Page 43 - Preserve at Tech Investor Quarterly Report Academic Year 2021-2022 Quarter 2
P. 43

Ruston Properties I, LLC
 The Preserve at Tech
 Financial Analysis Report
 Managed by RISE Residential
 As of January 31, 2022

 08/31/2021 09/30/2021 10/31/2021 11/30/2021 12/31/2021 01/31/2022 02/28/2022 03/31/2022 04/30/2022 05/31/2022 06/30/2022 07/31/2022  Total  Original
 Actual  Actual  Actual  Actual  Actual  Actual  Budget  Budget  Budget  Budget  Budget  Budget  Act/Bud  Budget  Variance


 CASH FLOW BEFORE DEBT SERVICE  20,793  131,835  160,439  144,897  235,034  168,761  123,288  123,240  121,341  117,938  126,050  119,593  1,593,208  1,314,389  278,819
 DEBT SERVICE
 6820 - Interest Expense  0  0  61,439  64,294  61,764  63,824  69,613  69,614  69,614  69,613  69,613  69,613  669,001  696,136  (27,135)
 TOTAL DEBT SERVICE  0  0  61,439  64,294  61,764  63,824  69,613  69,614  69,614  69,613  69,613  69,613  669,001  696,136  (27,135)

 CASH FLOW AFTER DEBT SERVICE  20,793  131,835  99,000  80,603  173,270  104,937  53,675  53,626  51,727  48,325  56,437  49,980  924,206  618,253  305,953
 EXTRAORDINARY EXPENSE
 7200 - Extraordinary Expense  0  0  0  949  0  0  0  0  0  0  0  0   949         0        949
 TOTAL EXTRAORDINARY EXPENSE  0  0  0  949  0  0  0  0  0  0  0  0    949         0        949

 CAPITAL EXPENDITURES
 1504 - Furniture-Units  0  0  0  0  0  0  0  5,000  0  0  0  0     5,000      5,000         0
 1530 - Building - Exterior  0  4,995  0  0  0  0  0  0  0  0  0  0  4,995     5,100      (105)
 1531 - Building - Interior  0  (1,032)  0  0  0  0  0  0  0  0  0  0  (1,032)    0     (1,032)
 TOTAL CAPITAL EXPENDITURES  0  3,963  0  0  0  0  0  5,000  0  0  0  0  8,963  10,100  (1,137)
 CASH FLOW BEFORE DEPREC/  20,793  127,872  99,000  79,654  173,270  104,937  53,675  48,626  51,727  48,325  56,437  49,980  914,294  608,153  306,141
 AMORT
 DEPRECIATION/AMORTIZATION
 8000 - Depreciation - FF&E  0  0  23,006  23,085  23,541  23,540  23,541  23,541  23,541  23,541  23,541  23,541  234,419  234,340  79
 8003 - Amortization - Loan Fees/Transaction  0  0  8,946  8,947  8,946  8,947  8,947  8,947  8,947  8,947  8,947  8,947  89,468  89,470  (3)
 Cost
 8005 - Deprec Expense-Building  0  0  83,853  85,074  85,089  85,092  85,092  85,092  85,092  85,092  85,092  85,092  849,659  847,897  1,763
 TOTAL DEPREC/AMORT  0  0  115,805  117,106  117,576  117,579  117,580  117,580  117,580  117,580  117,580  117,580  1,173,546  1,171,707  1,839

 OTHER EXPENSES
 8515 - Other Professional Fees  0  0  0  0  3,000  0  0  0  0  0  0  0  3,000    0      3,000
 TOTAL OTHER EXPENSES  0  0  0  0  3,000  0  0  0  0  0  0   0      3,000         0      3,000

 CASH FLOW AFTER DEPREC/AMORT  20,793  127,872  (16,805)  (37,452)  52,694  (12,642)  (63,905)  (68,954)  (65,853)  (69,255)  (61,143)  (67,600)  (262,251)  (563,554)  301,302
 AND OTHER EXP.


 RECONCILIATION TO GAAP NET IN-
 COME (LOSS)
 CAPITAL EXPENDITURES
 1530 - Building - Exterior  0  (4,995)  0  0  0  0  0  0  0  0  0  0  (4,995)  (5,100)    105
 1531 - Building - Interior  0  1,032  0  0  0  0  0  0  0  0  0  0  1,032        0      1,032
 1504 - Furniture-Units  0  0  0  0  0  0  0  (5,000)  0  0  0  0   (5,000)   (5,000)        0
 TOTAL CAPITAL EXPENDITURES  0  (3,963)  0  0  0  0  0  (5,000)  0  0  0  0  (8,963)  (10,100)  1,137

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