Page 73 - Eagle Landing Academic Year 2021-22 Quarter 2
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Daytona Properties I, LLLP

 13 Month Trend Report
 Managed by RISE Residential
 As of January 31, 2022

 Prior Year                                                                          Rolling 12
 01/31/2021  01/31/2022  12/31/2021  11/30/2021  10/31/2021  09/30/2021  08/31/2021  07/31/2021  06/30/2021  05/31/2021  04/30/2021  03/31/2021  02/28/2021 Month Total
 REVENUE

 GROSS RENTAL INCOME  220,528  223,511  226,422  224,184  224,109  224,107  224,266  220,079  220,671  221,299  221,327  221,518  219,201  2,670,694
 COST OF LEASING  (7,597)  (3,859)  (3,507)  (3,201)  (2,651)  (3,199)  (3,358)  (7,020)  (4,407)  (5,095)  (5,803)  (5,838)  (6,532)  (54,471)
 NET RENTAL INCOME  212,931  219,652  222,915  220,983  221,458  220,908  220,908  213,059  216,264  216,204  215,524  215,680  212,669  2,616,223
 OTHER INCOME  14,224  27,838  19,102  36,266  34,740  13,538  15,230  25,884  23,407  22,333  22,324  25,463  15,342  281,467

 TOTAL INCOME  227,155  247,490  242,017  257,249  256,198  234,446  236,138  238,943  239,671  238,537  237,848  241,143  228,011  2,897,690
 CONTROLLABLE EXPENSES

 PAYROLL OFFICE  9,966  10,823  7,302  10,740  7,375  7,430  16,649  9,496  6,585  8,601  11,218  6,180  6,412  108,810
 PAYROLL MAINTENANCE  4,616  4,573  4,794  4,931  4,917  5,373  7,544  4,405  4,128  5,674  4,128  4,285  4,568  59,322
 PAYROLL RELATED EXPENSES  2,596  2,164  2,122  2,943  1,847  2,408  2,451  2,345  1,525  2,235  2,145  1,856  1,945  25,984
 TOTAL PAYROLL  17,178  17,560  14,218  18,614  14,139  15,211  26,644  16,246  12,238  16,510  17,491  12,321  12,925  194,116

 GENERAL & ADMINISTRATIVE  4,403  5,578  4,447  5,501  2,748  5,643  4,110  2,113  6,983  4,711  4,827  3,506  3,457  53,625
 CONTRACT SERVICES  6,238  7,460  5,743  8,612  6,913  7,094  8,767  6,954  9,904  10,596  7,327  13,290  7,906  100,567
 TURNOVER EXPENSE  604  1,222  1,874  4  18  27  34,776  13,989  17  0  0  0    16     51,941
 REPAIRS & MAINTENANCE  2,399  2,699  1,881  1,837  3,045  2,758  999  4,283  3,116  1,581  3,252  2,663  3,591  31,705
 MARKETING & LEASING  2,749  3,028  2,977  2,066  3,078  8,694  2,974  2,747  5,546  5,805  2,291  3,225  1,589  44,022
 UTILITIES  17,729  22,582  27,947  20,686  23,452  23,996  21,168  19,231  21,159  24,976  23,133  22,729  22,923  273,980
 MANAGEMENT FEES  8,455  6,414  12,033  6,338  10,097  6,219  7,607  10,838  8,491  5,961  9,974  8,014  5,924  97,909

 TOTAL CONTROLLABLE EXPENSES  59,755  66,543  71,120  63,658  63,490  69,642  107,045  76,401  67,454  70,140  68,295  65,748  58,331  847,865

 CONTROLLABLE CASH FLOW  167,400  180,947  170,897  193,591  192,708  164,804  129,093  162,542  172,217  168,397  169,553  175,395  169,680  2,049,826
 TAXES & INSURANCE  34,795  37,350  43,155  36,026  36,025  39,317  35,327  34,546  34,810  35,060  35,769  34,142  36,702  438,228

 NET OPERATING INCOME  132,605  143,597  127,742  157,565  156,683  125,487  93,766  127,996  137,407  133,337  133,784  141,253  132,978  1,611,597
 CASH FLOW BEFORE DEBT SERVICE  132,605  143,597  127,742  157,565  156,683  125,487  93,766  127,996  137,407  133,337  133,784  141,253  132,978  1,611,597

 DEBT SERVICE  65,285  65,285  63,178  65,284  63,179  65,285  65,284  63,178  65,285  63,179  65,284  58,967  65,285  768,675
 CASH FLOW AFTER DEBT SERVICE  67,320  78,312  64,564  92,281  93,504  60,202  28,482  64,818  72,122  70,158  68,500  82,286  67,693  842,922
 RESERVES  3,308  3,307  3,308  3,308  3,307  3,307  3,308  3,308  3,307  3,307  3,308  3,307  3,307  39,691
 CAPITAL EXPENDITURES  0  0  579  1,341  3,834  332  5,358  42,221  964  1,592  450  (30)  782  57,422
 CASH FLOW BEFORE DEPREC/AMORT  64,012  75,005  60,677  87,632  86,363  56,563  19,816  19,289  67,851  65,259  64,742  79,009  63,604  745,809


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