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PRE-OPENING EXPENSE Land and Building Land $185,000 Total building construction 750,000 (600 seat theatre, stage lighting and sound systems, stage drapes, etc.) Parking area improvements 20,000 Fees and permits 5,000 Architect and real estate fees 30.000 Total (loan package) $990,000 Cash infusion (20%) 198.000 To be financed $792,000 Pre-opening theatre operating expenses Personnel: (Management and Artistic) 18 full time and 18 part time FICA, etc., @ 20% Total Other Telephone $ 1,000 Programs 3,000 Office Supplies 1,000 Gift shop/bar inventory 13,000 Make-up 1,500 Flats 4,500 Cleaning supplies 500 Paper products 500 Insurance 2,500 Licenses and legal fees 5,000 Advertising 30,000 Designs/arrangements/royalties 2,000 Cash registers 500 Computer w/printer and software (Box Office) 2,500 Shop tools 3,000 Sewing Machine 1,000 Furniture (stage and porch) 4,000 Piano 3,000 Costumes 5.000 Total $ 83,500 Total Pre-opening Theatre Operating Expense $208,300 When all outstanding stock is sold, $984,000 will be received with $10,000 spent on stock sale expenses. After all of the above pre-opening expenses are paid, the remaining proceeds of $597,000 will be used to stabilize the business (if needed), capital requirements, and other expenses as directed by the Board. $104,000 20.800 $124,800
Paddlewheel Productions Document (016)