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8-K - FORM 8-K - Global Geophysical Services Incf8k_122914.htm
Exhibit 99.1
 
UNITED STATES BANKRUPTCY COURT
SOUTHERN DISTRICT OF TEXAS
CORPUS CHRISTI DIVISION
                           
CASE NAME:
AUTOSEIS, INC. ET AL
   
PETITION DATE:
3/25/2014        
CASE NUMBER:
14-20130
                   
                           
                           
MONTHLY OPERATING REPORT SUMMARY FOR MONTH        
November
     YEAR      
2014
(Amounts in '000s)
MONTH
 
3/25/14 TO 3/31/14
April
May
June
July
August
September
October
November
Total
REVENUES (MOR-6)
$            2,832
$          37,350
$       23,761
$        13,441
$       24,574
$         15,379
$           9,041
$       20,763
$          12,411
$      159,553
INCOME BEFORE INT; DEPREC./TAX (MOR-6)
(2,733)
(2,440)
(14,323)
(9,501)
(4,541)
(5,981)
(3,349)
(14,097)
(5,453)
(62,420)
NET INCOME (LOSS) (MOR-6)
(4,040)
(19,277)
(18,174)
(11,925)
(8,303)
(7,685)
(8,162)
(17,140)
(9,068)
(103,777)
PAYMENTS TO INSIDERS (MOR-9)
-
260
322
307
372
317
319
355
293
2,545
PAYMENTS TO PROFESSIONALS (MOR-9)
19
1,561
1,449
2,987
2,387
3,549
3,297
4,794
4,708
24,751
TOTAL DISBURSEMENTS (MOR-7 and Exhibit A) **
$            5,565
$        117,086
$       24,061
$        22,871
$       26,241
$         19,128
$         19,997
$       20,631
$          17,147
$      272,727
                           
**The jointly administered Debtors are authorized to file monthly operating reports on a consolidated basis, and have disbursements broken down by case number on Exhibit A attached**
***The original of this document must be filed with the United States Bankruptcy Court***
                   
Yes / No
     
REQUIRED INSURANCE MAINTAINED
Are all accounts receivable being collected within terms?
No
     
AS OF SIGNATURE DATE
EXP.
Are all post-petition liabilities, including taxes, being paid within terms?
No
     
________________________________
DATE
Have any pre-petition liabilities been paid?
 
Yes
     
CASUALTY YES (X) NO ( )
4/1/2015
If so, describe
Payments related to First Day Motions granted
 
LIABILITY YES (X) NO ( )
4/1/2015
Are all funds received being deposited into DIP bank accounts (1)?
No
     
VEHICLE YES (X) NO ( )
4/1/2015
Were any assets disposed of outside the normal course of business?
No
     
WORKER'S YES (X) NO ( )
4/1/2015
If so, describe
         
OTHER YES ( X ) NO ( )
4/1/2015
Are all U.S. Trustee Quarterly Fee Payments current?
Yes
     
         
What is the status of your Plan of Reorganization?
 
Plan Filed
   
                           
                           
ATTORNEY NAME:
Omar Alaniz
 
I certify under penalty of perjury that the following complete
FIRM NAME:
Baker & Botts
 
Monthly Operating Report (MOR), consisting of MOR-1 through
ADDRESS:
2001 Ross Avenue
 
MOR-9 plus attachments, is true and correct, to the best of my knowledge.
                           
CITY, STATE, ZIP:
Dallas, TX 75201
 
SIGNED X
/s/ Sean M. Gore
TITLE:
Senior Vice President - Chief Financial Officer
TELEPHONE/FAX:
214.953.6500/214.953.6503
                   
         
Sean M. Gore
    12/29/14
         
(PRINT NAME OF SIGNATORY)
   
DATE
                           
MOR-1
                       
Note:
                         
(1) Collections in certain foreign jurisdictions are received locally and used to make payroll for employees and vendors in those foreign jurisdictions
 
 
 

 
CASE NAME:
AUTOSEIS, INC. ET AL
 
CASE NUMBER:
14-20130
   
 
COMPARATIVE BALANCE SHEETS
(Amounts in '000s)
ASSETS
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
 
3/25/14 TO 3/31/14
April
May
June
July
August
September
October
November
CURRENT ASSETS
                 
Cash - U.S. bank accounts
$                  24,465
$               41,937
$            37,561
$           29,044
$             17,461
$               10,721
$                17,788
$                 20,770
$               19,020
Cash - non-U.S. bank accounts
4,687
2,950
2,119
2,143
2,032
1,399
288
1,735
-89
Restricted cash
990
990
990
486
481
481
481
481
531
Trade Accounts Receivable, Net
20,428
17,099
15,699
11,320
13,264
22,548
10,825
6,434
10,395
Unbilled Accounts Receivable
19,335
27,876
28,989
29,508
31,653
21,810
14,430
12,433
11,467
Other Accounts Receivable
87
87
87
89
89
89
89
89
89
Inventory: Lower of Cost or Market
107
107
107
107
107
107
107
107
107
Prepaid Expenses
4,093
7,048
4,547
4,028
3,350
3,135
3,813
2,899
2,981
Investments
-
-
-
-
-
-
-
-
-
Mobilization costs, net
17,110
7,972
3,994
3,416
1,425
477
67
209
511
Other
266
266
15
15
15
15
15
15
15
TOTAL CURRENT ASSETS
91,568
106,331
94,107
80,157
69,878
60,782
47,903
45,172
45,027
PROPERTY, PLANT & EQUIP. @ COST
                 340,559
339,483
340,271
330,241
330,857
294,129
281,706
281,216
282,559
Less Accumulated Depreciation
267,128
269,710
272,209
261,304
263,824
227,813
217,718
218,285
220,091
NET BOOK VALUE OF PP & E
73,431
69,773
68,062
68,937
67,033
66,316
63,988
62,931
62,468
OTHER ASSETS
                 
Tax Deposits
-
-
-
-
-
-
-
-
-
Investments in Subsidiaries
1
1
1
1
1
1
1
1
1
Electric Deposit
-
-
30
30
30
30
30
30
30
Investment in multi-client library, net
                 182,241
173,832
166,435
163,488
155,350
153,482
155,359
142,651
140,556
Intercompany receivable, net
69,366
78,860
83,529
84,972
87,919
95,094
94,885
96,091
90,335
Goodwill
10,967
10,967
10,967
10,967
10,967
10,967
10,967
10,967
10,967
Intangible assets
7,004
6,908
6,811
6,809
6,711
6,613
6,675
6,578
6,480
Debt issuance costs, net
8,940
8,571
8,168
7,762
7,352
6,938
6,520
6,099
5,673
Deposits and other
401
422
430
404
327
343
400
460
338
TOTAL ASSETS
$               443,919
$             455,666
$          438,540
$         423,527
$           405,568
$             400,567
$              386,728
$               370,980
$             361,875
 
<Note 1> The debtor cash balance above is broken out between U.S. bank accounts and non-U.S. bank accounts. The U.S. bank accounts contains the Citibank Argentina account as the funds are controlled by Houston. The U.S. bank account ties to the Ending Cash per Books on MOR8. MOR8 contains information for the current month for all U.S. bank accounts and is broken out into two categories, accounts where the funds are controlled by Houston Corporate office and other U.S. accounts. The Ending Cash per Books for the first subtotal (accounts where the funds are controlled by Houston Corporate office) on MOR8  ties to the Ending Cash per Books - End of Month on MOR7.  MOR7 contains the activity for accounts where the funds are controlled by Houston Corporate office.
 
MOR-2
Revised 07/01/98
Revised 07/01/98
 
 

 
CASE NAME:
AUTOSEIS, INC. ET AL
 
CASE NUMBER:
14-20130
   
 
COMPARATIVE BALANCE SHEETS
(Amounts in '000s)
LIABILITIES & OWNER'S
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
EQUITY
3/25/14 TO 3/31/14
April
May
June
July
August
September
October
November
LIABILITIES
                 
POST-PETITION LIABILITIES(MOR-4)
$                 32,785
$            172,846
$            178,018
$              181,434
$             175,476
$               177,092
$                 174,110
$                  175,566
$             175,058
PRE-PETITION LIABILITIES
                 
Secured Debt
86,498
4,386
4,081
3,776
3,468
3,160
2,849
2,537
2,204
Federal Income Tax
-
-
-
-
-
-
-
-
-
FICA/Withholding
583
-
-
-
-
-
-
-
-
Unsecured Debt
251,225
253,312
253,307
254,210
253,008
252,867
252,614
252,639
253,272
Deferred Revenue
23,367
6,311
2,295
-
-
-
-
-
-
VAT
2,330
2,595
2,595
2,595
-
-
-
-
-
Trade A/P
25,090
15,769
13,885
13,253
13,461
13,829
13,356
13,371
13,245
Accrued payroll liabilities
719
-
-
-
-
-
-
-
-
Accrued bond interest
10,080
10,514
10,514
10,514
10,514
10,514
10,514
10,514
10,514
Expense Accruals
10,495
3,108
2,833
3,726
3,641
4,127
4,118
4,047
4,011
Other
-
-
-
-
-
-
-
-
-
TOTAL PRE-PETITION LIABILITIES
410,387
295,995
289,510
288,073
284,092
284,496
283,451
283,108
283,246
TOTAL LIABILITIES
443,172
468,841
467,528
$              469,507
459,568
461,588
457,561
458,674
458,304
OWNER'S EQUITY (DEFICIT)
                 
PREFERRED STOCK
-
-
-
-
-
-
-
-
-
COMMON STOCK
500
500
500
500
500
500
500
500
500
ADDITIONAL PAID-IN CAPITAL
174,813
175,531
176,230
176,841
177,508
178,174
178,817
178,967
179,301
RETAINED EARNINGS: Filing Date
(170,526)
(165,889)
(164,227)
(169,904)
(170,289)
(170,290)
(172,582)
(172,453)
(172,454)
RETAINED EARNINGS: Post Filing Date
(4,040)
(23,317)
(41,491)
(53,416)
(61,719)
(69,406)
(77,568)
(94,708)
(103,776)
TOTAL OWNER'S EQUITY (NET WORTH)
                        747
(13,174)
(28,988)
(45,980)
(54,001)
(61,021)
(70,833)
(87,694)
(96,429)
TOTAL LIABILITIES & OWNERS EQUITY
  $              443,919
$            455,666
$            438,540
$              423,527
$             405,568
$               400,567
$                 386,728
$                  370,980
$             361,875
 
MOR-3
Revised 07/01/98
Revised 07/01/98
 
 

 
CASE NAME:
AUTOSEIS, INC. ET AL
 
CASE NUMBER:
14-20130
   
 
SCHEDULE OF POST-PETITION LIABILITIES
(Amounts in '000s)
 
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
 
3/25/14 TO 3/31/14
April
May
June
July
August
September
October
November
TRADE ACCOUNTS PAYABLE
$                      2,559
$              3,097
$             1,975
$             4,235
$               4,773
$                      6,712
$                     5,870
$                      7,828
$                 5,939
TAX PAYABLE
                 
Federal and State Payroll Taxes
389
942
941
873
858
852
846
835
835
Ad Valorem Taxes
173
184
184
336
336
336
483
483
484
Other Taxes
-
-
-
-
-
-
-
-
1
SECURED DEBT POST-PETITION
25,000
151,881
151,881
151,881
153,049
152,817
152,584
152,350
152,116
ACCRUED INTEREST PAYABLE
602
47
47
47
47
142
47
47
142
ACCRUED PROFESSIONAL FEES*
-
13
5,331
5,827
4,041
4,293
5,308
3,366
3,512
OTHER ACCRUED LIABILITIES
                 
VAT
96
468
380
1,218
150
1,327
38
213
389
Deferred Revenue
1,669
4,207
6,684
7,693
4,902
4,340
2,000
1,982
1,965
Accrued payroll liabilities
480
1,672
1,226
1,289
1,040
1,504
1,237
1,374
1,679
Expense Accruals
1,817
10,335
9,369
8,035
6,279
4,769
5,698
7,088
7,997
                   
TOTAL POST-PETITION LIABILITIES (MOR-3)
$                    32,785
$          172,846
$         178,018
$         181,434
$           175,476
$                  177,092
$                 174,110
$                  175,566
$             175,058
*Payment requires Court Approval
 
 
MOR-4
Revised 07/01/98
Revised 07/01/98
Revised 07/01/99
 
 

 
CASE NAME:
AUTOSEIS, INC. ET AL
 
CASE NUMBER:
14-20130
   
 
AGING OF POST-PETITION LIABILITIES
MONTH November 2014
(Amounts in '000s)
DAYS
TOTAL
TRADE
FEDERAL AND STATE
AD VALOREM,
 
   
ACCOUNTS
PAYROLL TAXES
OTHER TAXES
OTHER
0-30
$                      7,208
$                         5,890
$                            835
$                          483
$                              -
31-60
49
49
-
-
-
61-90
-
-
-
-
-
91+
-
 
-
-
-
TOTAL
$                      7,257
$                         5,939
$                            835
$                          483
$                               -
 
 
AGING OF ACCOUNTS RECEIVABLE
(Amounts in '000s)
                   
MONTH
                 
 
March 2014
April 2014
May 2014
June 2014
July 2014
August 2014
September 2014
October 2014
November 2014
0-30 DAYS
$                15,625
$                   9,564
$                   9,837
$                6,768
$                     9,935
$                  15,693
 
$                       2,650
$                    5,494
31-60 DAYS
2,845
4,769
2,272
247
452
3,715
1,389
901
2,181
61-90 DAYS
118
624
1,750
868
168
939
67
235
438
91+ DAYS
1,840
2,143
1,840
3,437
2,709
2,201
1,863
2,648
2,282
TOTAL
$                20,428
$                  17,099
$                 15,699
$              11,320
$                   13,264
$                  22,548
$                  3,319
$                       6,434
$                  10,395
 
 
MOR-5
Revised 07/01/98
 
 

 
CASE NAME:
AUTOSEIS, INC. ET AL
 
CASE NUMBER:
14-20130
   
 
STATEMENT OF INCOME (LOSS)
(Amounts in '000s)
 
Per
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
FILING TO
 
Projection
3/25/14 TO 3/31/14
April
May
June
July
August
September
October
November
DATE
REVENUES (MOR-1)
 
$                   2,832
$            37,350
$          23,761
$          13,441
$          24,574
$          15,379
$                 9,041
$            20,763
$            12,411
$           159,553
TOTAL COST OF REVENUES
 
3,378
23,982
18,698
10,182
10,094
11,002
7,723
7,415
7,026
99,500
GROSS PROFIT
 
(546)
13,368
5,064
3,259
14,480
4,377
1,318
13,348
5,385
60,053
OPERATING EXPENSES:
                 
-
 
Selling & Marketing
 
110
3,961
2,461
1,145
4,445
2,631
146
5,876
2,660
23,435
General & Administrative
 
1,497
1,739
2,223
4,113
1,601
2,020
2,287
4,071
1,518
21,069
Insiders Compensation
 
-
260
322
307
372
317
319
355
293
2,545
Professional Fees
 
19
1,574
6,856
4,158
4,004
2,697
3,399
4,066
4,032
30,805
Other - (Gain) Loss on Fixed Asset Disposal
 
(243)
(134)
(17)
(525)
(17)
741
(3,005)
211
(25)
(3,014)
Other - Multi-Client Amortization
 
804
8,408
7,541
3,562
8,616
1,953
1,521
12,866
2,360
47,632
TOTAL OPERATING EXPENSES
 
2,187
15,808
19,387
12,760
19,021
10,359
4,667
27,445
10,838
122,472
INCOME BEFORE INT, DEPR/TAX (MOR-1)
 
(2,733)
(2,440)
(14,323)
(9,501)
(4,541)
(5,982)
(3,349)
(14,097)
(5,453)
(62,420)
INTEREST EXPENSE
 
223
1,311
1,932
1,971
1,939
1,925
1,870
1,924
1,816
14,912
DEPRECIATION
 
922
1,863
1,549
16
1,482
(263)
2,143
1,325
911
9,948
OTHER (INCOME) EXPENSE*
 
-
-
189
-
17
-
-
(189)
-
17
FOREIGN EXCHANGE (GAIN) LOSS
 
110
(373)
86
19
88
28
(58)
(84)
888
704
LOSS ON DEBT EXTINGUISHMENT
 
-
13,594
-
-
-
-
-
-
-
13,594
OTHER ITEMS**
 
-
-
-
-
-
-
-
-
-
-
TOTAL INT, DEPR & OTHER ITEMS
 
1,255
16,395
3,757
2,006
3,526
1,690
3,955
2,976
3,615
39,175
NET INCOME BEFORE TAXES
 
(3,988)
(18,835)
(18,080)
(11,507)
(8,067)
(7,672)
(7,304)
(17,073)
(9,068)
(101,595)
INCOME and OTHER TAXES
 
52
442
94
418
236
15
858
67
-
2,182
NET INCOME (LOSS) (MOR-1)
 
$               (4,040)
$        (19,277)
$     (18,174)
$     (11,925)
$        (8,303)
$        (7,687)
$             (8,162)
$        (17,140)
$          (9,068)
$      (103,777)
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
Revised 07/01/98
 
 

 
CASE NAME:
AUTOSEIS, INC. ET AL
 
CASE NUMBER:
14-20130
   
 
(Amounts in '000s)
CASH RECEIPTS AND
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
MONTH
FILING TO
DISBURSEMENTS
3/25/14 TO 3/31/14
April
May
June
July
August
September
October
November
DATE
1. CASH-BEGINNING OF MONTH / PERIOD
$               2,431
$             23,451
$            41,937
$            36,830
$              28,214
$              16,743
$              10,022
$               17,188
$               20,140
$                    2,431
RECEIPTS:
                   
2. CASH RECIEPTS FROM REGIONS
680
1,225
595
-
-
1,690
7,200
500
2,967
14,857
3. CASH RECEIPTS FROM CUSTOMERS
1,674
10,599
18,486
14,050
14,771
10,717
20,050
23,111
12,846
126,304
4. PROCEEDS FROM DIP FUNDING
24,232
123,019
-
-
-
-
-
-
 
147,251
5. SALE OF ASSETS
-
-
-
-
-
-
-
-
 
-
6. OTHER (attach list)
-
-
-
-
-
-
-
-
 
-
TOTAL RECEIPTS**
26,586
134,843
19,081
14,050
14,771
12,407
27,250
23,611
15,813
288,412
(Withdrawal) Contribution by Individual Debtor MFR-2*
-
-
-
-
-
-
-
-
 
-
DISBURSEMENTS:
                   
7. CASH REQUESTS FROM REGIONS
3,175
2,687
7,506
7,378
11,925
4,340
3,088
3,358
3,098
46,555
8. PAYROLL, PER DIEM & BENEFITS
-
5,229
4,021
3,739
3,555
3,174
3,481
3,486
3,358
30,041
9. PAYROLL IOM (ISLE OF MAN)
-
890
877
974
1,097
1,140
1,200
1,211
1,220
8,609
10. ACCOUNTS PAYABLE (POST PETITION ONLY)
150
6,602
6,874
6,039
5,325
5,314
7,143
6,080
4,763
48,291
11. SENIOR DEBT INTEREST
2,222
-
-
-
-
-
-
-
 
2,222
12. INTEREST/FEES ON ADDITIONAL DEBT
-
431
1,419
1,466
1,466
1,372
1,513
1,466
1,324
10,457
13. BANKRUPTCY RELATED PAYMENTS (PRE PETITION ONLY) ***
-
6,820
1,280
287
15
4
40
-
 
8,445
14. INSURANCE PAYMENTS
-
1,040
635
-
472
236
236
236
 
2,855
15. TPG LOAN PAYMENT
-
91,881
-
-
-
-
-
-
 
91,881
16. OTHER (attach list)
-
-
-
-
-
-
-
-
 
-
TOTAL DISBURSEMENTS FROM OPERATIONS
5,547
115,580
22,611
19,883
23,855
15,579
16,700
15,837
13,763
249,355
17. DEBTOR PROFESSIONAL FEES
-
883
434
2,188
1,614
2,257
2,372
2,471
2,447
14,667
18. DIP LENDER PROFESSIONAL FEES
19
621
740
638
631
649
646
1,953
638
6,535
19. SENIOR LENDER PROFESSIONAL FEES
-
-
-
-
-
-
-
-
 
-
20. UNSECURED CREDITORS COMMITTEE PROFESSIONAL FEES
-
-
262
161
110
643
279
370
299
2,124
21. U.S. TRUSTEE FEES
-
2
13
-
31
-
-
-
 
46
22. OTHER REORGANIZATION EXPENSES (attach list)
-
-
-
-
-
-
-
-
 
-
TOTAL DISBURSEMENTS**
5,565
117,086
24,061
22,871
26,241
19,128
19,997
20,631
17,147
272,727
23. NET CASH FLOW
21,021
17,757
(4,979)
(8,821)
(11,471)
(6,721)
7,253
2,980
(1,334)
15,685
24. CASH - END OF MONTH
$             23,451
$             41,208
$            36,957
$            28,009
$              16,743
$              10,022
$              17,274
$               20,169
$               18,806
$                  18,116
24. ADJUSTMENTS RELATED TO OTHER PERIODS
-
157
(133)
106
-
-
(86)
(29)
(562)
(547)
25. UNRECORDED DISBURSEMENTS / DISBURSEMENTS RECORDED IN PRIOR PERIOD
-
572
14
99
-
-
-
-
10
695
26. UNRECORDED RECEIPTS / RECEIPTS RECORDED IN PRIOR PERIOD
-
-
(8)
-
-
-
-
-
 
(8)
27. ENDING CASH PER BOOKS - END OF MONTH (MOR-8)
$             23,451
$             41,937
$            36,830
$            28,214
$              16,743
$              10,022
$              17,188
$               20,140
$               18,256
$                  18,256
 
* Applies to Individual debtors only
**Numbers for the current month should balance (match)
RECEIPTS and CHECKS/OTHER DISBURSEMENTS lines on MOR-8
***Pre-petition Bankruptcy related payment include payments under Critical Vendor (including Logistics & 503(b)(9) claims), Foreign Vendors, & Wage motion relief related payments
 
[NOTE 1] Cash balance includes accounts where the funds are controlled by Houston Corporate office
 
[NOTE 2] Receipts and Disbursements include amounts received and sent from Houston Corporate Office
 
[NOTE 3] May ‘Cash Requests from Regions’ was understated by 53k and, accordingly, ‘Payroll, Per Diem & Benefits’ was overstated by 53k due to clerical error which incorrectly classified funds transferred to the U.S. Land account.
 
[NOTE 4] MOR 7 contains the activity for accounts where the funds are controlled by Houston Corporate office. The Ending Cash per Books - End of Month above ties to the Ending Cash per Books for the first subtotal (accounts where the funds are controlled by Houston Corporate office) on MOR8. MOR8 contains information for the current month for all U.S. bank accounts and is broken out into two categories, accounts where the funds are controlled by Houston Corporate office and other U.S. accounts. The total Ending Cash per Books on MOR8 ties to the Cash - U.S. bank accounts on MOR2. MOR2 shows the debtor cash balance and is broken out between U.S. bank accounts and non-U.S. bank accounts.
 
MOR-7
 Revised 07/01/98
 
 

 
CASE NAME:
AUTOSEIS, INC. ET AL
 
CASE NUMBER:
14-20130
   
 
CASH ACCOUNT RECONCILIATION
PERIOD 11/01/2014 - 11/30/2014
 
(Amounts in '000s)
BANK NAME
Bank of America
Bank of America
Bank of America
Bank of America
Bank of America
Bank of America
Bank of America
Bank of America
Bank of America
Bank of America
ACCOUNT NUMBER
488 031 266 121
488 031 266 134
488 031 266 147
488 031 266 150
488 031 266 163
488 032 919 590
488 031 266 176
488 035 058 966
488 038 382 972
488 038 414 688
ACCOUNT TYPE
Investment
Master
Depository
Operating
Operating
Operating
Operating
Operating
Operating
Operating
BANK BALANCE
$                      -
$             8,543
$                        -
$                          -
$                       -
$               222
$                      -
$                      -
$                     14
$                      -
DEPOSITS IN TRANSIT
-
 
23,111
142
         
42
OUTSTANDING CHECKS
-
 
23,114
 
128
     
34
 
OTHER
0
6
 
5
218
   
(1)
20
 
ADJUSTED BANK BALANCE
$                  (0)
$             8,537
$                    (3)
$                     137
$                (346)
$               222
$                      -
$                     1
$                  (40)
$                   42
BEGINNING CASH - PER BOOKS
$                     -
$           12,536
$                    (3)
$                     279
$                (376)
$               222
$                      -
$                     1
$                  (20)
$                     -
RECEIPTS* (4)
-
-
12,241
-
2
-
 
-
-
42
TRANSFERS BETWEEN ACCOUNTS (4)
-
-
     
-
-
-
-
-
TRANSFERS BETWEEN ACCOUNTS (5)
-
(3,998)
(12,241)
1,258
14,483
-
-
-
34
-
TRANSFERS TO FOREIGN DEBTOR ENTITIES (5)
-
-
-
-
(1,875)
-
-
-
-
-
TRANSFERS TO FOREIGN NON-DEBTOR ENTITIES (5)
-
-
-
-
-
-
-
-
-
-
TRANSFERS FROM FOREIGN DEBTOR ENTITIES (4)
-
-
-
-
-
-
-
-
-
-
TRANSFERS FROM FOREIGN NON-DEBTOR ENTITIES (4)
-
-
-
-
-
-
-
-
-
-
(WITHDRAWAL) OR INDIVIDUAL
CONTRIBUTION BY DEBTOR MFR-2
-
-
-
-
-
-
-
-
-
-
CHECKS/OTHER DISBURSEMENTS* (5)
-
-
-
(1,401)
(12,580)
-
-
-
(54)
-
ADJUSTMENTS RELATED TO OTHER PERIODS
-
-
 
-
-
   
-
-
 
ENDING CASH - PER BOOKS
$                     -
$             8,537
$                    (3)
$                     137
$                (346)
$               222
$                      -
$                     1
$                  (40)
$                   42
UNRECORDED DISBURSEMENTS / DISBURSEMENTS RECORDED IN PRIOR PERIOD (5)
-
-
-
-
-
-
-
-
-
-
UNRECORDED RECEIPTS / RECEIPTS RECORDED IN PRIOR PERIOD (4)
-
-
-
-
-
-
-
-
-
-
ADJUSTED ENDING CASH - PER BOOKS
$                     -
$             8,537
$                    (3)
$                     137
$                (346)
$               222
$                      -
$                     1
$                  (40)
$                   42
 
 
MOR-8
 
Revised 07/01/98
 
 

 
CASE NAME:
AUTOSEIS, INC. ET AL
 
CASE NUMBER:
14-20130
   
 
CASH ACCOUNT RECONCILIATION
PERIOD 11/01/2014 - 11/30/2014
 
(Amounts in '000s)
BANK NAME
Amegy
Amegy
Citi
Citi
 
Citi
Citi
Bank of America
Wells Fargo
Wells Fargo
ACCOUNT NUMBER
3354784
51577557
3065 9287
30854015
 
3066 5361
3876 6415
488 038 409 088
8964670833
8429980983
ACCOUNT TYPE
Operating
Operating
Operating
Operating
Subtotal (1) (2)
Payroll
Payroll
Operating
Operating
Operating
BANK BALANCE
$                     1
$                 500
$                9,202
$                         3
$              18,485
$               653
$                      -
$                     4
$                        -
$                  243
DEPOSITS IN TRANSIT
       
23,295
     
-
 
OUTSTANDING CHECKS
       
23,276
 
11
 
-
 
OTHER
         
248
(10)
136
 
-
 
ADJUSTED BANK BALANCE
$                     1
$                 500
$                9,202
$                        3
$              18,256
$               663
$              (147)
$                     4
$                        -
$                  243
BEGINNING CASH - PER BOOKS
$                     1
$                 500
$                6,968
$                      32
$              20,140
$               656
$              (143)
$                     6
$                        -
$                  108
RECEIPTS* (4)
-
-
-
-
12,285
-
-
-
-
-
TRANSFERS BETWEEN ACCOUNTS (4)
-
-
-
-
-
-
-
-
-
-
TRANSFERS BETWEEN ACCOUNTS (5)
-
-
-
-
(464)
7
8
-
-
464
TRANSFERS TO FOREIGN DEBTOR ENTITIES (5)
-
-
(30)
(29)
(1,934)
-
-
-
-
-
TRANSFERS TO FOREIGN NON-DEBTOR ENTITIES (5)
-
-
(700)
-
(700)
-
-
-
-
-
TRANSFERS FROM FOREIGN DEBTOR ENTITIES (4)
-
-
1,250
-
1,250
-
-
-
-
-
TRANSFERS FROM FOREIGN NON-DEBTOR ENTITIES (4)
-
-
1,717
-
1,717
-
-
-
-
-
(WITHDRAWAL) OR INDIVIDUAL
CONTRIBUTION BY DEBTOR MFR-2
-
-
-
-
-
-
-
-
-
-
CHECKS/OTHER DISBURSEMENTS* (5)
-
-
(3)
-
(14,038)
-
(12)
(2)
 
(329)
ADJUSTMENTS RELATED TO OTHER PERIODS
     
-
-
-
-
-
-
-
ENDING CASH - PER BOOKS
$                     1
$                 500
$                9,202
$                         3
$              18,256
$               663
$              (147)
$                     4
$                        -
$                  243
UNRECORDED DISBURSEMENTS / DISBURSEMENTS RECORDED IN PRIOR PERIOD (5)
-
-
-
-
-
-
-
-
-
-
UNRECORDED RECEIPTS / RECEIPTS RECORDED IN PRIOR PERIOD (4)
-
-
-
-
-
-
-
-
-
-
ADJUSTED ENDING CASH - PER BOOKS
$                     1
$                 500
$                9,202
$                         3
$              18,256
$              663
$              (147)
$                     4
$                        -
$                 243
 
 
MOR-8
 
Revised 07/01/98
 
 

 
CASE NAME:
AUTOSEIS, INC. ET AL
 
CASE NUMBER:
14-20130
   
 
CASH ACCOUNT RECONCILIATION
PERIOD 11/01/2014 - 11/30/2014
 
(Amounts in '000s)
BANK NAME
Wells Fargo
Amegy
Amegy
Amegy
Amegy
   
ACCOUNT NUMBER
9043440404
51577514
51897373
3687805
3690415
   
ACCOUNT TYPE
Operating
Payroll
Payroll
Payroll
Operating
Subtotal (3)
TOTAL
BANK BALANCE
$                             -
$                       -
$                    -
$                      -
$                     1
$                   901
$             19,386
DEPOSITS IN TRANSIT
         
-
23,295
OUTSTANDING CHECKS
         
11
23,287
OTHER
           
126
374
ADJUSTED BANK BALANCE
$                             -
$                       -
$                    -
$                      -
$                     1
 $                   764
 $             19,020
BEGINNING CASH - PER BOOKS
$                             -
$                       -
$                    -
$                      -
$                     1
$                   628
 $             20,768
RECEIPTS* (4)
-
-
-
-
-
-
12,285
TRANSFERS BETWEEN ACCOUNTS (4)
-
-
-
-
-
-
-
TRANSFERS BETWEEN ACCOUNTS (5)
-
-
-
-
-
479
15
TRANSFERS TO FOREIGN DEBTOR ENTITIES (5)
-
-
-
-
-
-
(1,934)
TRANSFERS TO FOREIGN NON-DEBTOR ENTITIES (5)
-
-
-
-
-
-
(700)
TRANSFERS FROM FOREIGN DEBTOR ENTITIES (4)
-
-
-
-
-
-
1,250
TRANSFERS FROM FOREIGN NON-DEBTOR ENTITIES (4)
-
-
-
-
-
-
1,717
(WITHDRAWAL) OR INDIVIDUAL
CONTRIBUTION BY DEBTOR MFR-2
-
-
-
-
-
-
-
CHECKS/OTHER DISBURSEMENTS* (5)
         
(343)
(14,381)
ADJUSTMENTS RELATED TO OTHER PERIODS
-
-
-
-
-
-
-
ENDING CASH - PER BOOKS
$                             -
$                       -
$                    -
$                      -
$                    1
$                   764
$             19,020
UNRECORDED DISBURSEMENTS / DISBURSEMENTS RECORDED IN PRIOR PERIOD (5)
-
-
-
-
-
-
-
UNRECORDED RECEIPTS / RECEIPTS RECORDED IN PRIOR PERIOD (4)
-
-
-
-
-
-
-
ADJUSTED ENDING CASH - PER BOOKS
$                             -
$                       -
$                    -
$                      -
$                    1
$                   764
$            19,020
 
 
MOR-8
 
Revised 07/01/98
 
 

 
CASE NAME:
AUTOSEIS, INC. ET AL
 
CASE NUMBER:
14-20130
   
 
PAYMENTS TO INSIDERS AND PROFESSIONALS
(Amounts in '000s)
 
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
MONTH
MONTH
  MONTH
  MONTH
  MONTH
  MONTH
    INSIDERS:  NAME/COMP   TYPE
3/25/14 TO 3/31/14
April
May
June
July
August
September
October
 November
                         
1
Bahorich, Michael S.
Director
Compensation
 $                          -
 $                          -
 $                          -
 $                          -
 $                       10
 $                          -
 $                          -
 $                       10
 $                          -
     
Expense Reimbursement
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
2
Branch, Caroline
Officer
Compensation
                             -
                            7
                          10
                          10
                          10
                          10
                          15
                          15
                          15
     
Expense Reimbursement
                             -
                            1
                            1
                            0
                            0
                            8
                            1
                             -
                          11
3
Brasher, James E.
Officer
Compensation
                             -
                          25
                          25
                          18
                          25
                          26
                          25
                          25
                          25
     
Expense Reimbursement
                             -
                            1
                             -
                            1
                            1
                             -
                            3
                            2
                             -
4
Fleure, Thomas J.
Officer
Compensation
                             -
                          13
                          20
                          20
                          20
                          20
                          20
                          20
                          20
     
Expense Reimbursement
                             -
                             -
                            3
                             -
                            5
                             -
                            4
                            2
                            2
5
Flynn, Maurice
Officer
Compensation
                             -
                          13
                          28
                          23
                          34
                          28
                          35
                          35
                          35
     
Expense Reimbursement
                             -
                            5
                             -
                            3
                            1
                            2
                            2
                            2
                             -
6
Forrest, Michael C.
Director
Compensation
                             -
                             -
                             -
                             -
                          10
                             -
                             -
                          10
                             -
     
Expense Reimbursement
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
7
Gore, Sean M.
Officer
Compensation
                             -
                          17
                          25
                          25
                          25
                          25
                          25
                          25
                          26
     
Expense Reimbursement
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
8
Howell, Jeff M.
Officer
Compensation
                             -
                          13
                          14
                          14
                          14
                          14
                          14
                          14
                          14
     
Expense Reimbursement
                             -
                            1
                             -
                             -
                             -
                             -
                             -
                             -
                             -
9
Kurz, Karl F.
Director
Compensation
                             -
                             -
                             -
                             -
                          15
                             -
                             -
                          15
                             -
     
Expense Reimbursement
                             -
                             -
                             -
                             -
                             -
                             -
 .
                             -
                             -
10
Lahouse, Thomas M.
Officer
Compensation
                             -
                          13
                          18
                          18
                          18
                          19
                          18
                          18
                          18
     
Expense Reimbursement
                             -
                            1
                             -
                             -
                             -
                             -
                             -
                            1
                             -
11
Matelich, George E.
Director
Compensation
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
     
Expense Reimbursement
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
12
Mccoy, Joseph P.
Director
Compensation
                             -
                             -
                             -
                             -
                          15
                             -
                             -
                          15
                             -
     
Expense Reimbursement
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
13
Muse Jr., Ralph B.
Officer
Compensation
                             -
                          13
                          20
                          17
                             -
                             -
                             -
                             -
                             -
     
Expense Reimbursement
                             -
                            3
                            1
                            1
                             -
                             -
                             -
                             -
                             -
14
Osborne, Stanley De J.
Director
Compensation
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
     
Expense Reimbursement
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
15
Peebles, Ross G.
Officer
Compensation
                             -
                          16
                          23
                          26
                          25
                          25
                          25
                          25
                          25
     
Expense Reimbursement
                             -
                            8
                            2
                            3
                            0
                            7
                            5
                            4
                            3
16
Riley Jr., Duncan W.
Officer
Compensation
                             -
                          14
                          21
                          21
                          21
                          21
                          21
                          21
                          21
     
Expense Reimbursement
                             -
                            2
                            2
                            3
                             -
                            1
                            1
                            3
                             -
17
Skerl, Damir S.
Director
Compensation
                             -
                             -
                             -
                             -
                          13
                             -
                             -
                          13
                             -
     
Expense Reimbursement
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                            3
                             -
18
Terrell, Tracy C.
Officer
Compensation
                             -
                          16
                          20
                          20
                          20
                          20
                          20
                          20
                          20
     
Expense Reimbursement
                             -
                            0
                            0
                            2
                            5
                            2
                            1
                            1
                            2
19
Verghese, P. Mathew
Officer
Compensation
                             -
                          19
                          27
                          27
                          27
                          27
                          29
                             -
                             -
     
Expense Reimbursement
                             -
                            5
                            2
                            1
                            0
                            1
                             -
                             -
                             -
20
White, Richard C.
Officer
Compensation
                             -
                          26
                          33
                          33
                          33
                          34
                          34
                          34
                          33
     
Expense Reimbursement
                             -
                          12
                            7
                            0
                            3
                            7
                             -
                            1
                            2
21
Yapuncich, George T.
Officer
Compensation
                             -
                          14
                          21
                          21
                          21
                          21
                          21
                          21
                          21
     
Expense Reimbursement
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
                             -
TOTAL INSIDERS  (MOR-1)
 
 $                          -
 $                     260
 $                     322
 $                     307
 $                     372
 $                     317
 $                     319
 $                     355
 $                     293
 
   
 MONTH
 MONTH
 MONTH
 MONTH
 MONTH
   MONTH
   MONTH
   MONTH
   MONTH
                PROFESSIONALS
3/25/14 TO 3/31/14
April
 May
 June
 July
 August
 September
 October
 November
                     
 
Akin Gump Strass Hauer & Feld LLP
 $                          -
 $                     371
 $                     492
 $                     444
 $                     439
 $                     488
 $                     490
 $                  1,760
 $                     484
 
Alvarez & Marsal, LLC
                             -
                             -
                             -
                        923
                        871
                        987
                     1,653
                     1,780
                        644
 
Baker Botts LLP
   
                             -
                     1,153
                        371
                        774
                        506
                        560
                     1,301
 
Ernst & Young
                             -
                          86
                          34
                             -
                             -
                             -
                             -
                             -
                        165
 
Greenberg Traurig, LLP
                             -
                             -
                        262
                        161
                             -
                        514
                        195
                        288
                        158
 
Joele Frank, Wilkinson Brimmer Katcher
                             -
                             -
                          15
                             -
                          34
                             -
                             -
                          30
 
 
Jordan, Hyden, Womble, Culbreth & Holzer
                             -
                             -
                          47
                          42
                          15
                          30
                          15
                            5
                            7
 
Lazard Middle Market LLC
                             -
                             -
                             -
                             -
                        110
                        129
                          84
                          82
                        140
 
Opportune
                             -
                        250
                        154
                        163
                        158
                        161
                        155
                        157
                        154
 
Prime Clerk
                             -
                          21
                        121
                          70
                          51
                          18
                          13
                             -
                          62
 
Ropes & Gray, LLP
                             -
                             -
                          94
                          31
                             -
                             -
                             -
                            2
 
 
Rothschild Inc.
                             -
                             -
                        217
                             -
                        271
                        443
                        135
                        130
                        212
 
U.S. Trustee Payment Center
                             -
                            2
                          13
                             -
                          31
                             -
                             -
                             -
 
 
UHY LLP
                             -
                        777
                             -
                             -
                          35
                            5
                          51
                             -
                          57
 
Wilmington Trust [1]
                          19
                          55
                             -
                             -
                             -
                             -
                             -
                             -
                     1,324
                     
                     
TOTAL PROFESSIONALS     (MOR-1)
 $                       19
 $                  1,561
 $                  1,449
 $                  2,987
 $                  2,387
 $                  3,549
 $                  3,297
 $                  4,794
 $                  4,708
 
[1] Amounts netted against DIP funding
 
MOR-9
  Revised 07/01/98
Revised 07/01/98
Revised 07/01/99
 
 

 
UNITED STATES BANKRUPTCY COURT
SOUTHERN DISTRICT OF TEXAS
CORPUS CHRISTI DIVISION
Exhibit A - CONSOLIDATING DISBURSEMENTS OF JOINTLY ADMINISTERED CASES IN CHAPTER 11
 
CASE NAME:
AUTOSEIS, INC. ET AL
 
JOINT ADMINISTRATION CASE NUMBER:
14-20130
   
 
   
DISBURSEMENTS
   
(Amounts in '000s)
    3/25/14 TO                  
Entity
Case No.
3/31/14
April
May
June
July
August
Sept.
Oct.
Nov
Filing to Date
AUTOSEIS, INC.
14-20130
 $             -
 $             -
 $             -
 $             -
 $             -
 $             -
 $             -
 $             -
 $             -
 $                 -
GLOBAL GEOPHYSICAL SERVICES, INC.
14-20131
5,565
117,086
24,061
22,871
26,241
19,128
19,997
20,631
17,147
272,727
GLOBAL GEOPHYSICAL EAME, INC.
14-20132
                -
                -
                -
                -
                -
                -
                -
                -
                -
                    -
GGS INTERNATIONAL HOLDINGS, INC.
14-20133
                -
                -
                -
                -
                -
                -
                -
                -
                -
                    -
ACCRETE MONITORING, INC.
14-20134
                -
                -
                -
                -
                -
                -
                -
                -
                -
                    -
AUTOSEIS DEVELOPMENT COMPANY
14-20135
                -
                -
                -
                -
                -
                -
                -
                -
                -
                    -
                       
Total Disbursements (same as MOR-1 disbursements)
 $     5,565
 $ 117,086
 $   24,061
 $   22,871
 $   26,241
 $   19,128
 $   19,997
 $   20,631
 $   17,147
 $     272,727
 
 
Exhibit A