Page 29 - Preserve at Tech Investor Quarterly Report Academic Year 2021-2022 Quarter 2
P. 29

The Preserve at Tech  Ruston 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  366,275  358,680  7,595  (366,275)  2,168,318  2,217,501  (49,183)  (2,168,318)  4,369,581
 COST OF LEASING  (115,020)  (116,312)  1,292  115,020  (766,539)  (847,192)  80,653  766,539  (1,545,063)
 NET RENTAL INCOME  251,255  242,368  8,887  (251,255)  1,401,779  1,370,309  31,470  (1,401,779)  2,824,518
 OTHER INCOME  22,322  14,087  8,235  (22,322)  119,368  67,900  51,468  (119,368)  159,832

 TOTAL INCOME  273,577  256,455  17,122  (273,577)  1,521,147  1,438,209  82,938  (1,521,147)  2,984,350
 CONTROLLABLE EXPENSES
 PAYROLL OFFICE  11,202  13,072  1,870  (11,202)  74,179  90,490  16,311  (74,179)  182,125
 PAYROLL MAINTENANCE  6,922  11,007  4,085  (6,922)  37,721  52,177  14,457  (37,721)  119,217
 PAYROLL RELATED EXPENSES  2,944  4,792  1,848  (2,944)  21,763  29,797  8,033  (21,763)  60,512
 TOTAL PAYROLL  21,068  28,871  7,803  (21,068)  133,663  172,464  38,801  (133,663)  361,854
 GENERAL & ADMINISTRATIVE  10,385  11,750  1,364  (10,385)  57,447  67,796  10,349  (57,447)  129,783
 PROFESSIONAL FEES  667  667  0  (667)  5,040  4,000  (1,040)  (5,040)  8,000
 CONTRACT SERVICES  13,348  19,825  6,478  (13,348)  75,653  117,930  42,277  (75,653)  208,280
 TURNOVER EXPENSE  80  510  430  (80)  5,964  5,710  (254)  (5,964)  9,470
 REPAIRS & MAINTENANCE  1,113  374  (739)  (1,113)  24,473  17,884  (6,590)  (24,473)  33,967
 MARKETING & LEASING  6,077  5,252  (825)  (6,077)  94,405  101,668  7,264  (94,405)  169,123
 COMMON AREA UTILITIES  10,086  2,464  (7,622)  (10,086)  19,951  14,782  (5,169)  (19,951)  29,565
 UNIT UTILITIES  6,732  30,726  23,994  (6,732)  112,550  174,291  61,740  (112,550)  358,651
 TOTAL UTILITIES  16,818  33,190  16,372  (16,818)  132,501  189,073  56,571  (132,501)  388,216

 MANAGEMENT FEES  9,195  8,976  (218)  (9,195)  52,731  50,337  (2,393)  (52,731)  104,452
 TOTAL CONTROLLABLE EXPENSES  78,751  109,415  30,665  (78,751)  581,877  726,862  144,985  (581,877)  1,413,145

 CONTROLLABLE CASH FLOW  194,826  147,040  47,787  (194,826)  939,270  711,347  227,923  (939,270)  1,571,205
 TAXES & INSURANCE  26,065  21,402  (4,665)  (26,065)  77,512  128,408  50,896  (77,512)  256,816
 NET OPERATING INCOME  168,761  125,638  43,122  (168,761)  861,758  582,939  278,819  (861,758)  1,314,389

 CASH FLOW BEFORE DEBT SERVICE  168,761  125,638  43,122  (168,761)  861,758  582,939  278,819  (861,758)  1,314,389
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