# EXHIBIT 42 Fiscal Year Ending December 31, 2003 Company Name & Address: Financial Trust Company Inc. 6100 Red Hook Quarter B-3 St. [REDACTED] USVI 00802 Telephone No.: (340) 775-2525 Name / Signature of Preparer: Jeanne [REDACTED] (Name) *Jeanne Bussan* (Signature) | Gross Sale (Ineligible Sales ) Eligible for Tax Benefits | \$ - | \$ 70,514,094 | | ------------------------------------------------------------------------------------- | ------------ | --------------- | | Gross Wages Paid In the V.I. (Include vacation & sick pay, bonuses, overtime, etc.) | \$ 741,385 | ✓ | | Average No. of Employees; Full Time & (Part Time) | 11 ( - ) | | | Average No. of Residents; Full Time & (Part Time) | 11 ( - ) | | | Average No. of Non-Residents; Full Time & Part Time | - ( - ) | | | Other Employee Cost (Unemployment & Health Insurance, Pension, Allowances, etc.) | \$ 189,977 | ✓ | | Employee Income Taxes Paid and Withheld | \$ 211,258 | | TAXES AND DUTIES (Provide dollar amount paid, and value of exemption / refund for each tax) | Gross Receipts: | Amount Paid | \$ - | | ------------------------------------------------- | ------------------------------------------- | ----------------------------- | | | Dollar Value of Exemption | \$ 2,820,564 | | Real Property Tax: | Amount Paid | \$ - | | | Dollar Value of Exemption | \$ - | | Excise Taxes: | Total Paid | \$ - | | | Dollar Value of Exemption | \$ - | | Income Taxes: | Total Paid | \$ 2,859,613 | | | Dollar Value of Exemption | \$ 26,215,499 | | Customs Duties: | Total Paid | \$ - | | | Dollar Value of Exemption | \$ - | | Other: | Hotel room taxes paid | \$ - | | | Other Taxes, Fees Paid to V.I. Government | \$ 102,041 = 1300 + 100,541 | | **TOTAL TAXES PAID:** | | \$ 2,960,154 | | **TOTAL VALUE OF EXEMPTIONS AND/OR REFUNDS** | | \$ 29,036,063 | EXPENDITURES FOR GOODS, SERVICES, PLANT & EQUIPMENT | Goods And Services | Eligible Suppliers | V.I. Suppliers | Non-Local | Total | | --------------------------------------------------------------- | -------------------- | ------------------------ | ------------------- | ------------------------- | | Raw Materials, Components | - | - | - | - | | Food, Beverages | - | - | - | - | | Freight Charges | 27.04 | 104.91 | 25.00 | 15.95 (P ± 5) | | Insurance | - | 23,515.84 | 2,349.65 | 25,865.49 Diff. | | Legal / Accounting | 37,648.47 | 23,557.43 | 242,576.16 | 303,782.06 | | Advertising / Promotion Utilities (Tel., Water, Elect., etc.) | - | 3,169.00 | - | 3,169.00 | | Interest and Other Banking Charges | - | - | - | - | | Supplies | 4,670.66 | 11,387.51 | 9,834.48 | 25,892.65 | | Repairs / Maintenance | 1,669.50 | 5,942.27 | 3,396.81 | 11,008.58 | | Other (List Separately ) | 81.90 | 2899/6.51 - 291,416.51 | 39,720.59 | 331,219.00 | | Sub-total, Goods and Services: | 44,620.85 | 415,191.55 | 299,440.97 | 759,253.37 - 270,753.97 | | **Capital Expenditures:** | | | | | | Building & Improvement | - | - | - | - | | Leasehold Improvements | - | - | - | - | | Machinery / Equipment | - | 12,905.80 | - | 12,905.80 | | Furniture / Fixtures | - | - | - | - | | Vehicles | - | - | - | - | | Other (List Separately ) | - | - | - | - | | Subtotal, Capital Expend. | - | 12,905.80 | - | 12,905.80 | | **GRAND TOTALS** | **44,620.85** | **429,597.35** | **299,440.97** | **773,659.17** | | **CUMULATIVE CAPITAL EXPENDITURE UNDER IDC CERTIFICATE** | | | | **600,374.09** | **ECONOMIC DEVELOPMENT COMMISSION ANNUAL REPORT** Fiscal Year Ending December 31, 2003 *Other Expenditures* | Goods And Services | Eligible Supplier | V.I. Suppliers | Non-Local | Total | | -------------------------------- | ------------------- | -------------------------- | --------------------------- | ---------------------------------- | | Dues | - | 1,352.74 | 249.00 | 1,601.74 *beft #300* | | Postage and delivery | 81.90 | 5,797.45 | 570.42 *(P & S)* | 6,449.77 *✓* | | Travel and transportation | - | 10,391.41 | 3,396.62 | 13,788.03 *beft #212* | | market services | - | - | 35,504.55 | 35,504.55 *✓* | | Charitable contributions | - | - | - | - | | Company | - | 1,308.00 | - | 1,308.00 | | Foundation | - | 179,885.50 | - | 179,885.50 | | Co-op marketing | - | - | - | 12,500 *✓* | | fee/compliance fees *(4)* | 12,500 | 14,000.00 | - | 14,000.00 *✓* | | Rent | - | 78,681.41 | - | 78,681.41 *all* | | Sub-total Other | 81.90 | 289,916.51 291,416.51 | 39,720.59 | 329,719.- *✓* 221,219.00 | *(4) #12,500 → EDC CO-OP MARKETING FEES* *(4) #14,000 → + 1,500 → SPL FEES PAID TO GOVT.; COMPLIANCE FEES*