EFTA00591022.pdf
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Sachs Diaz & Diaz, PL.
Certified Public Accountants
October 20, 2015
Joe Titone, Esq.
621 South East 5th Street
Pompano Beach, FL 33060
Re: MO Model Management
**CONFIDENTIAL**
Dear Mr. Titone:
Our office has compiled the information provided by Mc2 Model Management for the
years 2006-April 2015, we have concluded that the lost profits total the sum of
($28,355,959) Twenty Eight Million Three Hundred Fifty Five Thousand Nine Hundred
Fifty Nine based on the schedules attached, summarized below:
IMIEs-__F
_
2006
$710,491
2007
$688,081
2008
$784,876
2009
$1,494,414
2010
$1,810,851
2011
$2,335,069
2012
$4,608,779
2013
$4,972,676
2014
$7,131,156
As of 2015
$3,819,566
TOTAL LOST PROFIT
(Actual NI - Projected NI)
$28,355,959
Please be advised that these loses are based on additional information provided by our
client. This is the most reasonable information we can provide at this point.
Should you have any questions, please feel free to contact our office.
7
7
Members of American and Florida Institutes of Certified Public Accountants
3675 SW 24"" Street
Florida 33145
Telephone
Facsimile
EFTA00591022
Representation Letter
October 20, 2015
Mc2 Model Management, LLC
Miami, Florida
Re:
REVISED INFORMATION
BASED ON NEW ASSUMPTIONS
To Sachs Diaz & Diaz, P.L.:
We are providing this letter in connection with the additional work necessary for the preparation
of the revised Statements of Revenues and Expenses — Income Tax Basis (Actual vs. Projected)
for the years ended December 31, 2006, 2007, 2008, 2009, 2010, 2011, 2012, 2013, 2014 and for
the four months ended April 30, 2015.
We confirm, to the best of our knowledge and belief, the following representations made to you
during your preparation of the revised statements.
I. We revised our assumptions in regards to the company's Projected Revenue and
Expenses for the aforementioned periods.
2. Our assumption to decrease the Projected Revenues by 25% was suggested by our legal
counsel in an attempt to arrange for settlement.
3. We believe that the decrease in Projected Revenues including the projected model
expenses is reasonable and appropriate.
r
c2 Model Management, LLC
EFTA00591023
MC2 Models Management, LLC
Summary of Lost Revenues and Profits - REVISED
(Schedule 1)
Ell
DE
?&SS
2922
2010
ELL
ELI
EU
Ell
As or Aiwa 2015
Total
Actual Revenues
6.042.173
7,565,369
9798,289
6,720.406
8.058,725
8.955,483
9.511,911
10.482.009
10,732,969
1013 711
79,881.065
Actual Operating Expenses
6.815.060
8.295.415
8,906,606
6.988.554
7,504.089
8.556.333
8695.274
10.405.264
10.500.716
2.916.137
79.583.450
Actual Net Income (Loss)
(772.887)
(730.048)
(108:119)
(268,148)
399,150
554,838
815,637
76,745
232.273
97,574
. 297,616
Projected Revenues
9.000.000
10,800.000
12,960,000
15,552.000
18.662.400
22.394.880
26.873,856
32.248.827
38.698.352
15.479.341
202.669.456
Projected Operating Expenses
9.062.396
10,841.965
12,283,443
14.325.734
16.296,913
19 660 661
21 448 440
27 99 208
31 334 923
11.562,201
174.015,882
Projected Net Incomee(Loss)
(62,396)
(41.965)
676,557
1,226,268
2,365.487
2,734.219
5.425,418
5,049.421
7,363,429
3917,140
28,653,574
Lost Profits (Actual NI - Projected NI)
710.491
688 081
784.876
1,494.414
1 810,851
2.335.069
4.608.779
4.972.676
7.131.155
3.819,566
28.355.959
Total Lost Profits:
28,355,959
EFTA00591024
MC2 Model Management, LLC
Statement of Revenues and Expenses - Income Tax Basis (Actual vs. Projected) - REVISED
For the Year Ended December 31, 2006
Actual
Projected
Variance
Revenues
Fees
$
6,040,065
$
9.000.000
2,959,935
Other income
2,108
(2,108)
Total revenues
6.042,173
9.000,000
2,957,827
Operating expenses
Accounting
13,762
16,514
2,752
Advertising and public relations
3,184
6,368
3,184
Automobile
57,666
57,666
Bank charges
17,741
21,289
3,548
Commissions
125,527
186,976
61,449
Delivery and freight
1,782
2,138
356
Depreciation
41,153
41,153
Dues and subscriptions
4,910
5,892
982
Insurance
85,729
84,722
(1,007)
Interest
42,747
(42,747)
licenses and taxes
88,816
87,773
(1,043)
Meals and entertainment
11,543
13,852
2,309
Model expense
4,189,918
6,241,010
2,051,092
Office supplies and expenses
98,762
118,514
19,752
Outside services
63,715
76,458
12,743
Payroll services
6,184
6,184
Postage
3,314
3,314
Professional services
76,121
91,345
15,224
Rent
327,293
435,293
108,000
Repairs and maintenance
92,796
92,796
Salaries and wages
1,092,687
1,079,854
(12,833)
Scouting
111,811
111,811
Telephone
73,552
88,262
14,710
Travel
157,489
157,489
Utilities
26,858
35 721
8,863
Total operating expenses
6 815 060
9,062,396
2,247,336
Net Profit/(Loss)
(772,8871
(62,3%.1
S
710,491
Mention is directed to independent accountants' compilation report
EFTA00591025
MC2 Model Management, LLC
Statement of Revenues and Expenses - Income Tax Basis (Actual vs. Projected) - REVISED
For the Year Ended December 31, 2007
Actual
Projected
Variance
Revenues
Fees
$
7,565,369
$
10,800.000
3,234,631
Other income
Total revenues
7,565,369
10,800,000
3,234,631
Operating expenses
Advertising and public relations
10,283
20,566
10,283
Bank charges
17,262
20,714
3,452
Commissions
8,034
11,469
3,435
Delivery and freight
7,436
8,923
1,487
Depreciation
32,459
32,459
Dues and subscriptions
6,458
7,750
1,292
Insurance
130,043
140,525
10,482
Interest
75,467
(75,467)
Licenses and taxes
99,042
107,026
7,984
Meals and entertainment
44,332
53,198
8,866
Model expense
5,435,614
7,759,652
2,324,038
Office supplies and expenses
55,970
67,164
11,194
Payroll services
4,765
5,718
953
Postage
5,837
5,837
Printing
235
235
Professional services
51,225
61,470
10,245
Rent
486,585
594,585
108,000
Repairs and maintenance
84,587
84,587
Salaries and wages
1,176,739
1,271,593
94,854
Scouting
42,380
42,380
Supplies
40,342
40,342
Telephone
123,749
148,499
24,750
Travel
353,408
353,408
Utilities
3 163
3 865
702
Total operating expenses
8,295,415
10,841,965
2,546,550
Net Profit/(Loss)
$
(730.046)
$
(41.965)
$
688.081
Attention is directed to independent accountants compilation report.
EFTA00591026
Statement of Revenues and Expenses
MC2 Model Management, LLC
Income Tax Basis (Actual vs. Projected) - REVISED
For the Year Ended December 31, 2008
Revenues
Actual
Projected
Variance
Fees
S
8,798,289
S
12,960,000
4,161,711
Other income
Total revenues
8,798,289
12,960,000
4,161,711
Operating expenses
Advertising and public relations
11,173
22,346
11,173
Bank charges
11,586
13,903
2,317
Delivery and freight
7,325
8,790
1,465
Depreciation
33,322
33,322
Dues and subscriptions
4,535
5,442
907
Insurance
176,267
214,513
38,246
Interest
55,252
(55,252)
Licenses and taxes
98,098
119,383
21,285
Meals and entertainment
27,864
33,437
5,573
Model expense
6,202,284
9,136,049
2,933,765
Office supplies and expenses
104,937
125,924
20,987
Outside services
15,690
18,828
3,138
Payroll services
6,212
7,454
1,242
Postage
5,944
5,944
Printing
3,725
3,725
Professional services
47,806
57,367
9,561
Rent
465,083
573,083
108,000
Repairs and maintenance
71,729
71,729
Salaries and wages
1,144,236
1,392,511
248,275
Scouting
61,450
61,450
Supplies
2,745
2,745
Telephone
101,627
121,952
20,325
Travel
222,629
222,629
Utilities
25,089
30 915
5,826
Total operating expenses
8 906 608
12,283,443
3,376,835
Net Profit/(Loss)
(108,319)
676.557
S
784,876
Attention is directed to independent accountants' compilation report.
EFTA00591027
MC2 Model Management, LLC
Statement of Revenues and Expenses - Income Tax Basis (Actual vs. Projected) - REVISED
For the Year Ended December 31, 2009
Actual
Projected
Variance
Revenues
Fees
S
6,720,406
S
15,552,000
8,831,594
Other income
Total revenues
6,720,406
15,552,000
8.831,594
Operating expenses
Advertising and public relations
6,080
12,160
6,080
Bank charges
9,443
11,332
1,889
Computer and interne' expenses
10,099
12,119
2,020
Depreciation
18,553
18,553
Dues and subscriptions
561
673
112
Employee benefit programs
80,857
142,737
61,880
Insurance
44,434
44,434
Interest
26,709
(26,709)
Licenses and taxes
71,072
125,463
54,391
Meals and entertainment
25,689
30,827
5,138
Model expense
4,910,718
11,364,118
6,453,400
Office supplies and expenses
131,895
158,274
26,379
Outside services
137,462
164,954
27,492
Payroll services
5,710
6,852
1,142
Postage
7,509
7,509
Printing
2,821
2,821
Professional services
33,745
40,494
6,749
Rent
355,777
463,777
108,000
Repairs and maintenance
55,362
55,362
Salaries and wages
773,927
1,366,213
592,286
Telephone
61,692
74,030
12,338
Travel
203,310
203,310
Utilities
15 129
19 722
4,593
Total operating expenses
6,988,554
14,325,734
7,337,180
Net Proflt/(Luss)
S
(268,148)
$
1,226,266
S
1,494,414
Attention is directed to independent accountants' compilation report.
EFTA00591028
MC2 Model Management, LLC
Statement of Revenues and Expenses - Income Tax Basis (Actual vs. Projected) - REVISED
For the Year Ended December 31, 2010
Actual
Projected
Variance
Revenues
Fees
S
8,058,725
S 18,662,400
10,603,675
Other income
Total revenues
8,058,725
18,662,400
10,603,675
Operating expenses
Advertising and public relations
5,173
10,346
5,173
Bank charges
13,348
16,018
2,670
Computer and interne( expenses
48,666
58,399
9,733
Depreciation
11,800
11,800
-
Dues and subscriptions
1,654
1,985
331
Insurance
85,135
200,757
115,622
Interest
27,690
(27,690)
Licenses and taxes
60,685
143,101
82,416
Meals and entertainment
36,258
43,510
7,252
Model expense
5,691,493
13,180,363
7,488,870
Office supplies and expenses
92,381
110,857
18,476
Outside services
60,517
72,620
12,103
Postage
18,693
18,693
Printing
7,362
7,362
-
Professional services
109,775
131,730
21,955
Rent
235,987
343,987
108,000
Repairs and maintenance
67,557
67,557
-
Salaries and wages
675,797
1,593,598
917,801
Supplies
35,256
42,307
7,051
Telephone
52,598
63,118
10,520
Travel
138,860
138,860
Utilities
27 404
39,946
12,542
Total operating expenses
7,504,089
16,296,913
8,792,824
Net Profitnoss)
S
554.636
$
2,365,487
$
1.8101.52.
Attention is directed to independent accountants' compilation report.
EFTA00591029
MC2 Model Management, I.LC
Statement of Revenues and Expenses - Income Tax Basis (Actual vs. Projected) - REVISED
For the Year Ended December 31, 2011
Actual
Projected
Variance
Revenues
Fees
S
8,955,483
S
22,394,880
13,439,397
Other income
Total revenues
8,955,483
22,394,880
13,439,397
Operating expenses
Advertising and public relations
6,195
12,390
6,195
Bank charges
11,398
13,678
2,280
Computer and internet expenses
43,250
51,900
8,650
Depreciation
34,129
34,129
Dues and subscriptions
17,424
20,909
3,485
Insurance
100,405
215,601
115,196
Interest
25,020
(25,020)
licenses and taxes
75,460
162,036
86,576
Meals and entertainment
32,213
38,656
6,443
Model expense
6,446,023
16,119,500
9,673,477
Office supplies and expenses
52,153
62,584
10,431
Outside services
33,567
40,280
6,713
Payroll services
6,173
7,408
1,235
Postage
9,525
9,525
Printing
8,166
8,166
Professional services
84,869
101,843
16,974
Rent
239,286
347,286
108,000
Repairs and maintenance
63,627
63,627
Salaries and wages
932,161
2,001,642
1,069,481
Scouting
173,372
173,372
Telephone
55,883
67,060
11,177
Travel
99,307
99,307
Utilities
6 727
9 763
3 036
Total operating expenses
8,556,333
19,660,661
11,104,328
Net Protii/(Loss)
$
399,150
$
2.734,219
$
2.335,069
Attention is directed to independent accountants' compilation report
EFTA00591030
MC2 Model Management, LLC
Statement of Revenues and Expenses - Income Tax Basis (Actual vs. Projected) - REVISED
For the Year Ended December 31, 2012
Actual
Projected
Variance
Revenues
Fees
S
9,511,911
S
26,873,856
17,361,945
Other income
Total revenues
9,511,911
26,873,856
17,361,945
Operating expenses
Accounting
43,782
52,538
8,756
Advertising and public relations
14,905
29,810
14,905
Automobile
4,122
4,122
Bank charges
10,526
12,631
2,105
Computer and Internet expenses
65,143
78,172
13,029
Delivery and freight
4,163
4,996
833
Depreciation
2,063
2,063
Dues and subscriptions
35,430
42,516
7,086
Insurance
104,442
211,341
106,899
Interest
18,016
(18,016)
Licenses and taxes
89,593
181,294
91,701
Meals and entertainment
36,525
43,830
7,305
Model expense
6,194,705
17,501,805
11,307,100
Mother agency expense
56,533
67,840
11,307
Moving
2,086
2,086
Office supplies and expenses
58,458
70,150
11,692
Outside services
83,208
99,850
16,642
Payroll services
6,207
7,448
1,241
Postage
34,363
34,363
Printing
13,182
13,182
Professional services
12,806
15,367
2,561
Rent
286,002
394,002
108,000
Repairs and maintenance
68,578
68,578
Salaries and wages
1,021,527
2,067,086
1,045,559
Scouting
291,907
291,907
Software licenses and expenses
8,298
8,298
Telephone
51,113
61,336
10,223
Travel
66,363
66,363
Utilities
11,228
15,468
4,240
Total operating expenses
8,695,274
21,448,440
12,753,166
Net Prof1U(Loss)
$
816,637
S
5A25,416
$
4,608,779
Attention is directed to independent accountants compilation report.
EFTA00591031
MC2 Model Management, LLC
Statement of Revenues and Expenses - Income Tax Basis (Actual vs. Projected) - REVISED
For the Year Ended December 31, 2013
Actual
Projected
Variance
Revenues
Fees
S
10,482,009
S
32,248,627
21,766,618
Other income
Total revenues
10,482,009
32,248.627
21,766,618
Operating expenses
Accounting
134,977
161,972
26,995
Advertising and public relations
16,534
33,068
16,534
Automobile
2,908
2,908
-
Bank charges
11,112
13,334
2,222
Computer and intemet expenses
63,934
76,721
12,787
Credit card fees
952
952
-
Delivery and freight
14,576
17,491
2,915
Depreciation
16,161
16,161
-
Dues and subscriptions
26,948
32,338
5,390
Insurance
113,716
223,871
110,155
Interest
21,679
(21,679)
Licenses and taxes
91,085
179,318
88,233
Meals and entertainment
33,254
39,905
6,651
Model expense
7,353,787
22,624,435
15,270,648
Mother agency expense
219,763
263,716
43,953
Moving expense
925
925
-
Office supplies and expenses
64,435
77,322
12,887
Outside services
42,328
50,794
8,466
Payroll services
12,015
14,418
2,403
Postage
8,663
8,663
-
Printing
5,683
5,683
Professional services
37,922
45,506
7,584
Rent
290,393
398,393
108,000
Repairs and maintenance
54,371
54,371
Salaries and wages
1,113,581
2,192,292
1,078,711
Scouting
529,933
529,933
-
Software licenses and expenses
15,767
15,767
Telephone
43,013
51,616
8,603
Travel
58,168
58,168
Utilities
6 681
9 166
2,485
Total operating expenses
10405,264
27 199 206
16 793,942
Net Profit/(Loss)
76,745
$
5,049.421
S
4,972,676
Attention is directed to independent accountants' compilation report
EFTA00591032
MC2 Model Management, LLC
Statement of Revenues and Expenses - Income Tax Basis (Actual vs. Projected) - REVISED
For the Year Ended December 31, 2014
Actual
Projected
Variance
Revenues
Fees
$
10,732,989
S
38,698,352
27,965,363
Other income
Total revenues
10,732,989
38,698,352
27,965,363
Operating expenses
Accounting
37,350
44,820
7,470
Advertising and public relations
10,343
20,686
10,343
Automobile
3,359
3,359
Bank charges
12,463
14,956
2,493
Computer and Internet expense
73,644
88,373
14,729
Delivery and freight
3,904
4,685
781
Depreciation
15,716
15,716
Dues and subscriptions
16,262
19,514
3,252
Equipment rental
154
154
Insurance
141,517
276,363
134,846
Interest
23,260
(23,260)
Legal settlement
5,829
5,829
Licenses and taxes
99,322
193,962
94,640
Meals and entertainment
15,810
18,972
3,162
Model expense
7,419,919
26,752,905
19,332,986
Mother agency expense
209,994
251,993
41,999
Office supplies and expenses
40,814
48,977
8,163
Outside services
22,709
27,251
4,542
Payroll services
26,275
31,530
5,255
Postage
17,624
17,624
Printing
2,998
2,998
Production expense
197,262
197,262
Professional services
73,314
87,977
14,663
Rent
303,881
411,881
108,000
Repairs and maintenance
52,419
52,419
Salaries and wages
1,111,204
2,170,023
1,058,819
Scouting
474,192
474,192
Software licenses and expenses
6,000
6,000
Telephone
31,725
38,070
6,345
Travel
37,439
37,439
Utilities
14 014
18 995
4 981
Total operating expenses
10,500,716
31,334923
20,834,207
Net Profitaoss)
S
232.273
S
7,363.429
S
7.131.156
Attention is directed to independent accountants' compilation report.
EFTA00591033
MC2 Model Management, LLC
Statement of Revenues and Expenses - Income Tax Basis (Actual vs. Projected) - REVISED
For the Four Months Ended April 30, 2015
Actual
Projected
Variance
Revenues
Fees
$
2,807,633
S
15,479,341
12,671,708
Other income
206,078
(206,078)
Total revenues
3,013,711
15,479,341
12,465,630
Operating expenses
Accounting
14,250
17,100
2,850
Advertising and public relations
8,001
16,002
8,001
Bank charges
2,144
2,573
429
Computer and intemet expense
25,602
30,722
5,120
Delivery and freight
611
733
122
Depreciation
Insurance
41,832
97,874
56,042
Interest
-
-
Licenses and taxes
34,393
80,468
46,075
Meals and entertainment
26,366
31,639
5,273
Model expense
1,917,914
9,850,991
7,933,077
Mother agency expense
132,773
159,328
26,555
Office supplies and expenses
70,088
84,106
14,018
Outside services
150
180
30
Payroll services
10,921
13,105
2,184
Postage
3,507
3,507
0
Printing
1,071
1,071
(0)
Professional services
24,467
29,360
4,893
Rent
68,075
104,075
36,000
Repairs and maintenance
27,572
27,572
-
Salaries and wages
373,227
873,227
500,000
Scouting
98,783
98,783
(0)
Software licenses and expenses
1,223
1,223
0
Telephone
6,834
8,201
1,367
Travel
18,719
18,719
0
Utilities
7 615
11,642
4 027
Total operating expenses
2,916,137
11,562,201
8,646.064
Net Profit/(Lom)
$
97.574
S
3,917,140
$
3.819,566
Attention is directed to independent accountants' compilation report.
EFTA00591034
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| Filename | EFTA00591022.pdf |
| File Size | 1099.9 KB |
| OCR Confidence | 85.0% |
| Has Readable Text | Yes |
| Text Length | 18,746 characters |
| Indexed | 2026-02-11T22:51:19.806597 |