Page 36 - Eagle Landing Academic Year 2021-22 Quarter 2
P. 36

Daytona Properties II, 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
       DEBT SERVICE                                   126,729      126,729          0       126,729           0            752,199     752,199           0       752,199          0     1,492,133

       CASH FLOW AFTER DEBT SERVICE                   101,447      112,375      (10,928)    102,008         561            505,713     377,991      127,722      510,687       4,974      932,963
       RESERVES                                         6,420        6,420          0         6,421           0             38,523      38,523           0       38,522           0        77,046
       CAPITAL EXPENDITURES                                0         4,620       4,620           0            0             31,372      62,612       31,240      24,581       (6,792)      79,112
       CASH FLOW BEFORE DEPREC/AMORT                   95,027      101,335       (6,308)     95,587         561            435,818     276,856      158,962      447,584      11,766      776,805

       DEPRECIATION/AMORTIZATION                       78,892       78,891          0        98,836       19,946           472,613     472,747         134       592,421     119,808      946,093
       OTHER EXPENSES                                      0            0           0            0            0              5,132          0        (5,133)      3,450       (1,682)       6,975
       CASH FLOW AFTER DEPREC/AMORT AND OTHER          16,135       22,444       (6,308)     (3,249)     (19,385)          (41,927)    (195,891)    153,963     (148,287)    (106,360)   (176,263)
       EXP.

       RECONCILIATION TO GAAP NET INCOME (LOSS)
         CAPITAL EXPENDITURES                              0        (4,620)      4,620           0            0            (31,372)     (62,612)     31,240      (24,580)      6,792      (79,112)
         RESERVES                                       (6,420)     (6,420)         0        (6,420)          0            (38,523)     (38,523)         0       (38,523)         0       (77,046)

       GAAP NET INCOME (LOSS)                          22,556       33,484      (10,928)      3,171      (19,385)           27,967      (94,756)    122,723      (85,184)    (113,151)    (20,105)


       DEBT COVERAGE RATIO                               1.80         1.89        (0.09)       1.80        0.00              1.67         1.50         0.17        1.68         0.01        1.63
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