In Re Tim Wargo & Sons, Inc.

107 B.R. 622, 1989 Bankr. LEXIS 2122, 1989 WL 147183
United States Bankruptcy Court, E.D. Arkansas·Decided October 16, 1989·No. Bankruptcy PB 88-333 S·Published·Cited by 8 cases

Opinion

ORDER DISMISSING CHAPTER 11 CASE WITH PREJUDICE

MARY D. SCOTT, Bankruptcy Judge.

Now before the Court is a Motion to Dismiss this Chapter 11 case with Prejudice filed by the Equitable Life Assurance Society of the United States (“Equitable”). A Motion to Extend Time to Confirm a Chapter 11 Plan of Reorganization was also filed by the debtor July 24, 1989. The matters came on for hearing August 14, 1989. David Nixon, Esq., appeared on behalf of the debtor. No personal representative of the debtor corporation appeared. Billy J. Hubbell, Esq;, appeared on behalf of Equitable.

After hearing statements of counsel and reviewing the files and records in this case the Court concludes that the case should be dismissed with prejudice. Dismissal of the case renders moot the debtor’s request to extend the time to confirm a Chapter 11 plan of reorganization.

This Court has jurisdiction pursuant to 28 U.S.C. § 1334. Moreover, the Court finds that this is a “core proceeding” within the meaning of 28 U.S.C. § 157(b)(1) as exemplified in 28 U.S.C. § 157(b)(2)(G).

This Court’s previous Order of April 24, 1989 denying this creditor’s first Motion to Dismiss this case is relevant to this current proceeding and is published at 99 B.R. 922." Therein, the Court recited the lengthy history of this case. The Court also conditioned the denial of the first Motion to Dismiss upon certain conditions.

A review of the files and records lodged with the Court also reveals the following relevant docket entries after the Court denied the first Motion to Dismiss:

5-5-89 Debtor’s Amended Comparative Balance Sheets-February, 1989 filed (monthly operating report)
5-24-89 Disclosure Statement filed
5-24-89 Plan of Reorganization filed
6-2-89 Motion to Dismiss with Prejudice filed by Equitable
6-5-89 Motion to Dismiss with Prejudice filed by Metropolitan Life Insurance Company
*623 6-6-89 Notice of hearing on July 6, 1989 on Approval of Adequacy of the Disclosure Statement sent by debtor
6-14-89 Notice of hearing on July 6, 1989 of two Motions to Dismiss filed 6-2-89 and 6-5-89
6-16-89 Motion to withdraw Motion to Dismiss filed by Metropolitan, granted 6-19-89
6-30-89 Debtor’s Comparative Balance Sheets for period March, April, and May, 1989.
6-30-89 Debtor’s Application for approval of employment of Attorneys, firm of Arens and Alexander
7-3-89 Order authorizing employment of attorneys for debtor
7-6-89 Hearing on (1) Adequacy of Disclosure Statement, (2) Objections filed by U.S. Trustee, and (3) Motion to Dismiss filed by Equitable. (Adequacy of Disclosure Statement approved subject to inclusion of information requested in U.S. Trustee’s Objection. Motion to Dismiss filed by Equitable withdrawn.)
7-17-89 First Amended and Restated Disclosure Statement filed by debtor.
7-24-89 Motion by debtor to Extend time to confirm Chapter 11 plan.
7-26-89 Ch. 11 Monthly Operating Reports for December, 1988 to June, 1989
8-1-89 Motion to Dismiss with Prejudice filed by Equitable
8-14-89 Hearing on Motion to Dismiss with Prejudice filed by Equitable

The history of this debtor prior to the filing of this third bankruptcy case as well as the docket entries since the creditors’ initial Motions to Dismiss were considered by the Court in reaching a determination to dismiss this Chapter 11 ease with prejudice. The following additional history is also important.

This third bankruptcy case was filed August 31, 1988 less than three hours before the debtor knew a previously held foreclosure sale would result in entry of a final decree and order approving the commissioner’s sale in state court. From August 31,1988 to April 24, 1989 the debtor and its creditors expended their energies on the Motions to Dismiss this third case. The files reveal that the debtor failed to timely apply to hire counsel and have that application approved by the Court. Rule 2014(a) of the Rules of Bankruptcy Procedure. In re Crook, 62 B.R. 937, 939 (Bkrtcy.D.Or.1986). In fact, no application was filed until January 30, 1989, some ten months after the case was filed.

The files also reveal that the debtor did not file its first monthly operating report (comparative balance sheet) until January 11, 1989. This report covered the period from the filing to December 31, 1988. This report was subsequently amended January 31, 1989. On April 11, 1989 an operating report was filed which included the previous report plus additional monthly operating reports for January and February of 1989. On June 30, 1989 the debtor filed monthly operating reports which included March, April, and May of 1989. A final operating report was filed July 20, 1986 which included the June, 1989 operating report. This review reveals that the debtor did not comply with the Court’s April 24, 1989 Order or with the rules of the bankruptcy court requiring that monthly operating reports be' timely filed. The first report by the debtor was not filed until four months after the case was filed, the second report three months later, and the third report also almost three months later. It is noteworthy that this lax attitude about complying with this requirement was also present in the debtor’s first Chapter 11 case.

The Court’s April 24, 1989 Order denying the multiple Motions to Dismiss was conditional. One of those conditions was that the debtor timely file monthly operating reports. This was not done. In fact, no financial information on the debtor was filed after the Court entered its Order until June 30, 1989, six days before a second Motion to Dismiss by Equitable was set for hearing.

The debtor filed a disclosure statement and plan of reorganization on May 24, 1989 exactly 30 days after the Court’s Order denying upon conditions the creditors’ first Motions to Dismiss. Filing of the disclosure statement and plan within 30 days of *624 the date of that Order was one of the conditions. The file reveals that the Chapter 11 debtor did not send to the creditors copies of the disclosure statement and plan along with Notice of a hearing date on the adequacy of the disclosure statement until June 5, 1989.

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In Re Tim Wargo & Sons, Inc., 107 B.R. 622, 1989 Bankr. LEXIS 2122, 1989 WL 147183 (Ark. 1989).

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