Page 25 - Prosper Investor Quarterly Report Academic Year 2021-2022 Quarter 2
P. 25

Prosper on Fayette  Baltimore Properties I, LLC
 Managed by RISE Residential
 Budget Comparison Report

                                                            Current
 Prior Yr Current                         Prior Year YTD
 Current Month 01/31/2022  Mo. 01/31/2021  Year to Date 01/31/2022  01/31/2021  Fiscal Yr.
 Actual  Budget  Variance  Variance  Actual  Budget  Variance  Variance  Budget
 REVENUE

 GROSS RENTAL INCOME  418,970  419,650  (680)  (418,970)  2,515,437  2,517,900  (2,464)  (2,515,437)  5,035,800
 COST OF LEASING  (179,119)  (185,026)  5,907  179,119  (1,468,985)  (1,500,666)  31,682  1,468,985  (2,594,278)
 NET RENTAL INCOME  239,851  234,624  5,227  (239,851)  1,046,452  1,017,234  29,218  (1,046,452)  2,441,522
 OTHER INCOME  24,163  13,024  11,139  (24,163)  127,748  77,806  49,942  (127,748)  228,075

 TOTAL INCOME  264,014  247,648  16,366  (264,014)  1,174,200  1,095,040  79,160  (1,174,200)  2,669,597
 CONTROLLABLE EXPENSES
 PAYROLL OFFICE  18,154  18,613  459  (18,154)  111,605  114,895  3,290  (111,605)  236,755
 PAYROLL MAINTENANCE  8,786  8,814  27  (8,786)  39,830  52,880  13,050  (39,830)  105,760
 PAYROLL RELATED EXPENSES  5,279  4,536  (742)  (5,279)  24,812  29,193  4,381  (24,812)  57,705
 TOTAL PAYROLL  32,219  31,963  (256)  (32,219)  176,247  196,968  20,721  (176,247)  400,220
 GENERAL & ADMINISTRATIVE  12,896  10,815  (2,081)  (12,896)  68,304  64,263  (4,041)  (68,304)  114,123
 PROFESSIONAL FEES  0  0  0  0  0  8,000  8,000     0         8,000
 CONTRACT SERVICES  12,184  12,164  (20)  (12,184)  27,478  36,484  9,005  (27,478)  70,268
 TURNOVER EXPENSE  180  0  (180)  (180)  180  0  (180)  (180)  2,000
 REPAIRS & MAINTENANCE  1,921  2,600  679  (1,921)  15,543  18,300  2,758  (15,543)  32,421
 MARKETING & LEASING  7,613  6,752  (861)  (7,613)  61,776  53,312  (8,464)  (61,776)  98,974
 COMMON AREA UTILITIES  10,576  4,454  (6,122)  (10,576)  29,068  29,458  390  (29,068)  54,778
 UNIT UTILITIES  21,116  11,909  (9,207)  (21,116)  113,728  71,362  (42,366)  (113,728)  142,900
 TOTAL UTILITIES  31,692  16,363  (15,329)  (31,692)  142,796  100,820  (41,976)  (142,796)  197,678

 MANAGEMENT FEES  9,269  9,316  47  (9,269)  38,698  38,974  276  (38,698)  97,969
 TOTAL CONTROLLABLE EXPENSES  107,974  89,973  (18,001)  (107,974)  531,022  517,121  (13,901)  (531,022)  1,021,653

 CONTROLLABLE CASH FLOW  156,040  157,675  (1,635)  (156,040)  643,178  577,919  65,259  (643,178)  1,647,944
 TAXES & INSURANCE  31,515  32,231  716  (31,515)  188,621  193,388  4,767  (188,621)  386,776
 NET OPERATING INCOME  124,525  125,444  (919)  (124,525)  454,557  384,531  70,026  (454,557)  1,261,168

 CASH FLOW BEFORE DEBT SERVICE  124,525  125,444  (919)  (124,525)  454,557  384,531  70,026  (454,557)  1,261,168
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