PART I. FINANCIAL INFORMATION

EX-10.207 17 p67187exv10w207.txt EX-10.207 Exhibit 10.207 October 31, 2002 ---------------- Date THE CIT GROUP/EQUIPMENT FINANCING, INC. PO Box 27248 - ------------------------------------------------------ Address Tempe AZ ###-###-#### - ------------------------------------------------------ City State Zip Code Gentlemen: You are irrevocably instructed to disburse the proceeds of your loan to us, evidenced by the Schedule of Indebtedness dated October 31, 2002 as follows: Payee Names and Addresses Amount - ---------------------------------------------------------- ------------------- Schedule No. 9 of a Master dated 4/05/2000, acct# 90091403 $ 189,859.39 ----------------- $ ----------------- $ ----------------- $ ----------------- $ ----------------- $ ----------------- Processing fee, non refundable $ 350.00 ----------------- Total Proceeds $ 190,202.39 ----------------- Very truly yours, Ready Mix, Inc. - ----------------------------------------------------------------- By Kenneth D. Nelson Title Vice President -------------------------- ------------------------------ SCHEDULE NO. 05 SCHEDULE OF INDEBTEDNESS AND COLLATERAL To Master Security Agreement dated April 5, 2000, between the undersigned ------------- Secured Party and Debtor. This Schedule of Indebtedness and Collateral incorporates the terms and conditions of the above-referenced Master Security Agreement. This is Originally Executed Copy No. 1 of 1 originally executed copies. Only - - transfer of possession by Secured Party of Originally Executed Copy No. 1 shall be effective for purposes of perfecting an interest in this Schedule by possession. The equipment listed on this Schedule will be located at: 109 Delhi North Las Vegas NV 89030 - -------------------------- ------------------------ -------- ------------- Address City State Zip Code Debtor grants to Secured Party a security interest in the property described below, along with all present and future attachments and accessories thereto and replacements and proceeds thereof, including amounts payable under any insurance policy, all hereinafter referred to collectively as "Collateral". Collateral Description (Describe Collateral fully including make, kind of unit, model and serial numbers and any other pertinent information.) (1) Caterpillar 988F wheel loader, serial number BYG00232 (1) Caterpillar 980G wheel loader, serial number 2KR000942 Including all present and future attachments and accessions thereto and replacements and proceed thereof, including amounts payable under any insurance policy. 2085A (8/00) Schedule of indebtedness and Collateral-- Precomputed Interest: Fixed Rate Attach to Master Security Agreement 2084. Page 1 of 1 Debtor promises to pay Secured Party the total sum of $210,457.50 which represents principal and interest precomputed over the term hereof, payable in 33 (total number) combined principal and interest payments of $6,377.50 each commencing on November 11, 2002 and a like sum on a like date each month thereafter until fully paid, provided however, that the final payment shall be in the amount of the unpaid balance and interest. Payment shall be made at the address of Secured Party shown on the Master Security Agreement or such other place as Secured Party may designate from time to time. Special Provisions. ACCEPTED October 21, 2002 ------------------- SECURED PARTY: THE CIT GROUP/EQUIPMENT FINANCING, INC. By /s/ Karl Reed Title Portfolio Specialist II --------------------------- ---------------------------------- Executed on 10/31/02 DEBTOR: Ready Mix, Inc. - ---------------------------------------------- Name of Individual, corporation or partnership By /s/ Kenneth D. Nelson Title Vice President --------------------------- ---------------------------------- 2095A (6/00) Schedule of Indebtedness and Collateral - Precomputed Interest: Fixed Rate Attach to Master Security Agreement 2094. Page 2 of 2