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Monthly Report Of Operations Local Rule 215 Cash Form. This is a California form and can be use in USBC Eastern Federal.
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Tags: Monthly Report Of Operations Local Rule 215 Cash, EDC 3-462, California Federal, USBC Eastern
UNITED STATES BANKRUPTCY COURT
EASTERN DISTRICT OF CALIFORNIA
In re
)
)
)
)
)
)
Debtor(s).
)
_________)
Case No.:
MONTHLY REPORT OF
OPERATIONS (Local Rule No. 2015-1)
MONTH OF
, 20
Debtor-in-possession hereby submits its Monthly Report on the Cash Basis of accounting.
CASH BASIS
Attached hereto are the following schedules:
A.
Cash Receipts and Cash Disbursements
B.
Summary of Receipts and Disbursements to Date
C.
Balance in Debtor-in-Possession Account
D.
Balance in Tax Account
E.
Balance in _________________________ Account
F.
Post Petition Debts
G.
Accounts Receivable Balance
H.
Inventory Balance
I.
Federal and State Taxes
J.
Monthly Operating Statement Questionnaire
K.
Other Appropriate Schedules
Note: Schedules A, B, C, F, I & J MUST be filed.
Attach Schedules D, E, G, H & K if the are maintained in the ordinary course of business.
EDC 3-462 (Cash) (Rev. 9/07)
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SCHEDULE A
CASH RECEIPTS AND DISBURSEMENTS
RECEIPTS
Cash Sales
$
Rents Collected
Accounts Receivable collected
Other Receipts (describe):
TOTAL RECEIPTS $
DISBURSEMENTS
Payments to vendors for merchandise
$
Net payroll paid
Payroll taxes paid/deposited to tax account:
Employee withholdings
Employer portion
Sales taxes paid/deposited to tax account
Other Disbursements (describe):
a.
b.
c.
d.
f.
g.
h.
i.
j.
k.
Miscellaneous (attach listing)
Living allowance or draw
2.
TOTAL DISBURSEMENTS
$
3.
Receipts OVER or (UNDER) Disbursements
$
EDC 3-462 (Rev. 9/07)
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SCHEDULE B
SUMMARY OF CASH TRANSACTIONS
SINCE FILING PETITION
4.
Total receipts to date
(prior month Schedule B line 4 plus
current month Schedule A line 1)
$
5.
Total disbursements to date
(prior month Schedule B line 5 plus
current month Schedule A line 2)
6.
Net receipts OVER (UNDER) disbursements
$
SCHEDULE C
BALANCE IN DEBTOR-IN-POSSESSION ACCOUNT
Balance at end of last month
$
Net transactions for this month (Line 3 - Schedule A)
Balance at end of this month
$
SCHEDULE D
BALANCE IN TAX ACCOUNT
Balance at end of last month
$
Add deposits from general account
Subtotal
Deduct payments to taxing agencies
Balance at end of this month
$
SCHEDULE E
BALANCE IN _______________ ACCOUNT
Balance at end of last month
$
Add deposits from general account
Subtotal
Deduct disbursements
Balance at end of this month
$
EDC 3-462 (Rev. 9/07)
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SCHEDULE F
POST PETITION DEBTS
Balance at end of last month
$
Add debts incurred this month
Subtotal
Deduct payments made this month on this balance
Subtotal
Adjustments (Explain on separate sheet)
Balance at end of this month (Attach listing)
$
SCHEDULE G
ACCOUNTS RECEIVABLE BALANCE
Balance of receivables at end of last month
$
Add new receivables for this month
Subtotal
Deduct accounts collected (from Schedule A)
Subtotal
Adjustments (Explain on separate sheet)
Balance at end of this month
$
SCHEDULE H
INVENTORY AND COST OF GOODS SOLD
Inventory balance at end of last month
$
Add merchandise purchases
Total inventory available
Adjustments (Explain on separate sheet)
Less inventory balance at end of month
Total cost of goods sold
$
EDC 3-462 (Rev. 9/07)
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SCHEDULE I
FEDERAL AND STATE TAXES
1.
Tax balance at end of last month
$
PAYROLL TAX LIABILITY THIS MONTH:
Period:
( ) Weekly
( ) Biweekly
( ) Semimonthly
( ) Monthly
Federal Employer ID #
EDD ID #
Withholdings:
Federal Income Tax
$
FICA Withheld
State Income Tax
State Disability
Employer tax liability:
FICA
Federal unemployment
State unemployment
2.
Total payroll taxes due
SALES AND OTHER TAX LIABILITY THIS MONTH:
SBE ID #
Sales tax liability
Other (excise, city, business, etc.)
3.
$
Total sales and other taxes due
SUMMARY OF TAX PAYMENTS MADE THIS MONTH:
Payee
Date
Bank acct. #
Ck. #
$
4.
Total tax payments made
5.
Tax balance at end of this month
(add lines 1-3 less line 4)
$
EDC 3-462 (Rev. 9/07)
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SCHEDULE J
MONTHLY OPERATING STATEMENT QUESTIONNAIRE
YES
1.
Listing of unpaid postpetition debts
(include unpaid professional fees & interest owed)
3.
Have any payments been made to secured
creditors or lessors?
(If yes, attach listing of payments made)
4. (a)
N/A
Copies of checkbooks or receipts and
disbursements listing attached:
Debtor-in-possession account
Tax account
Other account
2.
NO
Have any payments been made to officers,
shareholders, insiders, relatives or
professionals?
(If yes, attach listing of payments made)
Were these payments approved by the court?
(b)
5. (a)
(b)
Have any payments been made on prepetition
debts?
(If yes - attach listing of payments made)
Were these payments approved by the court?
6.
Do you carry insurance coverage of any kind?
(attach copies of declaration pages)
NOTE: If you have previously submitted copies of declaration pages
& there have been no changes in coverage, initial here:
(no copies needed)
7.
Have U.S. Trustee quarterly fees been paid
(If yes - attach listing of payments made)
(If no - attach explanation)
DECLARATION OF DEBTOR
I CERTIFY UNDER PENALTY OF PERJURY THAT THE FOREGOING IS TRUE AND CORRECT.
EXECUTED ON
(Date)
(Signature) DEBTOR-IN-POSSESSION
I have reviewed the Monthly Report of Operations and, after making reasonable inquiry, believe that the information is true and correct.
(Signature of Preparer)
(Attorney or Accountant)
(Date)
EDC 3-462 (Rev. 9/07)
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MONTHLY OPERATING REPORT
INSTRUCTION SHEET
1.
Cover Sheet
a.
b.
2.
Enter the case name, case number, month of report on the appropriate cover sheet (cash basis or
accrual basis).
Place a check mark in each box for which a schedule is filed.
Schedule A
a.
b.
3.
Complete this schedule for all receipts and cash disbursements for the month.
If additional lines are needed for listing receipts or disbursements attach additional pages.
Schedule B
a.
b.
Total receipts = this line from last month + Schedule A, total receipts.
c.
4.
This schedule must reflect all receipts and disbursements since filing the petition (cumulative).
Total disbursements = this line from last month + Schedule A, total disbursements.
Schedule C
This schedule must reflect the balance in the debtor-in-possession account (or general account). This balance
must equal the balance on Schedule B, Line 6, plus any beginning bank balance at the time the bankruptcy
was filed.
5.
Schedule D
This schedule must reflect the balance in the tax account, if you are required to have one.
6.
Schedule E
This schedule must reflect the balance in any other account you maintain. The number of cash accounts held
should be kept to a minimum, mainly the debtor-in-possession account and tax and/or cash collateral
accounts, if required. Any account required by court order should also be included.
7.
Schedule F
This schedule must reflect all debts incurred and not paid since the date of filing the petition. Do not include
any debts owed prior to filing the petition.
8.
Schedule I
a.
This schedule must reflect all transactions occurring for the month for payroll and sales taxes.
b.
The first section of the form lists amounts owed for both employee payroll tax withholdings and the
employer's portion for payroll taxes.
EDC 3-462 (Rev. 9/07)
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c.
d.
The third section of the form lists all payments made during the month for both payroll and sales
taxes.
e.
9.
The second section of the form lists all amounts owed for sales and other business taxes.
To compute the tax balance at the end of the month, add the balance from last month (line 1) plus
payroll taxes due (line 2) plus sales taxes due (line 3) and subtract all payments made (line 4).
Schedule J
a.
This schedule is a checklist of items that must be included with the basic monthly report of
operations.
b.
Copies of checkbooks (or cash receipts & disbursements listings) must be attached for all bank
accounts. All copies attached should be legible.
c.
A listing of unpaid post petition debts must be attached, if applicable. The listing must be in the
following form and the total of the listing must agree with the ending balance for Schedule F.
Date Incurred
d.
Vendor
Description
Amount
If payments have been made to secured creditors or lessors during the month, attach a listing which
includes the following information:
Payee name/address
Payment amount
Payment period (weekly, month, annual)
Date of last payment
e.
If post petition payments to secured creditors are in arrears, list the number of payment missed and
the total amount in arrears.
f.
If payments have been made to officers, insiders, shareholders, relatives or professionals during the
month, attach a listing which includes the following information:
Payee name
Date of payment
Payment amount
Basis of payment (reason)
g.
If payments have been made on prepetition debts during the month, attach a listing which includes
the following information:
Payee name
Date of payment
Payment amount
Basis of payment (reason)
h.
If the U.S. Trustee quarterly fees were paid during the month of this report, include a listing of the
date, amount and method of payment.
EDC 3-462 (Rev. 9/07)
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