Page 16 - Oxford West Investor Quarterly Report 1.25.22
P. 16

Income Statement - Budget vs Actual                                                                                                                                     Property:Oxford West


                                                                                                                Jan 2022                                          YTD ( Aug 2021 - Jan 2022 )
                               Account                  Account Name                            Actual       Budget     $ Variance    % Variance        Actual       Budget       $ Variance     % Variance  Annual Budget
                                8006                    Amortization-Loan Fees               10,416.27     10,416.27        0.00         0.00%       62,497.62     62,497.62          0.00           0.00%     124,995.24
                                                                Total Depreciation/Amortization  88,204.76  86,734.32   (1,470.44)       -1.70%     528,177.59    520,405.92       (7,771.67)       -1.49%    1,040,811.84
                                Other Expenses
                                8515                    Other Professional Fees               2,000.00         0.00     (2,000.00)     -100.00%       2,000.00         0.00        (2,000.00)     -100.00%          0.00
                                8517                    Audit/Tax Return Fees                    0.00          0.00         0.00         0.00%        7,645.00      7,645.00          0.00           0.00%       7,645.00
                                                                      Total Other Expenses    2,000.00         0.00     (2,000.00)     -100.00%       9,645.00      7,645.00       (2,000.00)      -26.16%       7,645.00
                                                        Cash Flow After Deprec/Amort and Other  (131,038.62)  (67,269.56)  (63,769.06)  -94.80%    (695,877.29)  (625,420.45)     (70,456.84)      -11.27%   (1,047,959.02)
                                                                                   Exp.
                                                                           Net Cash Flow   (131,038.62)   (67,269.56)  (63,769.06)      -94.80%    (695,877.29)  (625,420.45)     (70,456.84)      -11.27%   (1,047,959.02)





































































                              Income Statement - Budget vs Actual 2.5 generated 02/18/2022 02:58 PM EST and data as of 02/18/2022 02:58 PM EST                                                                 Page 5 of 5
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