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Note 2: Balance Sheet Information (Tables)
6 Months Ended
Mar. 31, 2013
Note 2 Balance Sheet Information Tables  
Balance sheet information
   March 31,   September 30, 
   2013   2012 
   (unaudited)     
Receivables, current, net:          
Accounts receivable, current  $1,704,545   $1,863,067 
Less: Allowance for doubtful accounts   (1,396,095)   (1,423,219)
   $308,450   $439,848 
Receivables, long term, net:          
Accounts receivable, long term  $527,407   $510,587 
Less: Allowance for doubtful accounts   (120,379)   (136,017)
   $407,028   $374,570 
Total receivables, net:          
Gross receivables  $2,231,952   $2,373,654 
Less: Allowance for doubtful accounts   (1,516,474)   (1,559,236)
   $715,478   $814,418 
Components of allowance for doubtful accounts
   March 31,   September 30, 
   2013   2012 
           
Allowance for dilution and fees on amounts due from billing aggregators  $1,502,750   $1,525,126 
Allowance for customer refunds   13,724    34,111 
   $1,516,474   $1,559,237 
Property and equipment, net
   March 31,   September 30, 
   2013   2012 
           
Property and equipment, net:          
Furnishings and fixtures  $94,511   $94,511 
Office, computer equipment and other   388,686    361,685 
    483,197    456,196 
  Less: Accumulated depreciation   (419,652)   (405,670)
   $63,545   $50,526 
Intangible assets, net
   March 31,   September 30, 
   2013   2012 
           
Intangible assets, net:          
Domain name and marketing related intangibles  $1,511,650   $1,511,650 
Website and technology related intangibles   1,369,804    1,252,304 
    2,881,454    2,763,954 
Less:  Accumulated amortization   (880,941)   (766,283)
   $2,000,513   $1,997,671 
Accrued liabilities
         
   March 31,   September 30, 
   2013   2012 
           
Accrued liabilities:          
Deferred revenue  $213  $2,310 
Accrued payroll and bonuses   25,921   28,968 
Accruals under revenue sharing agreements   63,933    67,601 
Accrued expenses - other   318,143   311,225 
   $408,210  $410,104