TRANSAMERICAN ENERGY CORP
8-K, 1999-09-01
PETROLEUM REFINING
Previous: TRANSAMERICAN REFINING CORP, 8-K, 1999-09-01
Next: SEPARATE ACCOUNT OF USAA LIFE INSURANCE CO, N-30D, 1999-09-01



<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): September 1, 1999


                        TRANSAMERICAN ENERGY CORPORATION
                        --------------------------------
             (Exact name of registrant as specified in its charter)


                                    DELAWARE
                                    --------
                 (State or other jurisdiction of incorporation)


        33-85930                                       76-0441642
        --------                                       ----------
(Commission File Number)                            (I.R.S. Employer
                                                   Identification No.)


                 1300 North Sam Houston Parkway East, Suite 200
                              Houston, Texas 77032
                 ----------------------------------------------
          (Address of principal executive offices, including zip code)


                                 (281) 986-8822
                                 --------------
              (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 September 1, 1999, the Registrant filed its Monthly
                   Operating Report for the period ended July 31, 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 July 31, 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 ENERGY CORPORATION


                                   By:       /s/ Ed Donahue
                                      -----------------------------
                                   Name:     Ed Donahue
                                   Title:    Vice President


Dated:  September 1, 1999

                                       3

<PAGE>   4


                                    EXHIBITS


<TABLE>
<CAPTION>
Exhibit
Number            Description
- ------            -----------

<S>               <C>
99.1              Monthly Operating Report for the period ended July 31, 1999, as filed with the U.S.
                  Bankruptcy Court for the Southern District of Texas, Corpus Christi Division
</TABLE>


                                       4


<PAGE>   1
                                                                  EXHIBIT 99.1

                         UNITED STATES BANKRUPTCY COURT
                           SOUTHERN DISTRICT OF TEXAS
                            CORPUS CHRISTI DIVISION


CASE NAME:  TRANSAMERICAN ENERGY CORPORATION      PETITION DATE: APRIL 20, 1999

                                                  CASE NUMBER:  99-21551-C-11

MONTHLY OPERATING REPORT SUMMARY FOR MONTH JULY YEAR 1999
<TABLE>
<CAPTION>
=============================================================================================================
                           MONTH                                   5/99           6/99             7/99
- -------------------------------------------------------------------------------------------------------------
<S>                                                             <C>            <C>                 <C>
REVENUES  (MOR-6)                                                   --             --                --
- -------------------------------------------------------------------------------------------------------------
INCOME BEFORE INT, DEPREC./TAX (MOR-6)                           (28,294)        (4,581)         (56,719)
- -------------------------------------------------------------------------------------------------------------
NET INCOME (LOSS) (MOR-6)                                       (136,686)      (250,375)        (270,320)
- -------------------------------------------------------------------------------------------------------------
PAYMENTS TO INSIDERS  (MOR-9)                                        --             --               --
- -------------------------------------------------------------------------------------------------------------
PAYMENTS TO PROFESSIONALS (MOR-9)                                    --             --               --
- -------------------------------------------------------------------------------------------------------------
TOTAL DISBURSEMENTS (MOR-8)                                          --             976            1,272
=============================================================================================================
</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***

<TABLE>
<CAPTION>
No. of Policies expiring within 90 days: 0
- -------------------------------------------------------------------------------
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 of Liquidation filed
on July 16, 1999; First Amended Plan filed on July 23, 1999; Disclosure
Statement filed on August 13, 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 ENERGY CORPORATION        CASE NUMBER: 99-21551-C-11


                           COMPARATIVE BALANCE SHEETS
<TABLE>
<CAPTION>
==================================================================================================================
ASSETS                                              FILING DATE*            MONTH          MONTH             MONTH
                                                      4/20/99                5/99           6/99              7/99
<S>                                             <C>                  <C>             <C>               <C>
- ------------------------------------------------------------------------------------------------------------------
CURRENT ASSETS
- ------------------------------------------------------------------------------------------------------------------
  Cash                                                 39,442               39,556         38,681           37,521
- ------------------------------------------------------------------------------------------------------------------
  Accounts Receivable, Net                                 --                   --             --
- ------------------------------------------------------------------------------------------------------------------
  Inventory: Lower of Cost or Market                       --                   --             --
- ------------------------------------------------------------------------------------------------------------------
  Prepaid Expenses                                     10,812                   --             --
- ------------------------------------------------------------------------------------------------------------------
   Investments                                             --                   --             --
- ------------------------------------------------------------------------------------------------------------------
   Other -  Accrued Interest                       23,192,495           29,601,981     40,768,940       57,778,099
- ------------------------------------------------------------------------------------------------------------------
 TOTAL CURRENT ASSETS                              23,242,749           29,641,537     40,807,621       57,815,620
==================================================================================================================
 PROPERTY, PLANT&EQUIP, @ COST                             --                   --             --
- ------------------------------------------------------------------------------------------------------------------
 Less Accumulated Depreciation                             --                   --             --
- ------------------------------------------------------------------------------------------------------------------
 NET BOOK VALUE OF PP & E                                  --                   --             --
- ------------------------------------------------------------------------------------------------------------------
 OTHER ASSETS:
- ------------------------------------------------------------------------------------------------------------------
   1.  Tax Deposits                                        --                   --             --
- ------------------------------------------------------------------------------------------------------------------
   2.  Investments in Subs(1)                     467,112,579          467,112,579    467,112,579      467,112,579
- ------------------------------------------------------------------------------------------------------------------
   3.  Notes Receivable(2)                      1,399,176,694        1,414,699,5221 1,420,000,000    1,420,000,000
- ------------------------------------------------------------------------------------------------------------------
   4.  Deferred Debt Costs                          4,950,550            4,839,952      4,729,520        4,596,283
- ------------------------------------------------------------------------------------------------------------------
       TOTAL ASSETS                             1,894,482,572        1,916,293,590  1,932,649,720    1,949,524,482
==================================================================================================================
</TABLE>

                    *Per Schedules and Statement of Affairs


MOR-2
<PAGE>   3
 CASE NAME: TRANSAMERICAN ENERGY CORPORATION         CASE NUMBER: 99-21551-C-11


                           COMPARATIVE BALANCE SHEETS
<TABLE>
<CAPTION>
==================================================================================================================
LIABILITIES & OWNER'S                          FILING DATE*               MONTH          MONTH           MONTH
EQUITY                                           4/20/99                  5/99           6/99             7/99
- ------------------------------------------------------------------------------------------------------------------
<S>                                            <C>                    <C>            <C>               <C>
 LIABILITIES:
- ------------------------------------------------------------------------------------------------------------------
     POST-PETITION LIABILITIES (MOR-4)                    --              6,221,180     17,461,230      34,557,310
==================================================================================================================
     PRE-PETITION LIABILITIES:
- ------------------------------------------------------------------------------------------------------------------
       Notes Payable-Secured                   1,583,926,661          1,599,635,877  1,605,000,000   1,605,000,000
- ------------------------------------------------------------------------------------------------------------------
       Priority Debt                                      --                     --             --              --
- ------------------------------------------------------------------------------------------------------------------
       Federal Income Tax                                 --                     --             --              --
- ------------------------------------------------------------------------------------------------------------------
       FICA/Withholding                                   --                     --             --              --
- ------------------------------------------------------------------------------------------------------------------
       Unsecured Debt                              3,427,771              3,445,079      3,447,411       3,496,413
- ------------------------------------------------------------------------------------------------------------------
       Other - Accrued Interest                   18,967,014             18,967,014     18,967,014      18,967,014
- ------------------------------------------------------------------------------------------------------------------
   TOTAL PRE-PETITION LIABILITIES              1,606,321,446          1,622,047,970  1,627,414,425   1,627,463,427
- ------------------------------------------------------------------------------------------------------------------
TOTAL LIABILITIES                              1,606,321,446          1,628,269,150  1,644,875,655   1,662,020,737
==================================================================================================================
 OWNERS'S EQUITY (DEFICIT):
- ------------------------------------------------------------------------------------------------------------------
 PREFERRED STOCK                                          --                     --             --              --
- ------------------------------------------------------------------------------------------------------------------
 COMMON STOCK                                             90                     90             90              90
- ------------------------------------------------------------------------------------------------------------------
 ADDITIONAL PAID-IN CAPITAL                      289,333,898            289,333,898    289,333,898     289,333,898
- ------------------------------------------------------------------------------------------------------------------
 RETAINED EARNINGS: Filing Date                   (1,172,862)            (1,172,862)    (1,172,862)     (1,172,862)
- ------------------------------------------------------------------------------------------------------------------
 RETAINED EARNINGS: Post Filing Date                      --               (136,686)      (387,061)       (657,381)
- ------------------------------------------------------------------------------------------------------------------
 TOTAL OWNER'S EQUITY (NET WORTH)                288,161,126            288,024,440    287,774,065     287,503,745
==================================================================================================================
 TOTAL LIABILITIES &
 OWNER'S EQUITY                                1,894,482,572          1,916,293,590  1,932,649,720   1,949,524,482
==================================================================================================================
</TABLE>

                    *Per Schedules and Statement of Affairs


MOR-3
<PAGE>   4


 CASE NAME:  TRANSAMERICAN ENERGY CORPORATION        CASE NUMBER: 99-21551-C-11


                     SCHEDULE OF POST-PETITION LIABILITIES
<TABLE>
<CAPTION>
=======================================================================================
                                                   MONTH       MONTH       MONTH
                                                   5/99        6/99         7/99
                                                  <C>         <C>         <C>
- ---------------------------------------------------------------------------------------
  TRADE ACCOUNTS PAYABLE                             --       1,272         7,717
- ---------------------------------------------------------------------------------------
  TAX PAYABLE:
- ---------------------------------------------------------------------------------------
  FEDERAL PAYROLL TAXES                              --          --            --
- ---------------------------------------------------------------------------------------
    STATE PAYROLL & SALES                            --          --            --
- ---------------------------------------------------------------------------------------
    AD VALOREM TAXES                                 --          --            --
- ---------------------------------------------------------------------------------------
    OTHER TAXES                                      --          --            --
- ---------------------------------------------------------------------------------------
  TOTAL TAXES PAYABLE                                --          --            --
- ---------------------------------------------------------------------------------------
  SECURED DEBT POST-PETITION                         --          --            --
- ---------------------------------------------------------------------------------------
  ACCRUED INTEREST PAYABLE                    6,221,180   17,459,958   34,549,593
- ---------------------------------------------------------------------------------------
 *ACCRUED PROFESSIONAL FEES:                         --          --            --
- ---------------------------------------------------------------------------------------
  OTHER ACCRUED LIABILITIES:                         --          --            --
- ---------------------------------------------------------------------------------------
    1.                                               --          --            --
- ---------------------------------------------------------------------------------------
    2.                                               --          --            --
- ---------------------------------------------------------------------------------------
    3.                                               --          --            --
- ---------------------------------------------------------------------------------------
 TOTAL POST-PETITION LIABILITIES (MOR-3)      6,221,180  17,461,230    34,557,310
=======================================================================================
</TABLE>

   * Payment Requires Court Approval.


MOR-4
<PAGE>   5
 CASE NAME: TRANSAMERICAN ENERGY CORPORATION         CASE NUMBER: 99-21551-C-11


                       AGING OF POST-PETITION LIABILITIES
                                MONTH JULY 1999

<TABLE>
<CAPTION>
 DAYS             TOTAL        TRADE ACCTS     FED TAXES      STATE TAXES     AD-VALOREM,      OTHER
                                                                              OTHER TAXES
=====================================================================================================
<S>           <C>                 <C>                                                     <C>
0-30           17,097,352          7,717                                                   17,089,635
- -----------------------------------------------------------------------------------------------------
31-60          11,238,778                                                                  11,238,778
- -----------------------------------------------------------------------------------------------------
61-90           6,221,180                                                                   6,221,180
- -----------------------------------------------------------------------------------------------------
91 +
- -----------------------------------------------------------------------------------------------------
TOTAL          34,557,310          7,717                                                   34,549,593
=====================================================================================================
</TABLE>

                          AGING OF ACCOUNTS RECEIVABLE

<TABLE>
<CAPTION>
  MONTH                    MAY 1999   JUNE 1999   JULY 1999
===============================================================================
<S>                        <C>
0-30 DAYS                     --          --           --
- -------------------------------------------------------------------------------
31-60 DAYS                    --          --           --
- -------------------------------------------------------------------------------
61-90 DAYS                    --          --           --
- -------------------------------------------------------------------------------
91 + DAYS                     --          --           --
- -------------------------------------------------------------------------------
TOTAL                         --          --           --
===============================================================================
</TABLE>


MOR-5
<PAGE>   6


 CASE NAME:  TRANSAMERICAN ENERGY CORPORATION        CASE NUMBER: 99-21551-C-11


                           STATEMENT OF INCOME (LOSS)
<TABLE>
<CAPTION>
===========================================================================================================
              MONTH                             4/20/99-                                     FILING TO
                                                5/31/99          6/99          7/99            DATE
===========================================================================================================
<S>                                         <C>                 <C>           <C>         <C>
 REVENUES (MOR-1)                                    --            --            --                --
- -----------------------------------------------------------------------------------------------------------
 TOTAL COST OF REVENUES                              --            --            --                --
- -----------------------------------------------------------------------------------------------------------
 GROSS PROFIT                                        --            --            --                --
===========================================================================================================
 OPERATING EXPENSES:
- -----------------------------------------------------------------------------------------------------------
       Selling & Marketing                           --            --            --                --
- -----------------------------------------------------------------------------------------------------------
       General & Administrative                  17,482         4,581        56,719            78,782
- -----------------------------------------------------------------------------------------------------------
       Insiders Compensation                         --            --            --                --
- -----------------------------------------------------------------------------------------------------------
       Professional Fees                             --            --            --                --
- -----------------------------------------------------------------------------------------------------------
       Other (attach list)                           --            --            --                --
- -----------------------------------------------------------------------------------------------------------
       Franchise Taxes                           10,812            --            --            10,812
- -----------------------------------------------------------------------------------------------------------
 TOTAL OPERATING EXPENSES                        28,294         4,581        56,719            89,594
===========================================================================================================
 INCOME BEFORE INT, DEPR/TAX (MOR-1)            (28,294)       (4,581)      (56,719)          (89,594)
- -----------------------------------------------------------------------------------------------------------
 INTEREST EXPENSE                            22,040,995    16,713,332    17,222,872        55,977,199
- -----------------------------------------------------------------------------------------------------------
 DEPRECIATION                                        --            --            --                --
- -----------------------------------------------------------------------------------------------------------
 OTHER (INCOME) EXPENSE* INTEREST           (21,932,603)  (16,467,538   (17,009,271)      (55,409,412)
- -----------------------------------------------------------------------------------------------------------
 OTHER ITEMS**                                       --            --            --                --
- -----------------------------------------------------------------------------------------------------------
 TOTAL INT, DEPR & OTHER ITEMS                  108,392       245,794       213,601           567,787
===========================================================================================================
 NET INCOME BEFORE TAXES                       (136,686)     (250,375)     (270,320)         (657,381)
- -----------------------------------------------------------------------------------------------------------
 FEDERAL INCOME TAXES                                --            --            --                --
- -----------------------------------------------------------------------------------------------------------
 NET INCOME (LOSS)  (MOR-1)                    (136,686)     (250,375)     (270,320)         (657,381)
===========================================================================================================
</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 ENERGY CORPORATION         CASE NUMBER: 99-21551-C-11


<TABLE>
<CAPTION>
==============================================================================================================
CASH RECEIPTS AND                                            MONTH         MONTH        MONTH        FILING TO
DISBURSEMENTS                                                 5/99          6/99        7/99           DATE
- --------------------------------------------------------------------------------------------------------------
<S>                                                          <C>           <C>         <C>          <C>
  1. CASH - BEGINNING OF MONTH                               39,442        39,556       38,681          39,442
==============================================================================================================
 RECEIPTS:
- --------------------------------------------------------------------------------------------------------------
  2. CASH SALES                                                  --            --           --             --
- --------------------------------------------------------------------------------------------------------------
  3. COLLECTION OF ACCOUNTS RECEIVABLE                           --            --            --            --
- --------------------------------------------------------------------------------------------------------------
  4. LOANS & ADVANCES (ATTACH LIST)                              --            --            --            --
- --------------------------------------------------------------------------------------------------------------
  5. SALE OF ASSETS                                              --            --            --            --
- --------------------------------------------------------------------------------------------------------------
  6. OTHER (ATTACH LIST) - INTEREST INCOME                      114           101           112            327
- --------------------------------------------------------------------------------------------------------------
 TOTAL RECEIPTS                                                 114           101           112            327
- --------------------------------------------------------------------------------------------------------------
 (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                                    --           976           1,272        2,248
- --------------------------------------------------------------------------------------------------------------
 18. OTHER (ATTACH LIST)                                         --            --            --             --
- --------------------------------------------------------------------------------------------------------------
 TOTAL DISBURSEMENTS FROM OPERATIONS                             --           976           1,272        2,248
==============================================================================================================
 19. PROFESSIONAL FEES                                           --            --            --             --
- --------------------------------------------------------------------------------------------------------------
 20. U.S. TRUSTEE FEES(4)                                        --            --            --             --
- --------------------------------------------------------------------------------------------------------------
 21. OTHER REORGANIZATION EXPENSES (ATTACH LIST)                 --            --            --             --
- --------------------------------------------------------------------------------------------------------------
 TOTAL DISBURSEMENTS                                             --           976           1,272        2,248
==============================================================================================================
 22. NET CASH FLOW                                              114          (875)         (1,160)      (1,921)
- --------------------------------------------------------------------------------------------------------------
 23. CASH - END OF MONTH (MOR-2)                             39,556        38,681          37,521       37,521
==============================================================================================================
</TABLE>

                      *Applies to Individual debtors only.


MOR-7
<PAGE>   8

 CASE NAME: TRANSAMERICAN ENERGY CORPORATION         CASE NUMBER: 99-21551-C-11



                          CASH ACCOUNT RECONCILIATION
                               MONTH OF JULY 1999
<TABLE>
<CAPTION>
====================================================================================
BANK NAME                       FIRSTAR           FLEET       STERLING
- ------------------------------------------------------------------------------------
ACCOUNT NUMBER              #21-00-002-5031306  #   --       #0130002224
- ------------------------------------------------------------------------------------
ACCOUNT TYPE                    INTEREST        SHORT-TERM
                              ACCUMULATION      INVESTMENTS   CHECKING        TOTAL
- ------------------------------------------------------------------------------------
<S>                         <C>                 <C>          <C>             <C>
 BANK BALANCE                       --            37,971           --        37,971
- ------------------------------------------------------------------------------------
 DEPOSIT IN TRANSIT                 --                --           --            --
- ------------------------------------------------------------------------------------
 OUTSTANDING CHECKS                 --                --         (450)         (450)
- ------------------------------------------------------------------------------------
 ADJUSTED BANK BALANCE              --            37,971         (450)       37,521
====================================================================================
 BEGINNING CASH - PER BOOKS         --            39,131         (450)       38,681
- ------------------------------------------------------------------------------------
 RECEIPTS                           --               112           --           112
- ------------------------------------------------------------------------------------
 TRANSFERS BETWEEN ACCOUNTS         --                --           --            --
- ------------------------------------------------------------------------------------
 (WITHDRAWAL)CONTRIBUTION-          --                --           --            --
 BY INDIVIDUAL DEBTOR MFR-2
- ------------------------------------------------------------------------------------
 CHECKS/OTHER DISBURSEMENTS         --            (1,272)          --        (1,272)
- ------------------------------------------------------------------------------------
 ENDING CASH - PER BOOKS            --            37,971         (450)       37,521
====================================================================================
</TABLE>


MOR-8
<PAGE>   9


 CASE NAME: TRANSAMERICAN ENERGY CORPORATION         CASE NUMBER: 99-21551-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.)
===============================================================================
                                               MONTH       MONTH      MONTH
   INSIDERS: NAME/POSITION/COMP TYPE           5/99        6/99       7/99
===============================================================================
1.               NONE
- -------------------------------------------------------------------------------
2.
- -------------------------------------------------------------------------------
3.
- -------------------------------------------------------------------------------
4.
- -------------------------------------------------------------------------------
5.
- -------------------------------------------------------------------------------
6.
===============================================================================
TOTAL INSIDERS   (MOR-1)                        --          --         --

===============================================================================
                                               MONTH       MONTH      MONTH
              PROFESSIONALS                    5/99        6/99       7/99
             NAME/ORDER DATE
===============================================================================
1.                NONE
- -------------------------------------------------------------------------------
2.
- -------------------------------------------------------------------------------
3.
- -------------------------------------------------------------------------------
4.
- -------------------------------------------------------------------------------
5.
- -------------------------------------------------------------------------------
6.
- -------------------------------------------------------------------------------
TOTAL PROFESSIONALS (MOR-1)                     --          --         --
===============================================================================

MOR-9
<PAGE>   10
                        TRANSAMERICAN ENERGY CORPORATION
                                  99-21551-C-11
                        NOTES TO MONTHLY OPERATING REPORT
                                   JULY 1999




1.   TransAmerican Energy Corporation's (the "Company") investment in TransTexas
     Gas Corporation and TransAmerican Refining Corporation was reflected in the
     Company's Schedules at estimated market value. The Company's investment in
     its subsidiaries is reflected in the Monthly Operating Report ("MOR") at
     cost.

2.   The secured note receivable from TransAmerican Refining Corporation was
     reflected in the Company's Schedules at its fully accreted balance of
     $920.0 million. The balance of this note receivable is reflected in the
     Company's MOR at its accreted balance as of April 20, 1999 and May 31, 1999
     of $899.2 million and $914.7 million, respectively. On June 15, 1999, this
     note receivable reached its fully accreted balance, and interest income
     was accrued at a rate of 16% per annum from that date.

3.   On June 15, 1999, the Company's senior secured discount notes reached their
     fully accreted balance of $1.13 billion, and interest expense was accrued
     at a rate of 13% per annum from that date.

4.   During July 1999, TransAmerican Refining Corporation paid United States
     Trustee fees of $250 on behalf of the Company.

<PAGE>   11


                  CASE NAME: TRANSAMERICAN ENERGY CORPORATION

                           CASE NUMBER: 99-21551-C-11

                          PETITION DATE: APRIL 20, 1999

                              INSURANCE MAINTAINED
                                 July 31, 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
Operator's Extra Expense                                          January 15, 2000
Oil Pollution                                                     January 31, 2000
</TABLE>



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission