i am confused... i must be missing something... i read about all these multi-million dollar contracts and then i read the 31 dec 98 financial statement.
this has to be a mistake Cash on Hand = $400
this company should be commended...their charitable contribution was $150. that 37 1/2% of their cash... sure makes me feel like a cheap skate with my contributions...hahahaha
GENESIS MEDIA GROUP, INC.
Financial Statement (Unaudited)
December 31, 1998
Genesis Media Group, Inc. Balance Sheet December 31, 1998 (Unaudited)
ASSETS
Current Assets Cash on hand and in banks $400 Accounts receivable -- trade 186,437 Loan receivable -- D. Jacobson 50,000 Contract receivables (Note 2) 1,800,000 Inventory (Notes 1, 3) 41,068,329 Prepaid expenses and misc. receivables (Note 4) 111,030 43,216,196
Property & Equipment (Net of $37,333 accumulated depreciation) (Notes 1, 5) 661,666
Marketable Securities (Note 9) 235,168
Other Assets (Notes 2, 4, 6) 3,744,338 $47,857,368
LIABILITIES & STOCKHOLDERS' EQUITY
Current Liabilities Accounts payable $17,286 Payroll taxes payable & other accrued taxes 46,735 Current portion of long term debt (Note 7) 934,873 998,894
Long Term Debt (Note 7) 1,843,822
Total Liabilities 2,842,716
Stockholders' Equity Common Stock - Par value $0.0001, Authorized 50,000,000 shares, issued and outstanding 29,330,607 shares 2,933 Additional paid in capital (Note 3) 42,202,314 Retained earnings - December 31, 1998 2,809,405 45,014,652
$47,857,368 See accompanying footnotes.
Genesis Media Group, Inc. Statement of Income and Retained Earnings For the Year Ended Dec. 31, 1998 (Unaudited)
Gross Sales & Other Income (Net of cost of sales of $81,564) $439,998
Operating Expenses Advertising 6,420 Alarm expense 28 Amortization of copyrights 1,384 Automobile & parking 5,249 Bank charges 1,089 Commissions 1,000 Charitable contributions 150 Delivery & freight 316 Depreciation (Note 1) 28,362 Dues & subscriptions 1,101 Employee reimbursed expenses 55,980 Entertainment & meals 8,199 Insurance 10,730 Interest 28,062 Janitorial 3,360 Legal & accounting 92,833 Maintenance & repairs 3,482 Miscellaneous 24,103 Office expense & supplies 5,943 Outside services 43,181 Postage 6,253 Printing & reproductions 3,544 Rent & storage (Note 8) 106,327 Salaries & wages 266,640 Taxes & licenses principally payroll taxes 13,929 Telephone 16,090 Travel 4,623 Utilities 226 Web site expense 1,500 740,104
Net (Loss) before Taxes (300,106)
Provision for Taxes 800 Net (Loss) (300,906) Net (Loss) per common share (Note 10) $0.0103
Retained Earnings -- December 31, 1997 3,110,311 Retained Earnings -- December 31, 1998 $2,809,405 |