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8-K - FORM 8-K - LIFE PARTNERS HOLDINGS INCv427341_8k.htm
EX-99.4 - EXHIBIT 99.4 - LIFE PARTNERS HOLDINGS INCv427341_ex99-4.htm
EX-99.6 - EXHIBIT 99.6 - LIFE PARTNERS HOLDINGS INCv427341_ex99-6.htm
EX-99.7 - EXHIBIT 99.7 - LIFE PARTNERS HOLDINGS INCv427341_ex99-7.htm
EX-99.9 - EXHIBIT 99.9 - LIFE PARTNERS HOLDINGS INCv427341_ex99-9.htm
EX-99.8 - EXHIBIT 99.8 - LIFE PARTNERS HOLDINGS INCv427341_ex99-8.htm
EX-99.3 - EXHIBIT 99.3 - LIFE PARTNERS HOLDINGS INCv427341_ex99-3.htm
EX-99.1 - EXHIBIT 99.1 - LIFE PARTNERS HOLDINGS INCv427341_ex99-1.htm
EX-99.5 - EXHIBIT 99.5 - LIFE PARTNERS HOLDINGS INCv427341_ex99-5.htm
EX-99.10 - EXHIBIT 99.10 - LIFE PARTNERS HOLDINGS INCv427341_ex99-10.htm
EX-99.19 - EXHIBIT 99.19 - LIFE PARTNERS HOLDINGS INCv427341_ex99-19.htm
EX-99.15 - EXHIBIT 99.15 - LIFE PARTNERS HOLDINGS INCv427341_ex99-15.htm
EX-99.17 - EXHIBIT 99.17 - LIFE PARTNERS HOLDINGS INCv427341_ex99-17.htm
EX-99.14 - EXHIBIT 99.14 - LIFE PARTNERS HOLDINGS INCv427341_ex99-14.htm
EX-99.18 - EXHIBIT 99.18 - LIFE PARTNERS HOLDINGS INCv427341_ex99-18.htm
EX-99.11 - EXHIBIT 99.11 - LIFE PARTNERS HOLDINGS INCv427341_ex99-11.htm
EX-99.13 - EXHIBIT 99.13 - LIFE PARTNERS HOLDINGS INCv427341_ex99-13.htm
EX-99.16 - EXHIBIT 99.16 - LIFE PARTNERS HOLDINGS INCv427341_ex99-16.htm
EX-99.12 - EXHIBIT 99.12 - LIFE PARTNERS HOLDINGS INCv427341_ex99-12.htm

 

Exhibit 99.2

 

  Monthly Operating Report
  ACCRUAL BASIS

  

CASE NAME: Life Partners, Inc.
   
CASE NUMBER: 15-40289 (Jointly Administered)
   
JUDGE: Russell Nelms

  

UNITED STATES BANKRUPTCY COURT

 

NORTHERN & EASTERN DISTRICTS OF TEXAS

 

REGION 6

 

MONTHLY OPERATING REPORT

  

MONTH ENDING:  November   2015  
  MONTH   YEAR  

 

IN ACCORDANCE WITH TITLE 28, SECTION 1746, OF THE UNITED STATES CODE, I DECLARE UNDER PENALTY OF PERJURY THAT I HAVE EXAMINED THE FOLLOWING MONTHLY OPERATING REPORT (ACCRUAL BASIS-1 THROUGH ACCRUAL BASIS-7) AND THE ACCOMPANYING ATTACHMENTS AND, TO THE BEST OF MY KNOWLEDGE, THESE DOCUMENTS ARE TRUE, CORRECT, AND COMPLETE. DECLARATION OF THE PREPARER (OTHER THAN RESPONSIBLE PARTY) IS BASED ON ALL INFORMATION OF WHICH PREPARER HAS ANY KNOWLEDGE.

 

RESPONSIBLE PARTY:    
     
/s/ H. Thomas Moran II   Trustee
ORIGINAL SIGNATURE OF RESPONSIBLE PARTY   TITLE
     
H. Thomas Moran II   12/21/2015
PRINTED NAME OF RESPONSIBLE PARTY   DATE
     
PREPARER:    
     
/s/ Colette Pieper   CEO
ORIGINAL SIGNATURE OF PREPARER   TITLE
     
Colette Pieper   12/21/2015
PRINTED NAME OF PREPARER   DATE

 

 

 

  

  Monthly Operating Report
  ACCRUAL BASIS-1

 

CASE NAME:   Life Partners, Inc.
   
CASE NUMBER: 15-40289 (Jointly Administered)
 
COMPARATIVE BALANCE SHEET  

 

      SCHEDULE
AMOUNT
   SEPTEMBER   OCTOBER   NOVEMBER 
ASSETS                    
1.  UNRESTRICTED CASH  $295,821   $242,099   $228,824   $639,314 
2.  RESTRICTED CASH  $101,555   $101,613   $7   $7 
3.  TOTAL CASH  $397,376   $343,712   $228,831   $639,322 
4.  ACCOUNTS RECEIVABLE (NET)  $143,949   $135,456   $133,532   $133,532 
5.  INVENTORY                    
6.  NOTES RECEIVABLE  $8,912                
7.  PREPAID EXPENSES  $343,387   $124,649   $122,207   $99,366 
8.  OTHER (ATTACH LIST)  $49,475   $58,696   $54,434   $54,317 
9.  TOTAL CURRENT ASSETS  $943,098   $662,514   $539,004   $926,536 
10.  PROPERTY, PLANT & EQUIPMENT       $1,996,382   $1,996,382   $1,996,382 
11.  LESS: ACCUMULATED DEPRECIATION/DEPLETION       $(1,874,992)  $(1,881,353)  $(1,887,714)
12.  NET PROPERTY, PLANT & EQUIPMENT  $299,672   $121,390   $115,029   $108,667 
13.  DUE FROM INSIDERS  $74,265,951   $0   $0   $0 
14.  OTHER ASSETS - NET OF AMORTIZATION (ATTACH LIST)  $662,950   $662,950   $0   $0 
15.  OTHER (ATTACH LIST)  $13,513,629   $13,246,192   $13,917,492   $14,158,827 
16.  TOTAL ASSETS  $89,685,300   $14,693,046   $14,571,525   $15,194,031 
POSTPETITION LIABILITIES                    
17.  ACCOUNTS PAYABLE       $1,329,537   $1,866,555    $969,423 4
18.  TAXES PAYABLE       $13,551   $90,454    $86,726 5
19.  NOTES PAYABLE       $0   $0   $0 
20.  PROFESSIONAL FEES       $2,923,067   $4,942,561   $4,807,620 
21.  SECURED DEBT       $0   $0   $0 
22.  OTHER (ATTACH LIST)       $5,182,720   $5,179,974   $11,509,046 
23.  TOTAL POSTPETITION LIABILITIES       $9,448,874   $12,079,543   $17,372,815 
PREPETITION LIABILITIES                    
24.  SECURED DEBT   undetermined   $5,976   $5,976    $5,976 2
25.  PRIORITY DEBT   undetermined   $90,306   $90,306    $0 3
26.  UNSECURED DEBT  $9,203,450   $686,492   $686,588   $686,588 
27.  OTHER (ATTACH LIST)       $0   $0   $0 
28.  TOTAL PREPETITION LIABILITIES  $9,203,450   $782,773   $782,869   $692,564 
29.  TOTAL LIABILITIES  $9,203,450   $10,231,647   $12,862,412   $18,065,378 
EQUITY                    
30.  PREPETITION OWNERS' EQUITY       $78,978,770   $78,978,770   $78,978,770 
31.  POSTPETITION CUMULATIVE
PROFIT OR (LOSS)
       $(6,440,232)  $(9,440,896)  $(11,835,724)
32.  DIRECT CHARGES TO EQUITY (ATTACH EXPLANATION)       $(68,077,139)  $(67,828,761)  $(70,014,393)1
33.  TOTAL EQUITY       $4,461,399   $1,709,113   $(2,871,347)
34.  TOTAL LIABILITIES & OWNERS' EQUITY       $14,693,046   $14,571,525   $15,194,031 

 

1This includes the following intercompany amounts shown below. The Schedule Amount related to this is shown under Item 13. Due From Insiders.

  

Due from Life Partners Holdings, Inc.  $76,608,553.70 
Due from LPHI Management Services  $11,719.74 
Due to LPI Financial Services, Inc.  $(6,605,879.95)
   $70,014,393.49 

  

2Item 24. Secured Debt is accrued property taxes for the prepetition period of Jan. 1, 2015 thru May 19, 2015.
3This prepetition liability for Texas Franchise Tax has been moved to LPHI's books.
4Item 17. Accounts Payables includes $834,339.48 of invoices from bankruptcy professionals that would normally be included in Item 20. Professional Fees.
5Accrued personal property taxes includes an adjustment to taxes as a result of the taxing authority changing the valuation of the airplane held on 1/1/15.

 

 

 

  

  Monthly Operating Report
  SUPPLEMENT TO
  ACCRUAL BASIS-1

 

CASE NAME: Life Partners, Inc.
   
CASE NUMBER: 15-40289 (Jointly Administered)

 

COMPARATIVE BALANCE SHEET

 

      SCHEDULE
AMOUNT
   SEPTEMBER   OCTOBER   NOVEMBER 
8. OTHER CURRENT ASSETS                    
8.  Pardo Family Holdings Trust (Advance to Price L. Johnson, PC)  $25,000   $25,000   $25,000   $25,000 
8.  Pardo Family Holdings Trust (Advance to Kyle, Mathis & Lucas, LLP)  $15,505   $15,505   $15,505   $15,505 
8.  ESP Communications Duplicate Payment  $7,500   $7,500   $7,500   $7,500 
8.  Advance Trust & Life Escrow Services, LTA (Abandonment Premiums)       $5,064   $5,064   $5,064 
8.  Purchase Escrow Services (Abandonment Premiums)       $3,429   $-   $-2
8.  Employee Advances  $992   $659   $0   $0 
8.  Notes Receivable-Employee  $477   $1,539   $1,365   $1,248 
8                       
8.  TOTAL - OTHER CURRENT ASSETS  $49,475   $58,696   $54,434   $54,317 
14. OTHER ASSETS - NET OF AMORTIZATION                    
14.  Woolly Mammoth & Other Prehistoric Artifacts  $662,950   $662,950   $-   $-1
14.                       
14.                       
14.                       
14.                       
14.  TOTAL - OTHER ASSETS (Net of Amort.)  $662,950   $662,950   $-   $- 
15. OTHER ASSETS                    
15.  TDL, LLC Misappropriation of Foreign Exchange Funds  $257,395                
15.  Advance on Premiums paid by PES on behalf of investors  $13,083,062   $13,505,182   $14,029,884   $14,234,508 
15.  Advance on Premiums paid by ATLES on behalf of investors  $136,291   $137,006   $273,922   $310,633 
15.  Allowance for Bad Debts       $(5,483,317)  $(5,483,317)  $(5,483,317)
15.  Overpayments of Commissions Receivable  $36,881                
15.  Deferred Income Tax Benefit       $4,632,419   $4,632,419   $4,632,419 
15.  Policy Purchase       $123,591   $123,591   $123,591 
15.  Capitalized Premiums on Policies Purchased       $315,754   $325,436   $325,436 
15.  Deposits       $15,558   $15,558   $15,558 
15.  TOTAL - OTHER ASSETS  $13,513,629   $13,246,192   $13,917,492   $14,158,827 
                        
POSTPETITION LIABILITIES                    
22.  Accrued Payroll       $67,803   $58,048   $62,244 
22.  Accrued Vacation       $87,402   $89,485   $86,131 
22.  Accrued 401K       $0   $4,034   $3,941 
22.  401K Loan       $0   $741   $730 
22.  Child Support & PR Garnishment       $0   $152   $0 
22.  Loan From Maturities (Dkt 1127)                 $6,328,486 
22.  Deferred Revenue       $5,027,515   $5,027,515   $5,027,515 
22  TOTAL - OTHER POSTPETITION LIABILITIES       $5,182,720   $5,179,974   $11,509,046 

 

1 Sold pursuant to court order Dkt.1053
2 These Abandonment Premiums were collected back from PES in October.

 

 

 

  

Monthly Operating Report
ACCRUAL BASIS-2

 

 

CASE NAME: Life Partners, Inc.
   
CASE NUMBER: 15-40289 (Jointly Administered)

  

INCOME STATEMENT  AUGUST   SEPTEMBER   OCTOBER   NOVEMBER 
REVENUES                    
1.  GROSS REVENUES                    
2.  LESS: RETURNS & DISCOUNTS                    
3.  NET REVENUE  $0   $0   $0   $0 
COST OF GOODS SOLD                    
4.  MATERIAL  $0   $0   $0   $0 
5.  DIRECT LABOR  $0   $0   $0   $0 
6.  DIRECT OVERHEAD  $19,450   $17,060   $6,784   $4,278 
7.  TOTAL COST OF GOODS SOLD  $19,450   $17,060   $6,784   $4,278 
8.  GROSS PROFIT  $(19,450)  $(17,060)  $(6,784)  $(4,278)
OPERATING EXPENSES                    
9.  OFFICER / INSIDER COMPENSATION  $28,794   $30,165   $30,165   $28,794 
10.  SELLING & MARKETING       $0   $0   $0 
11.  GENERAL & ADMINISTRATIVE  $244,334   $270,143   $275,276   $254,337 
12.  RENT & LEASE  $17,098   $14,178   $19,571   $14,940 
13.  OTHER (ATTACH LIST)  $38,302   $8,558   $26,125   $23,846 
14.  TOTAL OPERATING EXPENSES  $328,529   $323,044   $351,138   $321,916 
15.  INCOME BEFORE NON-OPERATING INCOME & EXPENSE  $(347,979)  $(340,104)  $(357,922)  $(326,195)
OTHER INCOME & EXPENSES                    
16.  NON-OPERATING INCOME (ATTACH LIST)  $(11,490)  $(8,929)  $70,816   $(3,868)1
17.  NON-OPERATING EXPENSE (ATTACH LIST)       $0   $0   $0 
18.  INTEREST EXPENSE       $3   $(3)  $0 
19.  DEPRECIATION / DEPLETION  $6,327   $6,871   $6,361   $6,361 
20.  AMORTIZATION       $0   $0   $0 
21.  OTHER (ATTACH LIST)  $(1,502)  $4,082   $(994)  $0 
22.  NET OTHER INCOME & EXPENSES  $(6,664)  $2,027   $76,180   $2,493 
REORGANIZATION EXPENSES                    
23.  PROFESSIONAL FEES  $1,575,668   $1,832,459   $2,559,012   $2,059,640 
24.  U.S. TRUSTEE FEES       $2,956   $7,549   $6,500 
25.  OTHER (ATTACH LIST)  $126   $0   $0   $0 
26.  TOTAL REORGANIZATION EXPENSES  $1,575,794   $1,835,415   $2,566,561   $2,066,140 
27.  INCOME TAX                    
28.  NET PROFIT (LOSS)  $(1,917,109)  $(2,177,546)  $(3,000,664)  $(2,394,828)

 

1 See supplement to MOR-2.

 

 

 

  

Monthly Operating Report
SUPPLEMENT TO
ACCRUAL BASIS-2

  

CASE NAME:       Life Partners, Inc.
 
CASE NUMBER:       15-40289 (Jointly Administered)

  

INCOME STATEMENT  AUGUST   SEPTEMBER   OCTOBER   NOVEMBER 
OTHER OPERATING EXPENSES                    
13.  Bad Debt Expense                    
13.  Other Expense- Premium Expense  $289   $8,558   $20,546   $12,910 
13.  Other Expense- BK Premiums            $5,579   $10,936 
13.  Impairment Expense  $38,013   $-   $-   $- 
13.  TOTAL - OTHER OPERATING EXPENSE  $38,302   $8,558   $26,125   $23,846 
NON-OPERATING INCOME                    
16.  Interest Income  $11,490   $3,883   $3,753   $3,868 
16.  Loss on sale of Ice Age Collection            $(156,067)  $- 
16.  Life Assets Trust S.A. return            $77,998    2
16.  Gain on Sale of Egyptian Replicas            $3,500      
16.  Gain on Sale of Assets       $5,000         1
16.  Other Income       $46   $-   $- 
16.  TOTAL NON-OPERATING INCOME  $11,490   $8,929   $(70,816)  $3,868 
NON-OPERATING EXPENSE                    
17.               $-   $- 
17.                       
17.                       
17.                       
17.                       
17.  TOTAL NON-OPERATING EXPENSE  $-   $-   $-   $- 
OTHER EXPENSE                    
21.  Franchise Tax  $(1,502)  $4,082   $(994)  $- 
21.  State Income Tax-Other  $-   $-   $-   $- 
21.                       
21.                       
21.                       
21.  TOTAL OTHER EXPENSE  $(1,502)  $4,082   $(994)  $- 
OTHER REORGANIZATION EXPENSES                    
25.  Transcription Services  $126                
25.                       
25.                       
25.                       
25.                       
25.  TOTAL OTHER REORGANIZATION EXP  $126   $-   $-   $- 

 

1 Gain on sale of foxcart equipment sold along with the airport hangar pursuant to court order.
2 This is Life Partners' portion of the settlement reached between Life Assets Trust S.A.and Portigon Ag, New York Branch, due to the bank foreclosing on the assets of Life Assets Trust SA. Life Partners owned approximately 19.91% of Life Assets Trust S.A. Compartment A.

 

 

 

  

Monthly Operating Report
ACCRUAL BASIS-3

  

CASE NAME: Life Partners, Inc.
   
CASE NUMBER: 15-40289 (Jointly Administered)

  

CASH RECEIPTS AND DISBURSEMENTS  QUARTER   OCTOBER   NOVEMBER   DECEMBER   QUARTER 
1.  CASH - BEGINNING OF MONTH       $343,712   $228,831   $639,322      
RECEIPTS FROM OPERATIONS                         
2.  CASH SALES  $0                  $0 
COLLECTION OF ACCOUNTS RECEIVABLE                         
3.  PREPETITION  $161                  $0 
4.  POSTPETITION  $267,147   $32,926   $193,847        $226,773 
5.  TOTAL OPERATING RECEIPTS  $267,308   $32,926   $193,847   $0   $226,773 
NON-OPERATING RECEIPTS                         
6.  LOANS & ADVANCES (ATTACH LIST)  $0        $6,328,486        $6,328,486 
7.  SALE OF ASSETS  $5,000   $510,383              $510,3831
8.  OTHER (ATTACH LIST)  $1,899,950   $344,381   $9,184        $353,566 
9.  TOTAL NON-OPERATING RECEIPTS  $1,904,950   $854,764   $6,337,670   $0   $7,192,435 
10.  TOTAL RECEIPTS  $2,172,258   $887,691   $6,531,517   $0   $7,419,207 
11.  TOTAL CASH AVAILABLE       $1,231,403   $6,760,348   $639,322      
OPERATING DISBURSEMENTS                         
12.  NET PAYROLL  $398,029   $116,986   $117,018        $234,004 
13.  PAYROLL TAXES PAID  $135,772   $38,231   $38,587        $76,818 
14.  SALES, USE & OTHER TAXES PAID  $191                  $0 
15.  SECURED / RENTAL / LEASES  $50,082   $19,756   $15,288        $35,045 
16.  UTILITIES  $46,426   $11,250   $9,797        $21,048 
17.  INSURANCE  $157,585   $2,596   $29,498        $32,094 
18.  INVENTORY PURCHASES  $0                  $0 
19.  VEHICLE EXPENSES  $125   $128   $95        $224 
20.  TRAVEL  $4,983   $3,471   $1,160        $4,631 
21.  ENTERTAINMENT  $0                  $0 
22.  REPAIRS & MAINTENANCE  $11,699   $2,666   $7,695        $10,361 
23.  SUPPLIES  $3,891   $5,099   $3,256        $8,355 
24.  ADVERTISING  $0                  $0 
25.  OTHER (ATTACH LIST)  $902,274   $779,600   $518,308        $1,297,909 
26.  TOTAL OPERATING DISBURSEMENTS  $1,711,056   $979,785   $740,703   $0   $1,720,488 
REORGANIZATION EXPENSES                         
27.  PROFESSIONAL FEES  $379,992   $13,040   $5,380,323        $5,393,363 
28.  U.S. TRUSTEE FEES  $2,603   $9,747             $9,747 
29.  OTHER (ATTACH LIST)  $126                   $0 2
30.  TOTAL REORGANIZATION EXPENSES  $382,722   $22,787   $5,380,323   $0   $5,403,110 
31.  TOTAL DISBURSEMENTS  $2,093,778   $1,002,572   $6,121,026   $0   $7,123,598 
32.  NET CASH FLOW  $78,480   $(114,881)  $410,490   $0   $295,609 
33.  CASH - END OF MONTH       $228,831   $639,322   $639,322      

 

1 Proceeds from sale of Ice Age Collection and replicas of Egyptian Artifacts pursuant to court order.
2 Other Item 29. is transcription services.

 

 

 

 

 

Monthly Operating Report

SUPPLEMENT TO

ACCRUAL BASIS-3

 

CASE NAME: Life Partners, Inc.
   
CASE NUMBER: 15-40289 (Jointly Administered)

 

CASH RECEIPTS AND DISBURSEMENTS  QUARTER   OCTOBER   NOVEMBER   DECEMBER   QUARTER 
                        
NON-OPERATING RECEIPTS-LOANS AND ADVANCES            
6.  Loan From Maturities (Dkt 1127)  $-        $6,328,486        $6,328,486 
6.     $-                  $- 
6.  Total Loans and Advances  $-   $-   $6,328,486   $-   $6,328,486 
                             
NON-OPERATING RECEIPTS-OTHER            
8.  A/R Collections-Abandonment Refunds  $-   $6,198             $6,198 
8.  Flow Thru Premiums & Platform Fees  $14,627   $5,372   $5,289        $10,661 
8.  Transfer From LPIFS Checking Acct# 4069  $1,850,000   $250,000             $250,000 
8.  Interest Income  $15,378   $3,747   $3,864        $7,611 
8.  Other Inc-dividends on pd out policies  $87                  $- 
8.  Other Income-Life Assets Trust S.A. Settlement  $-   $77,998             $77,998 
8.  Return of retainer  $15,000                  $- 
8.  Reimbursements & Refunds-COBRA insurance  $4,386   $977             $977 
8.  Reimbursements & Refunds-Employee Advance  $20   $25   $25        $50 
8.  Reimbursements & Refunds-License & Fees  $9                  $- 
8.  Reimbursements & Refunds-Travel  $406                  $- 
8.  Reimbursements & Refunds-Utilities       $30   $5        $35 
8.  Reimbursements & Refunds-Other  $37   $35             $35 
8.  Total Other Non-Operating Receipts  $1,899,950   $344,381   $9,184   $-   $353,566 
                             
OTHER OPERATING DISBURSEMENTS            
25.  Premiums Advanced  $586,629   $715,090   $448,091        $1,163,182 
25.  Premiums-LPI Owned positions  $25,703                  $- 
25.  Bank Fees (Charged & Reversed)  $1,565   $590   $606        $1,196 
25.  BK Premiums  $941   $5,579   $10,936        $16,515 
25.  Courier Services  $6,497   $3,171   $1,740        $4,911 
25.  Employee Relations       $200             $200 
25.  Flow Thru Premiums  $28,729   $9,287   $5,289        $14,577 
25.  Licenses & Fees  $1,034   $1,894   $2,103        $3,997 
25.  Medical Records  $337        $1,300        $1,300 
25.  Medical Review Life Expectancy  $700                  $- 
25.  Outside Services  $6,373   $1,669   $1,547        $3,217 
25.  Payroll Garnishment  $1,063   $304   $304        $607 
25.  Payroll-401K deductions  $32,498   $9,464   $9,506        $18,970 
25.  PES Operating Exp  $99,261        $30,765        $30,765 
25.  Software Licenses & Support  $9,649   $4,080   $564        $4,644 
25.  Policy Administration Expense  $29,083   $20,135   $4,712        $24,847 
25.  Refund Duplicate Payments       $845             $845 
25.  Subscriptions  $6,274   $507   $288        $795 
25.  Trust Fees/Cost Reimbursement  $64,618   $6,784   $532        $7,316 
25.  Employee Loan & Advances  $1,320        $25        $25 
25.  Total - Other Operating Disbursements  $902,274   $779,600   $518,308   $-   $1,297,909 
                             
OTHER REORGANIZATION EXPENSES            
29.  Transcription Services  $126                  $- 
29.     $-                     
29.     $-                  $- 
29.  Total - Other Reorganization Expenses  $126   $-   $-   $-   $- 

 

 

 

  

Monthly Operating Report

ACCRUAL BASIS-4

 

CASE NAME: Life Partners, Inc.
   
CASE NUMBER: 15-40289 (Jointly Administered)

 

ACCOUNTS RECEIVABLE AGING  SCHEDULE
AMOUNT
   SEPTEMBER   OCTOBER   NOVEMBER  
                     
1.  0-30  $139,890   $32,834   $669,205   $241,905  
2.  31-60  $279,914   $11,534   $37,952   $669,196  
3.  61-90  $77,762   $195,541   $6,472   $37,052  
4.  91+  $12,721,787   $13,402,278   $13,590,176   $13,596,987  
5.  TOTAL ACCOUNTS RECEIVABLE  $13,219,353   $13,642,187   $14,303,805   $14,545,140 1
6.  AMOUNT CONSIDERED UNCOLLECTIBLE  $5,163,790   $5,483,317   $5,483,317   $5,483,317 1
7.  ACCOUNTS RECEIVABLE (NET)  $8,055,563   $8,158,870   $8,820,488   $9,061,823 1

 

AGING OF POSTPETITION TAXES AND PAYABLES  MONTH:   November 2015 
                        
      0-30   31-60   61-90   91+     
TAXES PAYABLE  DAYS   DAYS   DAYS   DAYS   TOTAL 
1.  FEDERAL  $17,533                  $17,533 
2.  STATE  $101                  $101 
3.  LOCAL  $69,092                  $69,092 
4.  OTHER (ATTACH LIST)                      $0 
5.  TOTAL TAXES PAYABLE  $86,726   $0   $0   $0   $86,726 
                             
6.  ACCOUNTS PAYABLE  $60,293   $824,732   $19,398   $64,999   $969,423 

 

STATUS OF POSTPETITION TAXES      MONTH:   November 2015  
                     
      BEGINNING   AMOUNT       ENDING  
      TAX   WITHHELD AND/   AMOUNT   TAX  
FEDERAL  LIABILITY   0R ACCRUED   PAID   LIABILITY  
1.  WITHHOLDING  $9,024   $17,795   $18,398   $8,421
2.  FICA-EMPLOYEE  $4,916   $9,576   $9,937   $4,556  
3.  FICA-EMPLOYER  $4,916   $9,576   $9,937   $4,556  
4.  UNEMPLOYMENT  $0   $22   $22   $0  
5.  INCOME  $0             $0  
6.  OTHER (ATTACH LIST)  $0             $0  
7.  TOTAL FEDERAL TAXES  $18,857   $36,970   $38,294   $17,533  
STATE AND LOCAL        
8.  WITHHOLDING                 $0  
9.  SALES                 $0  
10.  EXCISE                 $0  
11.  UNEMPLOYMENT  $150   $244   $293   $101  
12.  REAL PROPERTY  $0             $0  
13.  PERSONAL PROPERTY  $62,268   $6,824        $69,092 2
14.  OTHER (ATTACH LIST)  $9,179        $9,179   $0 3
15.  TOTAL STATE & LOCAL  $71,597   $7,068   $9,472   $69,193  
16.  TOTAL TAXES  $90,454   $44,038   $47,766   $86,726  

 

1These amounts are reported in detail on SUPPLEMENT TO MOR-1 under Item 15. Other Assets.
2The figures shown here do not include $5975.51 accrued for the prepetition period of Jan. 1, 2015 thru May 19, 2015 and include an adjustment to the calendar year 2015 tax accrual resulting from the taxing authority changing the valuation of the aircraft held on 1/1/15.
3Item 14. Other is accrual of Texas Franchise Tax and has been moved to LPHI books.

 

 

 

Monthly Operating Report
ACCRUAL BASIS-5

 

CASE NAME: Life Partners, Inc.
   
CASE NUMBER: 15-40289 (Jointly Administered)

 

          MONTH:   November 2015 
BANK  RECONCILIATIONS                
      Account #1   Account #2   Account #3     
A.  BANK:  Bank of Texas   Bank of Texas         
B.  ACCOUNT  NUMBER:  4080   4091       TOTAL 
C.  PURPOSE  (TYPE):  Checking   Checking         
1.  BALANCE  PER  BANK  STATEMENT  $274,344   $367,730        $642,074 
2.  ADD:  TOTAL  DEPOSITS  NOT  CREDITED                 $0 
3.  SUBTRACT:  OUTSTANDING  CHECKS  $6,795             $6,795 
4.  OTHER  RECONCILING  ITEMS                 $0 
5.  MONTH  END  BALANCE  PER  BOOKS  $267,549   $367,730   $0   $635,279 
6.  NUMBER  OF  LAST  CHECK  WRITTEN   1448    1016           

 

INVESTMENT ACCOUNTS

 

      DATE OF  TYPE OF   PURCHASE   CURRENT 
BANK,  ACCOUNT  NAME  &  NUMBER  PURCHASE  INSTRUMENT   PRICE   VALUE 
7.  TD Bank, Life Partners, Inc. Acct 70-T202-01-2  unknown   MoneyMarket       $7 
8.                  
9.                
10.                    
11.  TOTAL  INVESTMENTS          $0   $7 
                      
CASH                  
                      
12.  CURRENCY ON HAND               $4,035.741
                      
13.  TOTAL  CASH  -  END  OF MONTH               $639,322 
                      
1  Item 12. Currency On Hand includes:  Petty Cash  $1,000.00           
      PayPal  $1,348.17           
      Prepaid Visa  $1,687.57           

 

 

 

 

Monthly Operating Report
ACCRUAL BASIS-6

 

CASE  NAME: Life Partners, Inc.
   
CASE  NUMBER: 15-40289 (Jointly Administered)

 

  MONTH: November 2015

 

PAYMENTS  TO  INSIDERS  AND  PROFESSIONALS        
               
INSIDERS
      TYPE  OF  AMOUNT   TOTAL PAID 
   NAME  PAYMENT  PAID   TO DATE 
1.  Mark Embry  Salaries/Expense Reimbursement  $13,462   $74,917 
2.  Advance Trust & Life Es  Premium Remittance/Cost Reimb  $42,533   $312,494 
3.  Life Partners Holdings, Inc.  Rent & Return deposit in error  $1,667   $113,565 
4.  LPI Financial Services, Inc.  Forward Platform Fees  $99   $2,037 
5.  Purchase Escrow Services, LLC  Premium Remittance/Cost Reimb  $440,586   $2,218,967 
6.  Colette Pieper  Salaries/Expense Reimbursement  $13,962   $79,945 
7.  Debora J. Carr  Salaries/Expense Reimbursement  $3,750   $20,625 
8.  TOTAL PAYMENTS TO INSIDERS  $516,058   $2,822,550 

 

PROFESSIONALS2
      DATE  OF  COURT              TOTAL 
      ORDER  AUTHORIZING  AMOUNT   AMOUNT   TOTAL  PAID   INCURRED 
   NAME  PAYMENT  APPROVED   PAID   TO  DATE   & UNPAID 
1.  Asset Servicing Group  10/29/15  $344,134   $344,134   $344,134   $502,572 
2.  Bridgepoint Consulting  10/29/15  $70,372   $70,372   $70,372   $665,552 
3.  Epiq Bankruptcy Solutions  05/22/15  $2,318,973   $1,532,306   $2,091,079   $227,894 
4.  Kim Hinkle, Attorney at Law  10/29/15  $80,408   $80,408   $80,408   $128,516 
5.  MMS Advisors                    $217,6003
6.  Munsch, Hardt, Kopf & Harr,P.C.  10/29/15  $597,453   $597,453   $597,453   $1,161,836 
7.  Thompson & Knight LLP  10/29/15  $2,470,095   $2,466,661   $2,470,095   $6,714,050 
8.  Tom Moran, US Trustee          $6,588   $16,220   $397,750 
9.  Phillips Murrah  10/29/15  $82,045   $82,045   $82,045   $63,202 
10.  Smith, Jackson, Boyer & Brovard, PLLC  10/29/15  $7,463   $7,463   $7,463   $52,552 
11.  Predictive Resources                    $113,867 
12.  D3G/Lewis & Ellis                    $111,140 
13.  Barbara Pope                    $26,706 
14.  TOTAL  PAYMENTS TO  PROFESSIONALS    $5,187,429   $5,759,269   $10,383,236 

 

POSTPETITION STATUS OF SECURED NOTES, LEASES PAYABLE AND ADEQUATE PROTECTION PAYMENTS

 

      SCHEDULED   AMOUNTS     
      MONTHLY   PAID   TOTAL 
      PAYMENTS   DURING   UNPAID 
   NAME OF CREDITOR  DUE   MONTH   POSTPETITION 
1.  Pitney Bowes Global Financial Services, LLC  $5,423   $0   $01
2.  Pitney Bowes Global Financial Services, LLC  $906   $906   $01
3.  Johnnies Office Systems, Inc.  $1,055   $1,055   $0 
4.  Great America Financial Services  $2,939   $2,939   $0 
5.  Life Partners Holdings, Inc.  $10,000   $1,667   $04
6.  PJC Investments, LLC  $10,000   $8,219   $04
7.  TOTAL  $30,323   $14,785   $0 

 

1These lease payments are quarterly, not monthly.
2Professional fees and expenses estimated and accrued prior to May 19th are reflected only on the books of Life Partners Holdings, Inc. Thereafter, professional fees and expenses reflect the estimated aggregate, unallocated fees and expenses for all of the Debtors, and are noted on each of the Debtors MORs.
3MMS Advisors incurred fees and expenses March 13th - May 18th in the estimated amount of $230,000.00 that are not included here since their retention has not been approved for this period of time.
4These are partial month lease payments due to the sale of the buildings.

 

 

 

 

Monthly Operating Report
ACCRUAL BASIS-7

 

CASE  NAME: Life Partners, Inc.
   
CASE  NUMBER: 15-40289 (Jointly Administered)

 

  MONTH: November 2015
         
QUESTIONNAIRE      
         
    YES   NO
1. HAVE ANY ASSETS BEEN SOLD OR TRANSFERRED OUTSIDE THE NORMAL COURSE OF BUSINESS THIS REPORTING PERIOD?     X
2. HAVE ANY FUNDS BEEN DISBURSED FROM ANY ACCOUNT OTHER THAN A DEBTOR IN POSSESSION ACCOUNT?     X
3. ARE ANY POSTPETITION RECEIVABLES (ACCOUNTS, NOTES, OR LOANS) DUE FROM RELATED PARTIES?     X
4. HAVE ANY PAYMENTS BEEN MADE ON PREPETITION LIABILITIES THIS REPORTING PERIOD?     X
5. HAVE ANY POSTPETITION LOANS BEEN RECEIVED BY THE DEBTOR FROM ANY PARTY? X    
6. ARE ANY POSTPETITION PAYROLL TAXES PAST DUE?     X
7. ARE ANY POSTPETITION STATE OR FEDERAL INCOME TAXES PAST DUE?     X
8. ARE ANY POSTPETITION REAL ESTATE TAXES PAST DUE?     X
9. ARE ANY OTHER POSTPETITION TAXES PAST DUE?     X
10. ARE ANY AMOUNTS OWED TO POSTPETITION CREDITORS DELINQUENT? X    
11. HAVE ANY PREPETITION TAXES BEEN PAID DURING THE REPORTING PERIOD?     X
12. ARE ANY WAGE PAYMENTS PAST DUE?     X

 

IF THE ANSWER TO ANY OF THE ABOVE QUESTIONS IS "YES," PROVIDE A DETAILED EXPLANATION OF EACH ITEM. ATTACH ADDITIONAL SHEETS IF NECESSARY.

Questionnaire Item 1. The Ice Age Collection and Egyption Replicas were sold pursuant to court order (Docket 1053).

Questionnaire Item 5. Loans were recevied from maturities of Life Settlements per docket 1127 related to financing.

Questionnaire Item 10. Past due amounts are mainly professional fees incurred after the filing date.

 

INSURANCE

 

    YES   NO
1. ARE WORKER'S COMPENSATION, GENERAL LIABILITY AND OTHER NECESSARY INSURANCE COVERAGES IN EFFECT? X    
2. ARE ALL PREMIUM PAYMENTS PAID CURRENT? X    
3. PLEASE ITEMIZE POLICIES BELOW.      

 

IF THE ANSWER TO ANY OF THE ABOVE QUESTIONS IS "NO," OR IF ANY POLICIES HAVE BEEN CANCELLED OR NOT RENEWED DURING THIS REPORTING PERIOD, PROVIDE AN EXPLANATION BELOW. ATTACH ADDITIONAL SHEETS IF NECESSARY.

 

  INSTALLMENT  PAYMENTS

 

TYPE  OF           PAYMENT AMOUNT
POLICY   CARRIER   PERIOD COVERED   & FREQUENCY
Workers Compensation   Service Lloyds Ins. Co.   06/14/2015- 06/14/2016   $ 316.00 /month