Case File
efta-01870238DOJ Data Set 10OtherEFTA01870238
Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01870238
Pages
3
Persons
0
Integrity
Extracted Text (OCR)
EFTA DisclosureText extracted via OCR from the original document. May contain errors from the scanning process.
MC2 MODEL MANAGEMENT GROUP
1/3112011
ASSETS
CURRENT ASSETS
NEW YORK
MIAMI
ELIMINATIONS
CONSOLIDATED
12)3112010
Difference
Comment
CASH
14,883.88
346.324.55
361,208.43
330.026.63
31,181,60
ACCOUNTS RECEIVABLE - NO RESERVE
886,304.91
808,065.06
1.694.359.97
1.400.207.35
294.152.62 Increase mostly en NY (Macaw Erickson. Revlon)
OTHER RECEIVABLES
61275.61
10,612.18
71.667.79
77,998.1)9
(6.111.10) monde, 657k due from WAG limn 2006
PREPAID EXPENSES
3,060.00
10,057.23
13.907 23
13.907 23
DUE FROM MODELS
95.868.87
8.635.93
104.50480
98975.76
5,829,04 Advances to models paid through payrci
DUE FROM GROUP COMPANIES
235.70381
(235.703.81)
-
-
-
Interco between Miami and NY
TOTAL CURRENT ASSETS
1,061,303.27
1,420,168.76
(239703.01)
2245.860.22
1,909908.83
PROPERTY AND EQUIPMENT • NET
78.143.23
57260.17
135,403 40
128,649.29
6,754.11 Furniture in Marro. °impute( m NY
OTHER ASSETS
SECURITY DEPOSITS
9.371,00
12.198.00
21,569.00
21,569.00
OTHER ASSETS
TOTAL OTHER ASSETS
9.371.00
12.198.00
21,569.00
21,589.00
TOTAL ASSETS
1.148.897.50
1.409.046.93
(235.703.01)
2.402.640.62
2.057.127.12
345.71390
LIABILITIES AND STOCKHOLDERS EQUITY
CURRENT LIABILMES
ACCOUNTS PAYABLE 8. ACCRUED EXPENSES
341,873.77
154.281.26
496.155 03
351.467.37
144,68766
MODELS PAYABLE
019.951.88
457.912,94
1277.1364 82
1.220.197.35
57.667.47
DUE TO GROUP COMPANIES
225.632.30
389.128.66
1235.703.81)
379.057 15
389.111.91
(10,054.76) ma/4am includes payables to Next Tone and Kann NY
MELLON NOTE
476.795 50
307,602.74
764,598 24
784.598 24
MODELS WITHHOLDING PAYABLE
977.024,57
589.947,71
1,566,972.20
1,584,563,68
(17.591.60)
MOTHER AGENCY PAYABLE
170.070 72
10.727.61
180.798 33
166.637.36
12.16095
TOTAL CURRENT UABIUTIES
3,011,348.74
1,909,600.92
(235,703.01)
4.685.445.85
4.496,576,13
MEMBERS EQUITY (DEFICIT)
MEMMBERS DRAW
RETAINED (DEFICIT) EARNINGS
(1.062,451.24)
(420,153.99)
(2.202,605.23)
(2.441.449.01)
158.843.70
TOTAL MEMBERS EQUITY (DEFICIT)
(1,862.451.24)
(420.153.99)
(2.282.605.23)
(2.441.449.01)
TOTAL UABIUTIES AND STOCKHOLDERS
(DEFICIT) EQUITY
1.148.897.50
1.499.646.93
(235.703.81)
2.402.840.62
2,057,127.12
345,713.50
kxernal Reporting
EFTA_R1_00275572
EFTA01870238
1/31/2011
1 MONTH ENDING 01/31/2011
NEW YORK
MIAMI
CONSOLIDATED
MODEL EARNINGS
GROSS BILLINGS
$
426,785.88 $
495,461.80 $
922,247.68
MODEL EARNINGS
$
(292,297.80) $ (350,133.75) $
(642,431.55)
MOTHER AGENCY FEES
$
(8,717.28) $
(12,621.28) $
(21,338.56)
NET MODEL EARNINGS
$
125,770.80 $
132,706.77 $
258,477.57
GROSS MARGIN
OPERATING EXPENSES
OTHER INCOME (EXPENSES)
MOTHER AGENCY INCOME
29.47%
$
65,164.94
26.78%
$
91.170.72
28.03%
$
156,335.66
PRODUCTION INCOME
20,982.32 $
20,982.32
INTEREST EXPENSE
S
(1,317.47) $
(878.32) $
(2,195.79)
MISCELLANEOUS INCOME
TAX EXPENSE
TOTAL OTHER EXPENSES
(1,317.47) $
20,104.00 $
18,786.53
NET INCOME (LOSS)
$
59,288.39 $
61,640.05 $
120,928.44
PER TRIAL BALANCE
$
59,288.39 $
61,640.05 $
120,928.44
DIFFERENCE
$
0.00 $
-
$
(0.00)
Internal Reporting
EFTA_R1_00275573
EFTA01870239
MC2 MODEL MANAGEMENT GROUP
1/3112011
1 MONTHS ENDING 01/31/2011
NEW YORK
MIAMI
CONSOLIDATED
SALARIES
22,694.00
33,703.40
56,397.40
PAYROLL TAXES
3,268.21
4,558.58
7,826.79
EMPLOYEE BENEFITS
(131.50)
(789.00)
(920.50)
RENT
5,450.00
8,457.23
13,907.23
UTILITIES
1,534.83
1,534.83
OFFICE CLEANING, R& M
863.47
500.00
1,363.47
MODEL EXPENSES
1,996.05
4,732.12
6,728.17
EQUIPMENT R&M
1,251.51
1,251.51
DUES & SUBCRIPTIONS
DONATIONS
ADVERTISING & PROMO
TELEPHONE
3,361.59
1.436.39
4,797.98
PROFESSIONAL FEES
4,606.25
4,606.25
EQUIPMENT LEASES
685.51
685.51
TRAVEL AND ENTERTAINMENT
11,141.20
16,291.40
27,432.60
SCOUTING EXPENSES
9,072.71
4.825.06
13,897.77
INTERNET & MISC COMPUTER EXPENSES
844.94
844.94
OFFICE SUPPLIES AND EXPENSE
2,937.41
2,079.26
5,016.67
POSTAGE & DELIVERY
320.10
320.10
INSURANCE
318.71
4,242.15
4,560.86
STATIONARY & PRINTING
386.85
386.31
773.16
STORAGE
594.92
594.92
MOVING EXPENSES
CORPORATE CAR & APARTMENT
52.81
29.52
82.33
OUTSIDE SERVICES
2,080.00
1,450.00
3,530.00
BANK, MERCHANT AND PAYROLL FEES
138.60
965.07
1,103.67
DEPRECIATION
MISCELLANEOUS
65,164.94
91,170.72
156,335.66
Internal Reporting
EFTA_R1_00275574
EFTA01870240
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