Case File
efta-efta01116005DOJ Data Set 9OtherIAC2 MODEL MANAGEMENT GROUP
Date
Unknown
Source
DOJ Data Set 9
Reference
efta-efta01116005
Pages
3
Persons
0
Integrity
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IAC2 MODEL MANAGEMENT GROUP
1112011
ASSETS
CURRENT ASSETS
NEW YORK
MIAMI
ELIMINATIONS
CONSOLIDATED
12312010
Ditlerence
COMM MM
CASH
14.883.66
346,324.55
361.208.43
330.02683
31.181.60
ACCOUNTS RECEIVABLE - NO RESERVE
686.304.91
608.055.06
1.694.359.97
1.4430.207.35
290.152.62 Increase nosily in NY (lAccam EtICkS011. Revlon)
OTHER RECEIVABLES
61.275.61
10.612.18
71.887.79
77.998.89
(6.111.10) includes 157k due from WAG Ircen 2006
PREPAID EXPENSES
3.05000
10.85723
13.907.23
13.907.23
DUE FROM MODELS
95.868.87
8.635.93
104.504.80
98.675.76
5.829.04 Advances a models paid evough payroll
DUE FROM GROUP COMPANIES
235.703.61
(235.703.81)
Interco between Matroi and NY
TOTAL CURRENT ASSETS
1.061.383.27
1820.188.76
(235.703.81)
224528822
1.90090823
PROPERTY AND EQUIPMENT • NET
7&143.23
57.280.17
135.40340
128.64929
6.754.11 Familure In MOM. Congas( In NY
OTHER ASSETS
SECURITY DEPOSITS
9.371.09
12.190 00
21.56000
21.56900
OTHER ASSETS
TOTAL OTHER ASSETS
9.371.09
12.190 03
21,569.00
21.569.00
TOTAL ASSETS
1.148.897.50
1.489.646.93
(235.703.811
2.402.840.62
2.057.127.12
345.713.50
LIABILITIES AND STOCKHOLDERS EQUITY
CURRENT LIABILITIES
ACCOUNTS PAYABLE 8 ACCRUED EXPENSES
341,873.77
154281.26
496.155.03
351.467-37
144587.66
MODELS PAYABLE
819,951.88
457,912.94
1.277.864.82
1220.197.35
57,687.47
DUE TO GROUP COMPANIES
225,632.30
389.128.66
(235.703.81)
379.057.15
389.111.91
(10.054.76) in Miami Includes payables to Next T4116 and Karin NY
MELLON NOTE
476.79550
307,802.74
784.598.24
784.59824
MODELS WITHHOLDING PAYABLE
977,024.57
589.947.71
1.566.972.28
1.584.563.88
(17.591.60)
MOTHER AGENCY PAYABLE
170.070.72
10.727.61
180.798.33
168.637.38
12.160.95
TOTAL CURRENT LIABILITIES
3.011.348.74
1.909.800.92
(235.703.81)
4.685.445.85
4.498.576.13
MEMBERS EQUITY (DEFICIT)
NUMBERS DRAW
RETAINED (DEFICIT) EARNINGS
(1.862.451.24)
(420.153.99)
(2.282.605.23)
(2••441.449.01)
158,843.78
TOTAL MEMBERS EQUITY (DEFICIT)
(1,862451.24)
(420,153.99)
(2,282,605.23)
(2.441.449.01)
TOTAL LIABILITIES AHD STOCKHOLDERS
(DEFICIT) EQUITY
1,148,897.50
1,489,646.93
(235,703.81)
2,402,840.62
2.057.127.12
345,713.50
Internal Reporling
EFTA01116005
1/31/2011
MODEL EARNINGS
1 MONTH ENDING 01/31/2011
NEW YORK
MIAMI
CONSOLIDATED
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
29.47%
26.78%
28.03%
OPERATING EXPENSES
$
65.164.94 $
91,170.72 $
156,335.66
OTHER INCOME (EXPENSES)
MOTHER AGENCY INCOME
PRODUCTION INCOME
20,982.32 $
20,982.32
INTEREST EXPENSE
$
(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
EFTA01116006
MC2 MODEL MANAGEMENT GROUP
1/31/2011
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
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
EFTA01116007
Technical Artifacts (8)
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GPS
21.56000
21.56900GPS
3.05000
10.85723IPv4
2.057.127.12Phone
12312010Phone
4528822SWIFT/BIC
ACCOUNTSSWIFT/BIC
LIABILITIESSWIFT/BIC
MERCHANTForum Discussions
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