------------------------------------------------------
31-60 -- --
- ---------------------------------------------------------------------------------------------------
61-90 -- --
- ---------------------------------------------------------------------------------------------------
91+ -- --
- ---------------------------------------------------------------------------------------------------
TOTAL 6,554,099 11,877 6,542,222
===================================================================================================
</TABLE>
AGING OF ACCOUNTS RECEIVABLE
<TABLE>
<CAPTION>
=========================================================================
MONTH 5/99 6/99
=========================================================================
<S> <C>
0-30 DAYS -- --
- -------------------------------------------------------------------------
31-60 DAYS 335,785 --
- -------------------------------------------------------------------------
61-90 DAYS -- 335,785
- -------------------------------------------------------------------------
91+ DAYS -- --
- -------------------------------------------------------------------------
TOTAL 335,785 335,785
=========================================================================
</TABLE>
MOR-5
<PAGE> 6
CASE NAME: TRANSAMERICAN REFINING CORPORATION CASE NUMBER: 99-21552-C-11
STATEMENT OF INCOME (LOSS)
<TABLE>
<CAPTION>
===============================================================================
MONTH 4/20/99 - FILING TO DATE
5/31/99 6/99
===============================================================================
<S> <C> <C> <C>
REVENUES (MOR-1) -- -- --
- -------------------------------------------------------------------------------
TOTAL COST OF REVENUES -- -- --
- -------------------------------------------------------------------------------
GROSS PROFIT -- -- --
===============================================================================
OPERATING EXPENSES:
- -------------------------------------------------------------------------------
Selling & Marketing -- -- --
- -------------------------------------------------------------------------------
General & Administrative 146,263 55,095 201,358
- -------------------------------------------------------------------------------
Insiders Compensation -- -- --
- -------------------------------------------------------------------------------
Professional Fees -- -- --
- -------------------------------------------------------------------------------
Other (attach list) -- -- --
- -------------------------------------------------------------------------------
Franchise Taxes 312,056 228,583 540,639
- -------------------------------------------------------------------------------
TOTAL OPERATING EXPENSES 458,319 283,678 741,997
===============================================================================
INCOME BEFORE INT, DEPR/TAX (MOR-1) (458,319) (283,678) (741,997)
- -------------------------------------------------------------------------------
INTEREST EXPENSE 15,956,858 12,275,570 28,232,428
- -------------------------------------------------------------------------------
DEPRECIATION -- -- --
- -------------------------------------------------------------------------------
OTHER (INCOME) EXPENSE* - INTEREST (61,426) (62,697) (124,123)
- -------------------------------------------------------------------------------
OTHER ITEMS** -- -- --
- -------------------------------------------------------------------------------
TOTAL INT, DEPR & OTHER ITEMS 15,895,432 12,212,873 28,108,305
===============================================================================
NET INCOME BEFORE TAXES (16,353,751) (12,496,551) (28,850,302)
- -------------------------------------------------------------------------------
FEDERAL INCOME TAXES -- -- --
===============================================================================
NET INCOME (LOSS) (MOR-1) (16,353,751) (12,496,551) (28,850,302)
===============================================================================
</TABLE>
Accrual Accounting Required, Otherwise Footnote With Explanation
* Footnote Mandatory
** Unusual and/or infrequent item(s) outside the ordinary course of business;
requires footnote
MOR-6
<PAGE> 7
CASE NAME: TRANSAMERICAN REFINING CORPORATION CASE NUMBER: 99-21552-C-11
<TABLE>
<CAPTION>
=====================================================================================================
CASH RECEIPTS AND DISBURSEMENTS MONTH MONTH FILING TO
5/99 6/99 DATE
- -----------------------------------------------------------------------------------------------------
<S> <C> <C>
1. CASH - BEGINNING OF MONTH 16,207,123 16,122,286 16,207,123
=====================================================================================================
RECEIPTS:
- -----------------------------------------------------------------------------------------------------
2. CASH SALES -- -- --
- -----------------------------------------------------------------------------------------------------
3. COLLECTION OF ACCOUNTS RECEIVABLE -- -- --
- -----------------------------------------------------------------------------------------------------
4. LOANS & ADVANCES (ATTACH LIST) -- -- --
- -----------------------------------------------------------------------------------------------------
5. SALE OF ASSETS -- -- --
- -----------------------------------------------------------------------------------------------------
6. OTHER (ATTACH LIST) - INTEREST INCOME 61,546 62,697 124,243
- -----------------------------------------------------------------------------------------------------
TOTAL RECEIPTS 61,546 62,697 124,243
- -----------------------------------------------------------------------------------------------------
(WITHDRAWAL)CONTRIBUTION BY INDIVIDUAL DEBTOR MFR-2* -- -- --
=====================================================================================================
DISBURSEMENTS:
- -----------------------------------------------------------------------------------------------------
7. NET PAYROLL -- -- --
- -----------------------------------------------------------------------------------------------------
8. PAYROLL TAXES PAID -- -- --
- -----------------------------------------------------------------------------------------------------
9. SALES, USE & OTHER TAXES PAID -- -- --
- -----------------------------------------------------------------------------------------------------
10. SECURED / RENTAL / LEASES -- -- --
- -----------------------------------------------------------------------------------------------------
11. UTILITIES -- -- --
- -----------------------------------------------------------------------------------------------------
12. INSURANCE -- -- --
- -----------------------------------------------------------------------------------------------------
13. INVENTORY PURCHASES -- -- --
- -----------------------------------------------------------------------------------------------------
14. VEHICLE EXPENSES -- -- --
- -----------------------------------------------------------------------------------------------------
15. TRAVEL & ENTERTAINMENT -- -- --
- -----------------------------------------------------------------------------------------------------
16. REPAIRS, MAINTENANCE & SUPPLIES -- -- --
- -----------------------------------------------------------------------------------------------------
17. ADMINISTRATIVE & SELLING 14 43,467 43,481
- -----------------------------------------------------------------------------------------------------
18. OTHER (ATTACH LIST) - RECONCILING ITEMS 138,369 -- 138,369
- -----------------------------------------------------------------------------------------------------
TOTAL DISBURSEMENTS FROM OPERATIONS 138,383 43,467 181,850
=====================================================================================================
19. PROFESSIONAL FEES 8,000 -- 8,000
- -----------------------------------------------------------------------------------------------------
20. U.S. TRUSTEE FEES -- -- --
- -----------------------------------------------------------------------------------------------------
21. OTHER REORGANIZATION EXPENSES (ATTACH LIST) -- -- --
- -----------------------------------------------------------------------------------------------------
TOTAL DISBURSEMENTS 8,000 43,467 189,850
=====================================================================================================
22. NET CASH FLOW (84,837) 19,230 (65,607)
- -----------------------------------------------------------------------------------------------------
23. CASH - END OF MONTH (MOR-2) 16,122,286 16,141,516 16,141,516
=====================================================================================================
</TABLE>
*Applies to Individual debtors only.
MOR-7
<PAGE> 8
CASE NAME: TRANSAMERICAN REFINING CORPORATION
CASE NUMBER: 99-21552-C-11
CASH ACCOUNT RECONCILIATION
MONTH OF JUNE 1999
<TABLE>
<CAPTION>
====================================================================================================================================
BANK NAME Firstar Firstar Firstar First Union
- ------------------------------------------------------------------------------------------------------------------------------------
ACCOUNT NUMBER 21-00-002-5031303 21-00-002-5031305 21-00-002-5031307 9572000081
- ------------------------------------------------------------------------------------------------------------------------------------
ACCOUNT TYPE Feedstock Disbursement Interest Accumulation Warrant Fractions Total This Page
- ------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
BANK BALANCE 1 -- -- 5,409 5,410
- ------------------------------------------------------------------------------------------------------------------------------------
DEPOSIT IN TRANSIT -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
OUTSTANDING CHECKS -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
ADJUSTED BANK BALANCE 1 -- -- 5,409 5,410
====================================================================================================================================
BEGINNING CASH - PER BOOKS 1 41,688 1,023 5,174 47,886
- ------------------------------------------------------------------------------------------------------------------------------------
RECEIPTS -- 152 4 235 391
- ------------------------------------------------------------------------------------------------------------------------------------
TRANSFERS BETWEEN ACCOUNTS -- (152) 152 -- --
- ------------------------------------------------------------------------------------------------------------------------------------
(WITHDRAWAL) CONTRIBUTION BY
INDIVIDUAL DEBTOR MFR-2 -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
CHECKS/OTHER DISBURSEMENTS -- (41,688) (1,179) -- (42,867)
- ------------------------------------------------------------------------------------------------------------------------------------
ENDING CASH - PER BOOKS 1 -- -- 5,409 5,410
====================================================================================================================================
</TABLE>
MOR-8A
<PAGE> 9
CASE NAME: TRANSAMERICAN REFINING CORPORATION
CASE NUMBER: 99-21552-C-11
CASH ACCOUNT RECONCILIATION
MONTH OF JUNE 1999
<TABLE>
<CAPTION>
====================================================================================================================================
BANK NAME First Union First Union First Union First Union
- ------------------------------------------------------------------------------------------------------------------------------------
ACCOUNT NUMBER 9572831237 9572831479 9576000402 9576000411
- ------------------------------------------------------------------------------------------------------------------------------------
ACCOUNT TYPE Escrowed Interest Escrowed Interest Collateral Defeasance Trust Total This Page
- ------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
BANK BALANCE 14,119,147 2,015,527 28 428 16,135,130
- ------------------------------------------------------------------------------------------------------------------------------------
DEPOSIT IN TRANSIT -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
OUTSTANDING CHECKS -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
ADJUSTED BANK BALANCE 14,119,147 2,015,527 28 428 16,135,130
====================================================================================================================================
BEGINNING CASH - PER BOOKS 14,064,912 2,007,699 28 428 16,073,067
- ------------------------------------------------------------------------------------------------------------------------------------
RECEIPTS 54,235 7,828 -- -- 62,063
- ------------------------------------------------------------------------------------------------------------------------------------
TRANSFERS BETWEEN ACCOUNTS -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
(WITHDRAWAL) CONTRIBUTION BY
INDIVIDUAL DEBTOR MFR-2 -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
CHECKS/OTHER DISBURSEMENTS -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
ENDING CASH - PER BOOKS 14,119,147 2,015,527 28 428 16,135,130
====================================================================================================================================
</TABLE>
MOR-8B
<PAGE> 10
CASE NAME: TRANSAMERICAN REFINING CORPORATION
CASE NUMBER: 99-21552-C-11
CASH ACCOUNT RECONCILIATION
MONTH OF JUNE 1999
<TABLE>
<CAPTION>
====================================================================================================================================
BANK NAME First Union First Union Fleet Fleet
- ------------------------------------------------------------------------------------------------------------------------------------
ACCOUNT NUMBER 9576000395 9576830694 0001665170 007697-5341
- ------------------------------------------------------------------------------------------------------------------------------------
ACCOUNT TYPE Defeasance Trust Collateral Money Market Operating Total This Page
- ------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
BANK BALANCE 21,506 3,773 27,126 -- 52,405
- ------------------------------------------------------------------------------------------------------------------------------------
DEPOSIT IN TRANSIT -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
OUTSTANDING CHECKS -- -- -- (138,369) (138,369)
- ------------------------------------------------------------------------------------------------------------------------------------
ADJUSTED BANK BALANCE 21,506 3,773 27,126 (138,369) (85,964)
====================================================================================================================================
BEGINNING CASH - PER BOOKS 21,421 3,759 27,023 (138,369) (86,166)
- ------------------------------------------------------------------------------------------------------------------------------------
RECEIPTS 85 14 103 -- 202
- ------------------------------------------------------------------------------------------------------------------------------------
TRANSFERS BETWEEN ACCOUNTS -- -- -- 560 560
- ------------------------------------------------------------------------------------------------------------------------------------
(WITHDRAWAL) CONTRIBUTION BY INDIVIDUAL DEBTOR
MFR-2 -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
CHECKS/OTHER DISBURSEMENTS -- -- -- (560) (560)
- ------------------------------------------------------------------------------------------------------------------------------------
ENDING CASH - PER BOOKS 21,506 3,773 27,126 (138,369) (85,964)
====================================================================================================================================
</TABLE>
MOR-8C
<PAGE> 11
CASE NAME: TRANSAMERICAN REFINING CORPORATION
CASE NUMBER: 99-21552-C-11
CASH ACCOUNT RECONCILIATION
MONTH OF JUNE 1999
<TABLE>
<CAPTION>
====================================================================================================================================
BANK NAME Fleet Fleet Fleet Hibernia
- ------------------------------------------------------------------------------------------------------------------------------------
ACCOUNT NUMBER 935728-5230 936480-8298 941584-6439 9001112341
- ------------------------------------------------------------------------------------------------------------------------------------
ACCOUNT TYPE Master Savings Product Imprest Total This Page
- ------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
BANK BALANCE 6,667 81,430 -- (2) 88,095
- ------------------------------------------------------------------------------------------------------------------------------------
DEPOSIT IN TRANSIT -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
OUTSTANDING CHECKS -- -- -- (910) (910)
- ------------------------------------------------------------------------------------------------------------------------------------
ADJUSTED BANK BALANCE 6,667 81,430 -- (912) 87,185
====================================================================================================================================
BEGINNING CASH - PER BOOKS 7,227 1,770 29,666 3,520 42,183
- ------------------------------------------------------------------------------------------------------------------------------------
RECEIPTS -- 41 -- -- 41
- ------------------------------------------------------------------------------------------------------------------------------------
TRANSFERS BETWEEN ACCOUNTS (560) 79,645 (29,666) (4,418) (45,001)
- ------------------------------------------------------------------------------------------------------------------------------------
(WITHDRAWAL) CONTRIBUTION BY
INDIVIDUAL DEBTOR MFR-2 -- -- -- -- --
- ------------------------------------------------------------------------------------------------------------------------------------
CHECKS/OTHER DISBURSEMENTS -- (26) -- (14) (40)
- ------------------------------------------------------------------------------------------------------------------------------------
ENDING CASH - PER BOOKS 6,667 81,430 -- (912) 87,185
====================================================================================================================================
</TABLE>
MOR-8D
<PAGE> 12
CASE NAME: TRANSAMERICAN REFINING CORPORATION
CASE NUMBER: 99-21552-C-11
CASH ACCOUNT RECONCILIATION
MONTH OF JUNE 1999
<TABLE>
<CAPTION>
===================================================================================================================================
BANK NAME Sterling
- -----------------------------------------------------------------------------------------------------------------------------------
ACCOUNT NUMBER 0130002216
- -----------------------------------------------------------------------------------------------------------------------------------
ACCOUNT TYPE Payroll Total This Page Total All Pages
- -----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
BANK BALANCE -- -- 16,281,040
- -----------------------------------------------------------------------------------------------------------------------------------
DEPOSIT IN TRANSIT -- -- --
- -----------------------------------------------------------------------------------------------------------------------------------
OUTSTANDING CHECKS (245) (245) (139,524)
- -----------------------------------------------------------------------------------------------------------------------------------
ADJUSTED BANK BALANCE (245) -- -- (245) 16,141,516
====================================================================================================================================
BEGINNING CASH - PER BOOKS 45,316 45,316 16,122,286
- -----------------------------------------------------------------------------------------------------------------------------------
RECEIPTS -- -- 62,697
- -----------------------------------------------------------------------------------------------------------------------------------
TRANSFERS BETWEEN ACCOUNTS (45,561) (45,561) --
- -----------------------------------------------------------------------------------------------------------------------------------
(WITHDRAWAL) CONTRIBUTION BY
INDIVIDUAL DEBTOR MFR-2 -- -- --
- -----------------------------------------------------------------------------------------------------------------------------------
CHECKS/OTHER DISBURSEMENTS -- -- (43,467)
- -----------------------------------------------------------------------------------------------------------------------------------
ENDING CASH - PER BOOKS (245) -- -- (245) 16,141,516
===================================================================================================================================
</TABLE>
MOR-8E
<PAGE> 13
CASE NAME: TRANSAMERICAN REFINING CORPORATION CASE NUMBER: 99-21552 C-11
PAYMENTS TO INSIDERS AND PROFESSIONALS
Of the total disbursements shown for the month, list the amount paid to insiders
(as defined in Section 101(31)(A)-(F) of the U. S. Bankruptcy Code) and the
professionals. Also, for insiders identify the type of compensation paid (e.g.,
salary, commission, bonus, etc.) (Attach additional pages as necessary.)
<TABLE>
<CAPTION>
================================================================================
MONTH MONTH
INSIDERS: NAME/POSITION/COMP TYPE 5/99 6/99
================================================================================
<S> <C>
1. NONE
- --------------------------------------------------------------------------------
2.
- --------------------------------------------------------------------------------
3.
- --------------------------------------------------------------------------------
4.
- --------------------------------------------------------------------------------
5.
- --------------------------------------------------------------------------------
6.
- --------------------------------------------------------------------------------
TOTAL INSIDERS (MOR-1) -- --
================================================================================
</TABLE>
<TABLE>
<CAPTION>
================================================================================
PROFESSIONALS MONTH MONTH
NAME/ORDER DATE 5/99 6/99
================================================================================
<S> <C>
1. NONE
- --------------------------------------------------------------------------------
2.
- --------------------------------------------------------------------------------
3.
- --------------------------------------------------------------------------------
4.
- --------------------------------------------------------------------------------
5.
- --------------------------------------------------------------------------------
6.
- --------------------------------------------------------------------------------
TOTAL PROFESSIONALS (MOR-1) -- --
================================================================================
</TABLE>
MOR-9
<PAGE> 14
TRANSAMERICAN REFINING CORPORATION
99-21552-C-11
NOTES TO MONTHLY OPERATING REPORT
JUNE 1999
1. Unamortized franchise taxes are classified as "Prepaid Expenses" in the
Company's MOR.
2. Unamortized debt issue costs are classified as "Other Assets" in the
Company's MOR.
3. The balance of the Company's secured note payable to TransAmerican Energy
Corporation was reflected in its Schedules at the fully accreted balance of
$920.0 million. The balance of this note payable is reflected in the
Company's MOR at its accreted balance under the caption "Notes
Payable-Secured."
4. The balance of the Company's subordinated notes was reflected in its
Schedules at their fully accreted balance of $200.0 million. The balance of
these notes are reflected in the Company's MOR at their accreted balance as
of the petition date.
<PAGE> 15
CASE NAME: TRANSAMERICAN REFINING CORPORATION
CASE NUMBER: 99-21552-C-11
PETITION DATE: APRIL 20, 1999
INSURANCE MAINTAINED
JUNE 30, 1999
<TABLE>
<CAPTION>
EXPIRATION
TYPE OF INSURANCE DATE
- ---------------------------------------------------- ---------------------
CASUALTY AND LIABILITY
----------------------
<S> <C>
Automobile Liability (Texas) May 01, 2000
Workers' Compensation and Employer's Liability May 01, 2000
Maritime Employer's Liability May 24, 2000
Primary General Liability January 01, 2000
Excess Liability January 01, 2000
Commercial Crime February 01, 2000
Directors and Officers Liability March 23, 2000
Directors and Officers Excess March 23, 2000
</TABLE>