Quarterly report pursuant to sections 13 or 15(d)

Note 2: Balance Sheet Information

v2.3.0.11
Note 2: Balance Sheet Information
9 Months Ended
Jun. 30, 2012
Notes to Financial Statements  
Note 2: Balance Sheet Information

Balance sheet information is as follows:

 

    June 30,   September 30,
    2012   2011
    (unaudited)    
Receivables, current, net:                
Accounts receivable, current   $ 1,998,429     $ 2,080,747  
Less: Allowance for doubtful accounts     (1,477,184 )     (1,425,891 )
    $ 521,245     $ 654,856  
Receivables, long term, net:                
Accounts receivable, long term   $ 490,356     $ 569,178  
Less: Allowance for doubtful accounts     (133,962 )     (197,740 )
    $ 356,394     $ 371,438  
Total receivables, net:                
Gross receivables   $ 2,488,785     $ 2,649,925  
Less: Allowance for doubtful accounts     (1,611,146 )     (1,623,631 )
    $ 877,639     $ 1,026,294  

 

Components of allowance for doubtful accounts are as follows:

    June 30,   September 30,
    2012   2011
    (unaudited)    
Allowance for dilution and fees on amounts due from billing aggregators   $ 1,599,466     $ 1,477,769  
Allowance for customer refunds     11,680       145,862  
    $ 1,611,146     $ 1,623,631  

 

    June 30,   September 30,
    2012   2011
    (unaudited)    
Property and equipment, net:                
Leasehold improvements   $ 201,476     $ 201,476  
Furnishings and fixtures     233,577       233,577  
Office, computer equipment and other     427,607       426,931  
      862,660       861,984  
Less: Accumulated depreciation     (798,948 )     (690,783 )
      63,712     $ 171,201  

 

    June 30,   September 30,
    2012   2011
    (unaudited)    
Intangible assets, net:                
Domain name and marketing related intangibles   $ 1,511,650     $ 1,509,600  
Non-compete agreements     559,686       351,941  
Website and technology related intangibles     2,071,336       1,861,541  
      (723,381 )     (639,207 )
Less:  Accumulated amortization   $ 1,347,955     $ 1,222,334  

 

    June 30,   September 30,
    2012   2011
    (unaudited)    
Accrued liabilities:                
Deferred revenue   $ 2,577     $ 14,553  
Accrued payroll and bonuses     33,585       63,043  
Accruals for service contracts     56,328       86,550  
Accruals under revenue sharing agreements     437,555       260,449  
Accrued expenses - other   $ 530,045     $ 424,595