HOMEOWNERS FINANCIAL CORP
10SB12G/A, 1996-11-07
MORTGAGE BANKERS & LOAN CORRESPONDENTS
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                     U.S. SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                 FORM 10-SB/A-6

                   GENERAL FORM FOR REGISTRATION OF SECURITIES
                                       OF
                             SMALL BUSINESS ISSUERS

                          Under Section 12(b) or (g) of
                       The Securities Exchange Act of 1934

                           HOMEOWNERS FINANCIAL CORP.
(Name of Small Business Issuer in its charter)


        Delaware                                    13-2747380
(State of other jurisdiction                (I.R.S. Employer Identification No.)
 of incorporation or
 organization)

           2075 West Big Beaver Road, Suite 550, Troy, Michigan 48084
(Address or principal executive offices)

                    Issuer's telephone number (800) 723-6001

Securities to be registered under Section 12(b) of the Act:  None

Title of each class                            Name of each exchange on which
to be so registered                            each class is to be registered
  Not applicable                                          Not Applicable

Securities to be registered under Section 12(g) of the Act:

Common Stock, $.01 par value
Title of Class

<PAGE>


                                     PART I


Item 1. Description of Business


     See the "Business," "Risk Factors," "The Reorganization," "Use of Proceeds"
and  "Underwriting"  sections of the Prospectus  contained in Amendment No. 8 to
the  Registrant's  Registration  Statement on Form SB-2 (SEC File No.  33-94882)
filed with the  Commission  on or about  November 7, 1996,  attached  hereto and
incorporated by reference herein pursuant to Rule 12b-23  promulgated  under the
Securities Exchange Act of 1934, as amended.


Item 2. Management's  Discussion and Analysis of Financial Condition and Results
        of Operations.

     See the  "Management's  Discussion and Analysis of Financial  Condition and
Results of Operations" section of the Prospectus contained in Amendment No. 8 to
the  Registrant's  Registration  Statement on Form SB-2 (SEC File No.  33-94882)
filed with the  Commission  on or about  November 7, 1996,  attached  hereto and
incorporated by reference herein pursuant to Rule 12b-23  promulgated  under the
Securities Exchange Act of 1934, as amended.


Item 3. Description of Property

     See the  "Business -  Facilities"  section of the  Prospectus  contained in
Amendment  No. 8 to the  Registrant's  Registration  Statement on Form SB-2 (SEC
File No.  33-94882)  filed with the  Commission  on or about  November  7, 1996,
attached  hereto and  incorporated  by reference  herein pursuant to Rule 12b-23
promulgated under the Securities Exchange Act of 1934, as amended.


Item 4. Security Ownership of Certain Beneficial Owners and Management

     See the "Principal Security Holders" section of the Prospectus contained in
Amendment  No. 8 to the  Registrant's  Registration  Statement on Form SB-2 (SEC
File No.  33-94882)  filed with the  Commission  on or about  November  7, 1996,
attached  hereto and  incorporated  by reference  herein pursuant to Rule 12b-23
promulgated under the Securities Exchange Act of 1934, as amended.


Item 5. Directors, Executive Officers, Promoters and Control Persons

     See the "Management" section of the Prospectus contained in Amendment No. 8
to the Registrant's  Registration Statement on Form SB-2 (SEC File No. 33-94882)
filed with the  Commission  on or about  November 7, 1996,  attached  hereto and
incorporated by reference herein pursuant to Rule 12b-23  promulgated  under the
Securities Exchange Act of 1934, as amended.


<PAGE>


Item 6. Executive Compensation

     See the "Management - Remuneration"  section of the Prospectus contained in
Amendment  No. 8 to the  Registrant's  Registration  Statement on Form SB-2 (SEC
File No.  33-94882)  filed with the  Commission  on or about  November  7, 1996,
attached  hereto and  incorporated  by reference  herein pursuant to Rule 12b-23
promulgated under the Securities Exchange Act of 1934, as amended.


Item 7. Certain Relationships and Related Transactions

     See the "Certain  Transactions"  and "The  Reorganization"  sections of the
Prospectus contained in, and "Item 26. Recent Sales of Unregistered  Securities"
of Amendment No. 8 to the Registrant's  Registration Statement on Form SB-2 (SEC
File No.  33-94882)  filed with the  Commission  on or about  November  7, 1996,
attached  hereto and  incorporated  by reference  herein pursuant to Rule 12b-23
promulgated under the Securities Exchange Act of 1934, as amended.


Item 8. Description of Securities.

     See the "Description Of Securities" section of the Prospectus  contained in
Amendment  No. 8 to the  Registrant's  Registration  Statement on Form SB-2 (SEC
File No.  33-94882)  filed with the  Commission  on or about  November  7, 1996,
attached  hereto and  incorporated  by reference  herein pursuant to Rule 12b-23
promulgated under the Securities Exchange Act of 1934, as amended.


                                     PART II

Item 1. Market Price of and Dividends on Registrant's  Common Equity and Related
        Stockholder Matters

     See the "Market Price Of Securities" section of the Prospectus contained in
Amendment  No. 8 to the  Registrant's  Registration  Statement on Form SB-2 (SEC
File No.  33-94882)  filed with the  Commission  on or about  November  7, 1996,
attached  hereto and  incorporated  by reference  herein pursuant to Rule 12b-23
promulgated under the Securities Exchange Act of 1934, as amended.

Item 2. Legal Proceedings.

     See  the  "Legal  Proceedings"  section  of  the  Prospectus  contained  in
Amendment  No. 8 to the  Registrant's  Registration  Statement on Form SB-2 (SEC
File No.  33-94882)  filed with the  Commission  on or about  November  7, 1996,
attached  hereto and  incorporated  by reference  herein pursuant to Rule 12b-23
promulgated under the Securities Exchange Act of 1934, as amended.

Item 3.  Changes  in  and  Disagreements  with  Accountants  on  Accounting  and
         Financial Disclosures.

     There  have  been no  changes  in,  or  disagreements  with  the  Company's
independent accountants with respect to accounting and/or financial disclosure.


<PAGE>


Item 4. Recent Sales of Unregistered Securities.

     See "Part II, Item 26. Recent Sales of Unregistered  Securities"  contained
in Amendment No. 3 to the Registrant's  Registration Statement on Form SB-2 (SEC
File No. 33-94882) filed with the Commission on or about July 9, 1996,  attached
hereto and incorporated by reference herein pursuant to Rule 12b-23  promulgated
under  the  Securities  Exchange  Act  of  1934,  as  amended.  See  also,  "The
Reorganization" and "Certain  Transaction"  sections of the Prospectus contained
in Amendment No. 8 to the Registrant's  Registration Statement on Form SB-2 (SEC
File No. 33- 94882)  filed with the  Commission  on or about  November  7, 1996,
attached  hereto and  incorporated  by reference  herein pursuant to Rule 12b-23
promulgated under the Securities Exchange Act of 1934, as amended.

                                     PART FS

     See the Financial Statements of the Company and Developers Mortgage Company
contained in Amendment No. 8 to the Registrant's  Registration Statement on Form
SB-2 (SEC File No. 33- 94882) filed with the  Commission on or about November 7,
1996,  attached  hereto and  incorporated  by reference  herein pursuant to Rule
12b-23 promulgated under the Securities Exchange Act of 1934, as amended.

                                    PART III

Items 1&2. Index to Exhibits and Description of Exhibits.

  2.a                 Articles of Incorporation*
  2.b                 Amendments to Certificate of Incorporation*
  2.c                 Certificate of Designations - Series B Preferred Stock(3)
  2.d                 Certificate of Designations - Series C Preferred Stock(4)
  2.e                 By-Laws*

  6.a                 The 1994 Incentive Stock Option Plan*

 10.a                 Acquisition Agreement with FIS*
 10.b                 Warehouse Credit Agreement with Franklin Federal Bancorp*
 10.c                 Servicing Loan Agreement with Franklin Federal Bancorp*
 10.d                 Lease Agreement-Dallas *
 10.e                 ISB Stock Purchase Agreement(1)
 10.f                 DMC Purchase and Sale Agreement(1)
 10.g                 Lease Agreement-Troy(1)
 10.h                 Agreement-FIS acquisition of HOFCA(1)
 10.i                 Barnett Bank Promissory Note(1)
 10.j                 ISB Loan Documents(1)
 10.k                 Voting Trust Agreement and Amendment(2)
 10.l                 Credit Agreement with First Bank National Association(2)

 23.a                 Consent of Wallace  Sanders &  Company,  Certified  Public
                      Accountants
 23.b                 Consent of KPMG  Peat   Marwick  LLP,   Certified   Public
                      Accountants

- - ----------------
    *  Previously filed.


<PAGE>


(1)  Previously filed as an Exhibit to the Registrant's  Registration  Statement
     on Form SB- 2, SEC File No. 33-94882, filed with the Commission on or about
     July 20, 1995 and incorporated herein by reference.

(2)  Previously  filed as an  Exhibit  to  Amendment  No. 1 to the  Registrant's
     Registration Statement on Form SB-2, SEC File No. 33-94882,  filed with the
     Commission  on or  about  October  17,  1995  and  incorporated  herein  by
     reference.

(3)  Previously  filed as an  Exhibit  to the  Company's  Annual  Report on Form
     10-KSB,  SEC File No. 0-25744,  filed with the Commission on or about April
     26, 1996, and incorporated herein by reference.

(4)  Previously  filed as an  Exhibit  to  Amendment  No. 3 to the  Registrant's
     Registration Statement on Form SB-2, SEC File No. 33-94882,  filed with the
     Commission on or about July 9, 1996 and incorporated herein by reference.


<PAGE>


                                   SIGNATURES

     In accordance  with Section 12 of the Securities  Exchange Act of 1934, the
Company caused this Amendment No. 6 to its  registration  statement to be signed
on its behalf by the undersigned, thereunto duly authorized.


                                           HOMEOWNERS FINANCIAL CORP.


Dated: October 31, 1996                    By: /s/ Christian W. Pfluger III
                                           --------------------------------
                                           Christian W. Pfluger III, President


Exhibit 23a
               CONSENT OF INDEPENDENT CERTIFIED PUBLIC ACCOUNTANT

We hereby  consent to the  incorporation  by reference in Form  10-SB/A-6 of our
report dated  January 18,  1996,  except for Note 1 and Note 10, as to which the
date is April 12, 1996; and Note 4 and Note 14, as to which the date is June 26,
1996; and Note 2, as to which the date is September 6, 1996; and Note 6 and Note
16, as to which the date is  October  21,  1996,  relating  to the  consolidated
balance sheets of Homeowners  Financial Corp. and Subsidiaries  ("Successor") as
of  September  30, 1995 and 1994,  and the related  consolidated  statements  of
operations,  stockholders'  equity,  and cash flows for the year ended September
30, 1995 and the period from April 30, 1994 to  September  30, 1994  ("Successor
Periods") and the  statements  of operations  and cash flows for the period from
October 1, 1993 to April 29, 1994 ("Predecessor  Period") of Home Owners Funding
Corp. of America ("Predecessor").


                                            /s/ Wallace Sanders & Company
                                            -----------------------------
                                            Wallace Sanders & Company
Dallas, Texas
October 31, 1996

<PAGE>


Exhibit 23b
                       (KPMG PEAT MARWICK LLP LETTERHEAD)


The  Board of Directors
Developers Mortgage Corporation

We consent to the  incorporation by reference in the  Registration  Statement of
Homeowners  Financial  Corp.  on Form  10-SB/A-6 of our report on the  financial
Statements  of  Developers  Mortgage  Corporation  (DMC)  for  the  years  ended
September 30, 1994 and 1993 which report appears in the  Registration  Statement
of Homeowners  Financial  Corp. on Form SB-2. Our report contains an explanatory
paragraph  that states that Aurora Service  Corporation,  parent company of DMC,
has incurred a significant net loss for the year ended September 30, 1994 and is
not in compliance  with certain debt  convenants  associated with a note payable
which makes the note  payable at the option of the lender.  These  circumstances
raise substantial doubt about DMC's ability to continue as a going concern.  The
financial  statements  of DMC do not include any  adjustments  that might result
from the  outcome of that  uncertainty.  Our report also refers to the change in
DMC's method of accounting for income taxes.

                                            /s/ KPMG Peat Marwick LLP
                                            -------------------------
                                            KPMG Peat Marwick LLP
Minneapolis, Minnesota
November 7, 1996



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