https://www.justice.gov/epstein/files/DataSet%209/EFTA00792733.pdf
Next Management London, LTD
CONSOLIDATED INCOME STATEMENT
For the 11 Months Ending November 30, 2017
YTO YIO Vat
Poor Current X
November 2017
Revenue
Agency Fees - Female 7.594.334 2.120.574 6.93%
Agency Fees - Male 2.626313 2.660.713 1.32%
Agency Fees - Female • Branch 1.674.408 1.741.946 4.01%
Agency Fees - Male - Branch 61.148 45.091 (2626%)
Agency Fees - Special Bookmgs-Female 338213 1.124.027 211.66%
Agency Fees - Special Bookers; • Male 79194 189.677 142.57%
Talent Revenue - London 30.749 93.272 203.33%
Talent Revenue - Branch 8.998
Miss Income 231385 50.130 (ISM%)
Model Fees - Female 14590/309) (52743181 7.84%
Model Fees -Male 11.676221) (1389.7331 0.76%
Model Fees - Female Branch 11.021.568) (1.081.7121 5.89%
Model Fees - Male Branch 137.190 136.603) (139%)
Model Fees - Female Special °oolongs (232323) (799.3661 243.77%
Model Fees - Male Special Bookings 449521) 024.8041 151.62%
Total Revenue 4.727.118 5.028.401 6.37%
Operating Expenses
Scouting Expenses
Selene, & P/r Expenses 119.472 159.037 33.12%
/Wyoming & Promotion 670 467 (3032%)
Travel Expense 13236 15.737 18.89%
Entertainment Expense 4,752 3.390 (28.65%)
Telephone Expense 119 (100.00%)
hesc. Expense 378 1.246 229.54%
Total Scouting Expenses 139626 179.676 29.75%
Saks Expenses
Salanes& P/r Expenses 1.801.126 1.510.376 (16.14%)
Advt.-tang & Promotion 11248 17.582 56.31%
Commission Expense 561.313 603.262 7.47%
Travel Expense 118201 157.078 32.11%
Entertainment Expense 62529 68.227 8.94%
Model Related Expense 166.964 156.127 (593%)
hem Expenses 32.096 24.415 (23.93%)
Total Sales Expenses 2.753277 2.537.066 (785%)
AdmInistrathre Expenses
Salanes& P/r Expenses 142202 170.501 19.90%
Rent 208314 178.449 (14.21%)
Travel expense 730 . (100.00%)
Bank Charges 12.534 13.273 5.90%
Model Apt. Expense 12555) (2.772) 8.52%
Chargehack Expense 'holding) 8.472 4.029 (5245%)
Chargehads Adjustment 18.472) (4029) (52.45%)
Massterunce Contracts 78.391 58.787 (25.01%)
Office Supplies & Expenses 80.054 96.777 20.89%
Porting & Computer Stipples 4.197 6.682 59.21%
Telephone Expense 39406 38.179 4.87%
Mitres bpense 19648 12.534 17.72%
legal Fees 11569 9.682 (18.43%)
Accounting Fees 21186 18.607 (1537%)
Consulting Fees 663558 631.626 25.30%
insurance Expense 4.496 5.040 12.66%
Donations 22.700 2.200 (90.31%)
Interest Expense • 3.210
Taxes 67.076 45.785 (4742%)
Exchange Rate Vanance 208.136 22.329 (8917%)
Miss Expenses 2.358 2.397 1.66%
Total Administrative Expenses 1591099 1513394 (5LIO%)
Total Expenses 4,485,004 4.230416 (538%)
Net Income (loss) GBP 242,113 797,985 229.59%
pope 1013
EFTA00792733
Balance Sheet Currency: Base, As Posted, Entry Curr: TO ZZZZ
As of 11/30/2017
Next Management London LTD (NUK)
Assets
Current Assets
1026-00 CHECKING - GBP(10171099) E 462.819.29
1027-00 CHECKING - RBS $ (00318888) e 83.293.98
1028-00 CHECKING - RBS EURO (10073404) E 646.06&60
1035-00 CHECKING -JPM (0039101102) E 359.797.13
1036-00 CHECKING - JPM $ (0039101103) e 24.991.63
1037-00 CHECKING -JPM EURO (0039101101) £ 1,700,630.95
1040-00 REVALUATION OF $ ACCOUNTS e 48.469.95
1041-00 REVALUATION OF C ACCOUNTS E 106.937.91
1043-00 MODEL PAYABLE REVALUATION e 37.759.73
1044-00 TRADE PAYABLE REVALUATION E -1,084.95
1100-00 ACCOUNTS RECEIVABLE £ 2,502,318.10
1101-00 ACCRUED ACCOUNTS RECEIVABLE E 952.45&00
1110-00 ALLOWANCE FOR DOUBTFUL ACCOUNTS £ 0.38
1123-00 LOANS -EMPLOYEES E 15.880.89
1130-00 PETTY CASH E 6,000.00
1300-00 MODEL ADVANCE ACCOUNT E -1,041.89
1400-00 MISC. ADVANCE ACCOUNT E -134.377.58
1400-10 MISC. ADVANCE ACCOUNT E -57.22
Total Current Assets: £ 6.810.861.90
Fixed Assets
1551-00 LOAN TO NEXT PARIS E 215.75&93
1700-00 OFFICE MACHINE & EQUIPMENT E 103.312.78
1710-00 AID MACHINE & EQUIPMENT £ -70,726.19
1740-00 FURNITURE & FIXTURES e 13.45&27
1750-00 ND FURNITURE & FIXTURES E -5,130.82
1770-00 OFFICE IMPROVEMENTS E 291.402.84
1775-00 ND OFFICE IMPROVEMENTS E -185.768.32
Total Fixed Assets: £ 362.305.49
Other Assets
1850-00 DEPOSITS E 4.170.00
Total Other Assets: 4.170.00
Total Assets: E 7.177.337.39
Liabilities
Current Liabilities
2000-00 ACCOUNTS PAYABLE - TRADE E 318.37&86
2000-01 ACCOUNTS PAYABLE - MODELS £ 3,614.605.78
2000-02 ACCOUNTS PAYABLE - MALE E 415.462.59
2000-10 ACCOUNTS PAYABLE- TRADE FRANCE £ 9,725.32
2000-11 ACCOUNTS PAYABLE - FEMALE FRANCE £ 1,089.439.08
2000-12 ACCOUNTS PAYABLE - MALE FRANCE £ 23.301.41
2000-45 ACCOUNTS PAYABLE- MOTHER AGENCY £ 60.721.84
2060-00 VAT TAX PAYABLE-OUTPUT E 349.117.50
2061-00 VAT TAX PAYABLE - INPUT £ -20,649.06
2061-01 VAT TAX PAYABLE - INPUT £ -83,675.90
2110-00 CORPORATE TAX PAYABLE £ -36,968.00
2115-00 DEFERRED TAX E 12.217.25
2205-10 W/H TAX PAYBLE - FRENCH BRANCH E 27.61536
2206-00 ACCRUED W/H TAX E -131.76
2240-01 M&S REBATE PAYABLE - FEMALE E 18.252.00
2240-02 M&S REBATE PAYABLE - MALE £ 2,700.00
Total Current Liabilities: £ 5.800.113.67
Total Liabilities: £ 5.800.113.67
Equity
3200-00 RETAINED EARNINGS E 491.817.67
3200-00 Retained Earnings-Current Year E 793.95&05
3210-00 PARTNERS CAPITAL e 91.450.00
EFTA00792734
Total Equity: E 1,377,223.72
Total Liabilities & Equity: E 7,177,337.39
EFTA00792735
AI Analysis
Summarize this document or ask questions about its contents using Claude.
Typical cost: less than $0.01 per query with Haiku. Model can be changed in Settings.
Add API Key in SettingsNext Management London, LTD
CONSOLIDATED INCOME STATEMENT
For the 11 Months Ending November 30, 2017
YTO YIO Vat
Poor Current X
November 2017
Revenue
Agency Fees - Female 7.594.334 2.120.574 6.93%
Agency Fees - Male 2.626313 2.660.713 1.32%
Agency Fees - Female • Branch 1.674.408 1.741.946 4.01%
Agency Fees - Male - Branch 61.148 45.091 (2626%)
Agency Fees - Special Bookmgs-Female 338213 1.124.027 211.66%
Agency Fees - Special Bookers; • Male 79194 189.677 142.57%
Talent Revenue - London 30.749 93.272 203.33%
Talent Revenue - Branch 8.998
Miss Income 231385 50.130 (ISM%)
Model Fees - Female 14590/309) (52743181 7.84%
Model Fees -Male 11.676221) (1389.7331 0.76%
Model Fees - Female Branch 11.021.568) (1.081.7121 5.89%
Model Fees - Male Branch 137.190 136.603) (139%)
Model Fees - Female Special °oolongs (232323) (799.3661 243.77%
Model Fees - Male Special Bookings 449521) 024.8041 151.62%
Total Revenue 4.727.118 5.028.401 6.37%
Operating Expenses
Scouting Expenses
Selene, & P/r Expenses 119.472 159.037 33.12%
/Wyoming & Promotion 670 467 (3032%)
Travel Expense 13236 15.737 18.89%
Entertainment Expense 4,752 3.390 (28.65%)
Telephone Expense 119 (100.00%)
hesc. Expense 378 1.246 229.54%
Total Scouting Expenses 139626 179.676 29.75%
Saks Expenses
Salanes& P/r Expenses 1.801.126 1.510.376 (16.14%)
Advt.-tang & Promotion 11248 17.582 56.31%
Commission Expense 561.313 603.262 7.47%
Travel Expense 118201 157.078 32.11%
Entertainment Expense 62529 68.227 8.94%
Model Related Expense 166.964 156.127 (593%)
hem Expenses 32.096 24.415 (23.93%)
Total Sales Expenses 2.753277 2.537.066 (785%)
AdmInistrathre Expenses
Salanes& P/r Expenses 142202 170.501 19.90%
Rent 208314 178.449 (14.21%)
Travel expense 730 . (100.00%)
Bank Charges 12.534 13.273 5.90%
Model Apt. Expense 12555) (2.772) 8.52%
Chargehack Expense 'holding) 8.472 4.029 (5245%)
Chargehads Adjustment 18.472) (4029) (52.45%)
Massterunce Contracts 78.391 58.787 (25.01%)
Office Supplies & Expenses 80.054 96.777 20.89%
Porting & Computer Stipples 4.197 6.682 59.21%
Telephone Expense 39406 38.179 4.87%
Mitres bpense 19648 12.534 17.72%
legal Fees 11569 9.682 (18.43%)
Accounting Fees 21186 18.607 (1537%)
Consulting Fees 663558 631.626 25.30%
insurance Expense 4.496 5.040 12.66%
Donations 22.700 2.200 (90.31%)
Interest Expense • 3.210
Taxes 67.076 45.785 (4742%)
Exchange Rate Vanance 208.136 22.329 (8917%)
Miss Expenses 2.358 2.397 1.66%
Total Administrative Expenses 1591099 1513394 (5LIO%)
Total Expenses 4,485,004 4.230416 (538%)
Net Income (loss) GBP 242,113 797,985 229.59%
pope 1013
EFTA00792733
Balance Sheet Currency: Base, As Posted, Entry Curr: TO ZZZZ
As of 11/30/2017
Next Management London LTD (NUK)
Assets
Current Assets
1026-00 CHECKING - GBP(10171099) E 462.819.29
1027-00 CHECKING - RBS $ (00318888) e 83.293.98
1028-00 CHECKING - RBS EURO (10073404) E 646.06&60
1035-00 CHECKING -JPM (0039101102) E 359.797.13
1036-00 CHECKING - JPM $ (0039101103) e 24.991.63
1037-00 CHECKING -JPM EURO (0039101101) £ 1,700,630.95
1040-00 REVALUATION OF $ ACCOUNTS e 48.469.95
1041-00 REVALUATION OF C ACCOUNTS E 106.937.91
1043-00 MODEL PAYABLE REVALUATION e 37.759.73
1044-00 TRADE PAYABLE REVALUATION E -1,084.95
1100-00 ACCOUNTS RECEIVABLE £ 2,502,318.10
1101-00 ACCRUED ACCOUNTS RECEIVABLE E 952.45&00
1110-00 ALLOWANCE FOR DOUBTFUL ACCOUNTS £ 0.38
1123-00 LOANS -EMPLOYEES E 15.880.89
1130-00 PETTY CASH E 6,000.00
1300-00 MODEL ADVANCE ACCOUNT E -1,041.89
1400-00 MISC. ADVANCE ACCOUNT E -134.377.58
1400-10 MISC. ADVANCE ACCOUNT E -57.22
Total Current Assets: £ 6.810.861.90
Fixed Assets
1551-00 LOAN TO NEXT PARIS E 215.75&93
1700-00 OFFICE MACHINE & EQUIPMENT E 103.312.78
1710-00 AID MACHINE & EQUIPMENT £ -70,726.19
1740-00 FURNITURE & FIXTURES e 13.45&27
1750-00 ND FURNITURE & FIXTURES E -5,130.82
1770-00 OFFICE IMPROVEMENTS E 291.402.84
1775-00 ND OFFICE IMPROVEMENTS E -185.768.32
Total Fixed Assets: £ 362.305.49
Other Assets
1850-00 DEPOSITS E 4.170.00
Total Other Assets: 4.170.00
Total Assets: E 7.177.337.39
Liabilities
Current Liabilities
2000-00 ACCOUNTS PAYABLE - TRADE E 318.37&86
2000-01 ACCOUNTS PAYABLE - MODELS £ 3,614.605.78
2000-02 ACCOUNTS PAYABLE - MALE E 415.462.59
2000-10 ACCOUNTS PAYABLE- TRADE FRANCE £ 9,725.32
2000-11 ACCOUNTS PAYABLE - FEMALE FRANCE £ 1,089.439.08
2000-12 ACCOUNTS PAYABLE - MALE FRANCE £ 23.301.41
2000-45 ACCOUNTS PAYABLE- MOTHER AGENCY £ 60.721.84
2060-00 VAT TAX PAYABLE-OUTPUT E 349.117.50
2061-00 VAT TAX PAYABLE - INPUT £ -20,649.06
2061-01 VAT TAX PAYABLE - INPUT £ -83,675.90
2110-00 CORPORATE TAX PAYABLE £ -36,968.00
2115-00 DEFERRED TAX E 12.217.25
2205-10 W/H TAX PAYBLE - FRENCH BRANCH E 27.61536
2206-00 ACCRUED W/H TAX E -131.76
2240-01 M&S REBATE PAYABLE - FEMALE E 18.252.00
2240-02 M&S REBATE PAYABLE - MALE £ 2,700.00
Total Current Liabilities: £ 5.800.113.67
Total Liabilities: £ 5.800.113.67
Equity
3200-00 RETAINED EARNINGS E 491.817.67
3200-00 Retained Earnings-Current Year E 793.95&05
3210-00 PARTNERS CAPITAL e 91.450.00
EFTA00792734
Total Equity: E 1,377,223.72
Total Liabilities & Equity: E 7,177,337.39
EFTA00792735