Page 26 - Anthem House Academic Year 2021-22 Quarter 2
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Anthem House                                                                 Gainesville Properties III, LLC
                                                                                          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                          205,265      199,315       5,950      179,490      (25,775)        1,183,175    1,188,242      (5,067)     179,490   (1,003,685)  2,384,132
         COST OF LEASING                               (12,940)     (6,234)      (6,706)    (179,490)   (166,550)          (48,754)     (43,598)     (5,157)    (179,490)    (130,736)    (81,002)
         NET RENTAL INCOME                            192,325      193,081        (756)          0      (192,325)        1,134,421    1,144,644     (10,224)         0     (1,134,421)  2,303,130
         OTHER INCOME                                  16,143       17,275       (1,132)         0       (16,143)           84,504      81,662        2,842          0       (84,504)     186,512

       TOTAL INCOME                                   208,468      210,356       (1,888)         0      (208,468)        1,218,925    1,226,306      (7,382)         0     (1,218,925)  2,489,642
       CONTROLLABLE EXPENSES
         PAYROLL OFFICE                                 6,521       10,466       3,945           0        (6,521)           46,091      68,921       22,831          0       (46,091)     141,843
         PAYROLL MAINTENANCE                            1,602        6,000       4,398           0        (1,602)           26,483      36,002        9,519          0       (26,483)      72,003
         PAYROLL RELATED EXPENSES                        518         3,898       3,380           0         (518)            14,198      25,149       10,951          0       (14,198)      49,793
         TOTAL PAYROLL                                  8,641       20,364      11,723           0        (8,641)           86,772     130,072       43,301          0       (86,772)     263,639
         GENERAL & ADMINISTRATIVE                       6,508        5,391       (1,117)         0        (6,508)           25,517      23,867       (1,650)         0       (25,517)      46,248
         PROFESSIONAL FEES                                 0            0           0            0            0               408           0         (408)          0          (408)      10,400
         CONTRACT SERVICES                              4,725        2,875       (1,850)         0        (4,725)           32,641      17,251      (15,390)         0       (32,641)      34,501
         TURNOVER EXPENSE                                 60         6,860       6,800           0          (60)             1,160       7,160        6,000          0        (1,160)       7,540
         REPAIRS & MAINTENANCE                          1,083         751         (332)          0        (1,083)           16,181       7,356       (8,826)         0       (16,181)      11,862
         MARKETING & LEASING                            7,010        3,283       (3,727)         0        (7,010)           46,763      22,198      (24,564)         0       (46,763)      41,896
         COMMON AREA UTILITIES                          6,518        2,301       (4,217)         0        (6,518)           36,615      13,805      (22,810)         0       (36,615)      27,611
         UNIT UTILITIES                                17,664       13,675       (3,989)         0       (17,664)           88,959      82,050       (6,910)         0       (88,959)     164,100
         TOTAL UTILITIES                               24,182       15,976       (8,206)         0       (24,182)          125,574      95,855      (29,720)         0       (125,574)    191,711

         MANAGEMENT FEES                                7,079        7,362         283           0        (7,079)           41,361      42,920        1,561          0       (41,361)      87,138
       TOTAL CONTROLLABLE EXPENSES                     59,288       62,862       3,574           0       (59,288)          376,377     346,679      (29,696)         0       (376,377)    694,935

       CONTROLLABLE CASH FLOW                         149,180      147,494       1,686           0      (149,180)          842,548     879,627      (37,078)         0       (842,548)  1,794,707
       TAXES & INSURANCE                               29,837       29,775         (62)          0       (29,837)           94,607     178,651       84,043          0       (94,607)     357,300
       NET OPERATING INCOME                           119,343      117,719       1,624           0      (119,343)          747,941     700,976       46,965          0       (747,941)  1,437,407

       CASH FLOW BEFORE DEBT SERVICE                  119,343      117,719       1,624           0      (119,343)          747,941     700,976       46,965          0       (747,941)  1,437,407
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