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Full title: STAFFING REPORT OF CLEAR THINKING GROUP LLC, FOR THE PERIOD OF MAY 1, 2021, THROUGH MAY 31, 2021 filed by Debtor 1 Tea Olive I, LLC. ,AFFIDAVIT. (Barbie MNBS) (Entered: 06/08/2021)

Document posted on Jun 7, 2021 in the bankruptcy, 5 pages and 0 tables.

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STAFFING REPORT OF CLEAR THINKING GROUP LLC, FOR THE PERIOD OF MAY 1, 2021, THROUGH MAY 31, 2021 Clear Thinking Group LLC’s (“Clear Thinking”) submits this Monthly Staffing Report (the “Staffing Report”) for the period May 1, 2021, through May 31, 2021, pursuant to the Order Authorizing Nunc Pro Tunc to January 10, 2021, the Retention of Clear Thinking Group Under and Designation of Michael A. Wesley 11 U.S.C. § 363 as the Debtors’ Chief Restructuring Officer [Docket 91].Debtors’ counsel regarding various case issues; extensive communications with Secured Lenders & Lender’s counsel regarding cash collateral issues and other secured creditors’ claims; participating in various calls regarding sale of the company’s other assets; preparing documents/analysis regarding sale of company’s other assets; participated in virtual meetings with management regarding operational issues, cash management, employee benefits, vendor issues, utility issues, and reporting requirements; compiling and reviewing weekly variance reports for various case constituents; communicating with ATF with regards to the return of required documentation in relation to FFL; analyzing and coordinating the termination of company’s insurance policies and employee benefits programs; managing the process to complete April summary MOR and update Final Report, including the collection and compiling of data, completion of templates, etc.VICES RENDERED FOR CLIENT: Stock and Field, Case # 21-3 JECT SUMMARY Period: May 1 - 31, ODE PROJECT HOURS 110 Case Administration 4.30 111 195 Non-working Travel 0.00 210 Business Operations 15.50 211 Financial Reports 20.00 212 Vendor Issues 0.10 220 Employee Benefits & Pensions 2.20 221 Employment Contracts 0.00 230 Financing, DIP Negotiation, Use of Cash Collateral 5.80 240 Tax Issues 0.90 241 Utility Issues 0.10 250 Detail billing record for client: Stock and Field, Case # 21-30037EXPENSE SUMMARY BY PROFESSIONAL AND CATEGORY Period: May 1- 31, 2021Parking, Gas,

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UNITED STATES BANKRUPTCY COURT FOR THE DISTRICT OF MINNESOTA In re: Tea Olive I, LLC d/b/a Stock+Field, Case No. 21-30037 Chapter 11 Case Debtor. STAFFING REPORT OF CLEAR THINKING GROUP LLC, FOR THE PERIOD OF MAY 1, 2021, THROUGH MAY 31, 2021 Clear Thinking Group LLC’s (“Clear Thinking”) submits this Monthly Staffing Report (the “Staffing Report”) for the period May 1, 2021, through May 31, 2021, pursuant to the Order Authorizing Nunc Pro Tunc to January 10, 2021, the Retention of Clear Thinking Group Under and Designation of Michael A. Wesley 11 U.S.C. § 363 as the Debtors’ Chief Restructuring Officer [Docket 91]. Clear Thinking discloses as follows: 1. Professionals who rendered services from 05/01/2021 to 05/31/2021: Michael Wesley, Gennady Spivak, and Thomas Burke. 2. The total hours billed from 05/01/2021 to 05/31/2021: 69.62. 3. A summary of tasks performed from 05/01/2021 to 05/31/2021: Services consist of reviewing and updating cash collateral budget and forecast; extensive communications with Debtors & Debtors’ counsel regarding various case issues; extensive communications with Secured Lenders & Lender’s counsel regarding cash collateral issues and other secured creditors’ claims; participating in various calls regarding sale of the company’s other assets; preparing documents/analysis regarding sale of company’s other assets; participated in virtual meetings with management regarding operational issues, cash management, employee benefits, vendor issues, utility issues, and reporting requirements; compiling and reviewing weekly variance reports for various case constituents; communicating with ATF with regards to the return of required documentation in relation to FFL; analyzing and coordinating the termination of company’s insurance policies and employee benefits programs; managing the process to complete April summary MOR and update Final Report, including the collection and compiling of data, completion of templates, etc.

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VERIFICATION I, Michael A. Wesley, of Clear Thinking Group LLC, the Chief Restructuring Officer of the Debtor, declare under penalty of perjury that the facts set forth in the preceding Staffing Report are true and correct according to the best of my knowledge, information, and belief. Dated: June 7, 2021 Signed: Michael A. Wesley

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Clear Thinking Group 401 Towne Centre Drive Hillsborough, NJ 08844 BILLING RECORD FOR CLIENT: Stock and Field, Case # 21-30037 CRO SUMMARY Period: May 1 - 31, 2021 PROFESSIONAL INITIALS TITLE RATE PERIOD FEES Michael Wesley MW Partner $20k /wk* 4.43 $ 88,600.00 Total 31 DAYS $88,600.00 * Per agreement CONSULTANT SUMMARY PROFESSIONAL INITIALS TITLE RATE HOURS FEES Lee Diercks LD Partner $ 500.00 0.00 $ 0.00 Gennady Spivak GS Managing Director $ 450.00 9.70 $ 4,365.00 Anthony Gehringer AG Senior Manager $ 400.00 0.00 $ 0.00 Joseph Wittpenn JW Consultant $ 350.00 0.00 $ 0.00 Thomas Burke TB Sr. Consultant $ 350.00 3.02 $ 1,057.00 Total (w/ blended rate) $426.26 12.72 $5,422.00 Expenses $38.00 Grand Total $94,060.00

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ar Thinking Group owne Centre Drive Exhib borough, NJ 08844 VICES RENDERED FOR CLIENT: Stock and Field, Case # 21-3 JECT SUMMARY Period: May 1 - 31, ODE PROJECT HOURS 110 Case Administration 4.30 111 SOFA Preparation 0.00 112 General Creditor Inquiries 0.00 113 Pleadings and Motions 0.00 120 Asset Analysis & Recovery 6.20 121 Accounts Receivable Collection 0.00 130 Asset Sale and Disposition 0.00 133 Auction of Assets 0.00 150 Creditors Committee 0.50 155 Court Hearings 0.00 160 Fee Applications 6.42 170 Applicant Retention Agreement Preparation 0.00 181 Preference Analysis 0.00 185 Leases & Contracts 2.80 190 Contested Matters & Litigation 1.80 191 General Litigation 0.00 195 Non-working Travel 0.00 210 Business Operations 15.50 211 Financial Reports 20.00 212 Vendor Issues 0.10 220 Employee Benefits & Pensions 2.20 221 Employment Contracts 0.00 230 Financing, DIP Negotiation, Use of Cash Collateral 5.80 240 Tax Issues 0.90 241 Utility Issues 0.10 250 Real Estate 0.00 260 Board of Directors 0.00 310 Claims Administration 0.00 311 Reclamation Claims 3.00 311.1 Secured Creditors 0.00 320 Plan & Disclosure Statement 0.00 321 Business Plan 0.00 Total 69.62

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Clear Thinking Group 401 Towne Centre Drive Hillsborough, NJ 08844 Exhibit B Detail billing record for client: Stock and Field, Case # 21-30037EXPENSE SUMMARY BY PROFESSIONAL AND CATEGORY Period: May 1- 31, 2021Parking, Gas, Trans- Professional Air Fare Hotel Meals Auto Rental Tolls Mileage portation Admin Total$ - $ - $ - $ - $ - SUBTOTAL $ - $ - $ - $ - $ - $ - $ - $ - $ -Conference Calls $38.00 $ 38.00 TOTAL $ - $ - $ - $ - $ - $ - $ - $ 38.00 $ 38.00Clear Thinking Group EXPENSE SUMMARY BY CATEGORY Period: May 1- 31, 2021 EXPENSE CATEGORY AMOUNT AIR FARE $ - HOTEL $ - MEALS $ - AUTO RENTAL $ - PARKING, GAS, TOLLS $ - MILEAGE $ - TRANSPORTATION $ - ADMIN CHARGES $ - CONFERENCE CALLS $ 38.00 TOTALS $ 38.00

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