MCL400G 10/06/99
14:45:37 PAGE 1 STATEMENT GENERATOR |
|
|
CLEAN AIR ENGINEERING, INC. |
|
|
BALANCE SHEET - SEPTEMBER 1999 |
Sep-99 |
CURRENT BALANCE CAT. SUB TOTALS |
|
|
ASSETS |
|
|
CURRENT ASSETS |
|
|
CASH IN BANK |
($18,893.52) |
|
CASH - FRANCE |
$11,348.44 |
|
PETTY CASH |
$1,070.00 |
|
------------------- ------------------- |
|
|
TOTAL CASH |
($6,475.08) |
|
|
|
|
ACCOUNTS RECEIVABLE |
$2,238,292.27 |
|
UNBILLED RECEIVABLE |
$106,619.00 |
|
ALLOWANCE FOR DOUBTFUL ACCOUNTS |
($43,000.00) |
|
ACCOUNTS RECEIVABLE - FRANCE |
$198,906.39 |
|
OTHER RECEIVABLE |
$8,225.86 |
|
INTERCOMPANY A/R - FRANCE |
$67,438.59 |
|
INVENTORY |
$291,914.71 |
|
RESERVE FOR OBSOLESCENCE |
($10,058.93) |
|
PREPAID - OTHER |
$59,344.43 |
|
PREPAID INSURANCE-GENERAL |
$21,738.70 |
|
PREPAID INSURANCE-GROUP |
($19,993.98) |
|
EXPENSE ADVANCES |
$6,938.09 |
|
------------------- ------------------- |
|
|
TOTAL CURRENT ASSETS |
$2,919,890.05 |
$2,919,890.05 |
|
|
|
FIXED ASSETS |
|
|
COST |
|
Asset Book Value |
LAND & BUILDINGS |
$5,596,602.30 |
$4,222,228.80 |
COMPUTER EQUIPMENT |
$184,641.85 |
$151,349.93 |
LEASEHOLD IMPROVEMENTS |
$32,386.87 |
$8,432.20 |
MACHINERY & EQUIPMENT |
$2,112,145.50 |
$84,623.59 |
FURNITURE & FIXTURES |
$487,117.24 |
$52,605.63 |
VEHICLES |
$294,126.19 |
$2,342.96 |
RENTAL EQUIPMENT |
$5,263,085.37 |
$1,015,337.12 |
------------------- ------------------- |
|
|
TOTAL |
$13,970,105.32 |
$5,536,920.23 |
|
|
|
ACCUMULATED DEPRECIATION |
|
|
LAND & BUILDINGS |
($1,374,373.50) |
|
COMPUTER EQUIPMENT |
($33,291.92) |
|
LEASEHOLD IMPROVEMENTS |
($23,954.67) |
|
MACHINERY & EQUIPMENT |
($2,027,521.91) |
|
FURNITURE & FIXTURES |
($434,511.61) |
|
VEHICLES |
($291,783.23) |
|
RENTAL EQUIPMENT |
($4,247,748.25) |
|
------------------- ------------------- |
|
|
TOTAL |
($8,433,185.09) |
|
TOTAL NET FIXED ASSETS |
$5,536,920.23 |
|
OTHER ASSETS |
|
|
DEPOSITS |
$35,600.12 |
|
INTANGIBLE ASSETS |
$45,628.52 |
|
------------------- ------------------- |
|
|
TOTAL OTHER ASSETS |
$81,228.64 |
|
------------------- ------------------- |
|
|
TOTAL ASSETS |
$8,538,038.92 |
|
=================== =================== |
|
|
|
|
|
|
|
|
LIABILITIES & EQUITY |
|
|
CURRENT LIABILITIES |
|
|
ACCOUNTS PAYABLE |
$392,154.31 |
|
ACCOUNTS PAYABLE - FRANCE |
$33,714.11 |
|
INTERCOMPANY A/P - FRANCE |
$67,438.59 |
|
LOAN PAYABLE - WORKING CAPITAL |
$746,000.00 |
|
LOAN PAYABLE - EQUIPMENT LINE |
$91,300.00 |
|
OBLIGATIONS UNDER CAPITAL LEASES |
$38,587.80 |
|
MORTGAGE - CURRENT PORTION |
$159,999.96 |
|
EQUIPMENT TERM LOANS - CURRENT |
$413,333.28 |
|
FRANCE TERM LOAN - CURRENT |
$16,814.85 |
|
ACCUMULATED SALARIES PAYABLE |
$50,147.00 |
|
ACCRUED VACATION PAY |
$238,074.71 |
|
WITHHELD SOCIAL SECURITY TAX |
$17,592.18 |
|
WITHHELD FEDERAL INC TAX |
$19,485.23 |
|
ACCRUED UNEMPL TAX (FEDERAL &
STATE) |
$60.82 |
|
GROUP INSURANCE DEDUCTIONS |
$1,104.69 |
|
401K P/R DEDUCTIONS &
CONTRIBUTIONS |
$22,188.18 |
|
ACCRUED AUDIT FEES |
$21,625.00 |
|
ACCRUED PROPERTY TAX |
$251,983.70 |
|
ACCRUED CORPORATE TAX |
$6,000.00 |
|
ACCRUED EXPENSES - MISC. |
$28,370.00 |
|
ACCRUED EXPENSES - FRANCE |
$55,871.68 |
|
------------------- ------------------- |
|
|
TOTAL CURRENT LIABILITIES |
$2,671,846.09 |
$2,671,846.09 |
|
|
|
LONG TERM DEBT |
|
|
MORTGAGE-NONCURRENT |
$2,813,333.43 |
|
EQUIPMENT TERM LOANS-NONCURRENT |
$354,323.52 |
|
OBLIGATIONS UNDER CAPITAL LEASES |
$5,844.69 |
|
FRANCE TERM LOAN-NONCURRENT |
$27,325.93 |
|
------------------- ------------------- |
|
|
TOTAL LONG TERM DEBT |
$3,200,827.57 |
$3,200,827.57 |
------------------- ------------------- |
|
|
TOTAL LIABILITIES |
$5,872,673.66 |
|
CORPORATE EQUITY |
|
|
COMMON STOCK ISSUED |
$12,284.00 |
|
ADDITIONAL PAID IN CAPITAL |
$421,612.43 |
|
RETAINED EARNINGS |
$1,148,879.31 |
|
NOTES REC FROM SHAREHOLDERS |
($1,687.21) |
|
|
|
|
CURRENT YEAR PROFIT(LOSS) |
$1,084,276.73 |
|
------------------- ------------------- |
|
|
TOTAL CORPORATE EQUITY |
$2,665,365.26 |
$2,665,365.26 |
TOTAL LIABILITIES & EQUITY |
$8,538,038.92 |
|
=================== =================== |
|
|