Page 31 - Eagle Landing Academic Year 2021-22 Quarter 2
P. 31

Daytona Properties I, LLLP
 Managed by RISE Residential
 Budget Comparison Report

                                                                                     Current
 Current Month 01/31/2022  Prior Yr Current Mo. 01/31/2021  Year to Date 01/31/2022  Prior Year YTD 01/31/2021  Fiscal Yr.
 Actual  Budget  Variance  Actual  Variance  Actual  Budget  Variance  Actual  Variance  Budget
 REVENUE
 GROSS RENTAL INCOME  223,511  222,001  1,510  220,528  (2,983)  1,346,599  1,332,006  14,593  1,321,322  (25,277)  2,664,012
 COST OF LEASING  (3,859)  (10,059)  6,200  (7,597)  (3,738)  (19,776)  (56,282)  36,506  (33,170)  (13,395)  (110,528)
 NET RENTAL INCOME  219,652  211,942  7,710  212,931  (6,721)  1,326,823  1,275,724  51,099  1,288,152  (38,672)  2,553,484
 OTHER INCOME  27,838  24,305  3,533  14,224  (13,614)  146,714  113,768  32,946  106,482  (40,232)  236,973

 TOTAL INCOME  247,490  236,247  11,243  227,155  (20,335)  1,473,537  1,389,492  84,045  1,394,634  (78,904)  2,790,457
 CONTROLLABLE EXPENSES
 PAYROLL OFFICE  10,823  8,119  (2,705)  9,966  (857)  60,318  65,686  5,368  50,546  (9,772)  123,049
 PAYROLL MAINTENANCE  4,573  4,894  322  4,616  44  32,133  31,248  (885)  28,175  (3,959)  60,612
 PAYROLL RELATED EXPENSES  2,164  2,717  553  2,596  431  13,935  19,438  5,503  13,367  (568)  36,012
 TOTAL PAYROLL  17,560  15,730  (1,830)  17,178  (382)  106,386  116,372  9,986  92,088  (14,299)  219,673
 GENERAL & ADMINISTRATIVE  5,578  7,415  1,837  4,403  (1,176)  28,027  38,270  10,243  23,191  (4,835)  68,829
 PROFESSIONAL FEES  0  25  25  0  0  0  50         50           20          20          100
 CONTRACT SERVICES  7,460  7,101  (359)  6,238  (1,221)  44,589  46,631  2,042  48,049  3,460  101,377
 TURNOVER EXPENSE  1,222  0  (1,222)  604  (618)  37,920  52,955  15,035  46,411  8,490  70,205
 REPAIRS & MAINTENANCE  2,699  5,190  2,491  2,399  (301)  13,219  22,935  9,715  15,681  2,462  41,350
 MARKETING & LEASING  3,028  2,748  (280)  2,749  (277)  22,817  31,307  8,490  14,751  (8,066)  51,960
 COMMON AREA UTILITIES  2,329  2,221  (108)  2,306  (24)  12,314  13,312  999  12,864  550  25,585
 UNIT UTILITIES  20,253  16,064  (4,189)  15,423  (4,830)  127,516  123,517  (3,999)  119,151  (8,365)  236,586
 TOTAL UTILITIES  22,582  18,285  (4,297)  17,729  (4,854)  139,830  136,829  (3,000)  132,015  (7,815)  262,171

 MANAGEMENT FEES  6,414  8,269  1,855  8,455  2,041  48,708  48,634  (74)  49,924  1,215  97,667
 TOTAL CONTROLLABLE EXPENSES  66,543  64,763  (1,780)  59,755  (6,788)  441,496  493,983  52,487  422,130  (19,368)  913,332

 CONTROLLABLE CASH FLOW  180,947  171,484  9,463  167,400  (13,547)  1,032,041  895,509  136,532  972,504  (59,536)  1,877,125
 TAXES & INSURANCE  37,350  34,428  (2,922)  34,795  (2,555)  227,200  204,536  (22,664)  201,950  (25,249)  411,957
 NET OPERATING INCOME  143,597  137,056  6,541  132,605  (10,992)  804,841  690,973  113,868  770,554  (34,287)  1,465,168

 CASH FLOW BEFORE DEBT SERVICE  143,597  137,056  6,541  132,605  (10,992)  804,841  690,973  113,868  770,554  (34,287)  1,465,168
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