Free 2008 June 23 Ver Amended Local Rules.pdf - Massachusetts


File Size: 34.7 kB
Pages: 8
File Format: PDF
State: Massachusetts
Category: Bankruptcy
Author: jamara
Word Count: 796 Words, 9,266 Characters
Page Size: Letter (8 1/2" x 11")
URL

http://www.mab.uscourts.gov/pdfdocuments/2008OLF3A.pdf

Download 2008 June 23 Ver Amended Local Rules.pdf ( 34.7 kB)


Preview 2008 June 23 Ver Amended Local Rules.pdf
OFFICIAL LOCAL FORM 3A POST-CONFIRMATION AMENDED CHAPTER 13 PLAN

-147-

UNITED STATES BANKRUPTCY COURT DISTRICT OF MASSACHUSETTS OFFICIAL LOCAL FORM 3A POST-CONFIRMATION AMENDED CHAPTER 13 PLAN DATED: ______________

POST-CONFIRMATION ____________________ AMENDED CHAPTER 13 PLAN (Insert First, Second etc.) Docket No.:_______________

DEBTORS: (H)_________________________ (W)_________________________

SS#: _____________________ SS#: _____________________

I. AMENDED PLAN PAYMENT AND TERM: TERM OF THE PLAN: ___________ Months (Total length of Plan - not no. of months remaining.) If the plan is longer than thirty-six (36) months, a statement of cause under 11 U.S.C. ยง 1322(d) must be attached hereto. AMENDED PLAN PAYMENT: Debtor(s) to pay monthly: $________________

EFFECTIVE: ______/______/______ (Insert new payment beginning date.) The claims listed below must include amounts previously disbursed by the Trustee on all claims which have subsequently been withdrawn or disallowed.

II. SECURED CLAIMS: A. Claims to be paid through the plan (including arrears): Creditor ______________ ______________ Description of Claim (pre-petition Amount of Claim arrears, purchase money, etc.) _______________________________ $________________ _______________________________ $________________

-148-

______________

_______________________________ $________________ $________________

Total of secured claims to be paid through the Plan:

B. Claims to be paid directly by debtor to creditors (Not through Plan): Creditor ______________________ _______________________ ______________________ Description of Claim ____________________________________________ ____________________________________________ ____________________________________________

C. Modification of Secured Claims: Creditor Details of Modification (Additional Details May Be Attached) Amt. of Claim to Be Paid Through Plan

____________________ __________________________ _________________ ____________________ __________________________ _________________ ____________________ __________________________ _________________

D. Leases: i. The Debtor(s) intend(s) to reject the residential/personal property lease claims of __________________________________________; or The Debtor(s) intend(s) to assume the residential/personal property lease claims of _____________________________________. The arrears under the lease to be paid under the plan are _________________________________________________________.

ii.

iii.

-149-

III. PRIORITY CLAIMS: A. Domestic Support Obligations: Creditor __________________ B. Other: Creditor Description of Claim Amount of Claim $______________ $______________ $______________ $______________ $______________ Description of Claim ____________________________ Amount of Claim $________________

____________________ ___________________________ ____________________ ___________________________ ____________________ __________________________

____________________ _________________________ Total of Priority Claims to Be Paid Through the Plan:

IV. ADMINISTRATIVE CLAIMS: A. Attorneys Fees (to be paid through the plan): $_______________

B. Miscellaneous Fees: Creditor Description of Claim Amount of Claim $______________ $______________ $______________

____________________ ___________________________ ____________________ ___________________________ ____________________ __________________________

C. The Chapter 13 Trustee's fee is determined by Order of the United States Attorney General. The calculation of the Plan payment set forth utilizes a 10% Trustee's commission.

-150-

V. UNSECURED CLAIMS: The general unsecured creditors shall receive a dividend of ______% of their claims. A. General unsecured claims: B. Undersecured claims arising after lien avoidance/cramdown: Creditor Description of Claim Amount of Claim $______________ $______________ $______________ $_______________

____________________ ___________________________ ____________________ ___________________________ ____________________ __________________________

C. Non-Dischargeable Unsecured Claims: Creditor Description of Claim Amount of Claim $______________ $______________ $______________ $______________ $______________

____________________ ___________________________ ____________________ ___________________________ ____________________ __________________________

Total of Unsecured Claims (A + B + C): D. Multiply total by percentage: (Example: Total of $38,500.00 x .22 dividend = $8,470.00) E. Separately classified unsecured claims (co-borrower, etc.): Creditor Description of Claim

Amount of Claim $______________ $______________ $______________ $______________

____________________ ___________________________ ____________________ ___________________________ ____________________ __________________________

Total amount of separately classified claims payable at ____%:

-151-

VI. OTHER PROVISIONS: A. Liquidation of assets to be used to fund plan:_________________________________ _______________________________________________________________________. B. Miscellaneous Provisions: _______________________________________________________________________ _______________________________________________________________________. C. Set forth below, all changes from the previously Confirmed Plan: Secured: _______________________________________________________________. Priority: ________________________________________________________________. Unsecured: _____________________________________________________________. Term: __________________________________________________________________. PlanPayment: ___________________________________________________________. VII. CALCULATION OF AMENDED PLAN PAYMENT: a) Secured claims (Section II-A Total): b) Priority claims (Section III-A & B Total): c) Administrative claims (Section IV-A&B Total): d) Regular unsecured claims (Section V-D Total): + e) Separately classified unsecured claims: f) Total of a + b + c + d + e above: g) Divide (f) by .90 for total including Trustee's fee: Cost of Plan = $_________________ (This represents the total amount to be paid into the Chapter 13 Plan.) h) Subtract the total amount of payment the Debtor has paid to the Trustee to date: = $_________________ $_________________ $_________________ $_________________ $_________________ $_________________

$_________________

-152-

i) Total amount left to be paid (g minus h) j) Divide (i) by # of months remaining:
k) Round up to nearest dollar: Amended Monthly Plan Payment

$_________________ _________________ $_________________

Date Amended Payment to begin: _____/_____/______ VIII. LIQUIDATION ANALYSIS

G The Debtor avers that there have been no material changes to the total amount set
forth in the Summary of the Liquidation Analysis of the Debtor's previously Confirmed Plan. A. Real Estate: List Each Address Fair Market Value Total Amt. of Recorded Liens (Schedule D) $_____________________ $_____________________ $_____________________ $_____________________ $_____________________ $_____________________

____________________ $_____________________ ____________________ $_____________________ ____________________ $_____________________ Total Net Equity for Real Property: Less Total Exemptions (Schedule C): Available Chapter 7: B. Automobile (Describe year, make, model):

______________ Value $________ Lien $_________ Exemption $ _________________ ______________ Value $________ Lien $_________ Exemption $ _________________ Total Net Equity: Less Total Exemptions (Schedule C) Available Chapter 7: $_____________________ $_____________________ $_____________________

C. All other Assets: (All remaining items on schedule B) : (Itemize as necessary)

-153-

________________________________________________________________________ ______________________________________________________________________. Total Net Value: Less Exemptions (Schedule C): Available Chapter 7: $____________________ $ ____________________ $____________________

D. Liquidation Summary (Total amount available under Chapter 7): Net Equity (A and B) plus Other Assets (C) less all claimed exemptions: $ ____________ Additional Comments regarding Liquidation Analysis: ________________________________________________________________________ ________________________________________________________________________ IX. Signatures Pursuant to the Chapter 13 rules, the debtor(s) or his or her counsel will serve a copy of the Plan upon the Chapter 13 Trustee, all creditors and interested parties, and file a Certificate of Service accordingly. ______________________________ Debtor's Counsel _______________________ Date

Counsel's Address: ___________________________________________________________ ___________________________________________________________________________ ___________________________________________________________________________ Tel. # ( ) _______-________ Email Address: ___________________________________

I/WE DECLARE UNDER THE PENALTIES OF PERJURY THAT THE FOREGOING REPRESENTATIONS OF FACT ARE TRUE AND CORRECT TO THE BEST OF OUR KNOWLEDGE AND BELIEF. _______________________________ Debtor _______________________________ Debtor _______________________ Date _______________________ Date

-154-