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Annual Meeting of Owners January 24, 2012
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Financial Overview
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Income Statement 2011 Bud 2011 Act Var to Bud 2012 Bud Revenue
$ ,312,220 $ ,303,193 $ (9,027) $ 3,519,264 Utilities $ ,567 $ ,060 $ ,507 $ ,014 Main Contract $ ,259 $ ,119 $ ,141 $ ,116 Main Sup & Rep $ ,071 $ ,639 $ (61,568) $ ,647 General & Admin $ ,904 $ ,018 $ (9,114) $ ,795 Ins and Taxes $ ,045 $ ,387 $ ,658 $ ,068 Payroll $ ,682,872 $ ,772,711 $ (89,839) $ 1,788,667 Oper Exp $ ,803,718 $ ,952,934 $ (149,216) $ 2,975,307
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Income Statement Summary
2011 Bud 2011 Act Var to Bud 2012 Bud Revenue $ ,312,220 $ ,303,193 $ (9,027) $ 3,519,264 Oper Exp $ ,803,718 $ ,952,934 $ (149,216) $ 2,975,307 Reserve Trans $ ,116 $ ,116 $ $ ,116 Total Exp $ ,299,834 $ ,449,050 $ (149,216) $ 3,471,423 Income/Loss $ ,386 $ (145,856) $ (158,242) $ ,841
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Maintenance Supplies & Repairs
Safety Fire Protection Stairwell Door Seals $5,500 Trash Chute Fire Dampers $3,155 Inspection Repairs $8,925 Elevator Inspections 5 Year Load Test $6,580 Trash Removal Dumpster Repairs $1,705 Compactor Repair $1,949 Chute Repair $1,950
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Maintenance Supplies & Repairs
Controlled Access Office Security Systems $4,711 Camera Replacements $3,460 Landscape Replacement Heat and Cold Damage $3,100 Generator Repairs $3,556 Plumbing Repairs Repairs on water system $8,715
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Operating Payroll Security Payroll Dallas Sheriff Addition $11, Payroll $6,509 Under Budgeted $27,272 Concierge Payroll 2010 Payroll $6,155 Under Budgeted $34,398
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General Administrative
Legal Expense $7,000 IT Support $3000
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Operational Cash Analysis
Total Cash Collection $3,384,524 Transfer to Reserves -$419,103 Cash Disbursements -$2,884,090 Operational Cash Balance 12/31/2012 $81,331
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Reserve Account
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Reserves as of December 31, 2011
2011 Beginning Balance $755,761 Contribution & Interest $419,103 Expenses $-521,707 Borrowed from Reserves $45,155 Ending Balance Dec 2011 $608,002
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Reserve Expenses for 2011 Exterior Maintenance Project $413,974
Reserve Study $3,600 Stairwells and East Tower Lights $25,859 Insurance Claim $57,740 Renovation Plans $6,983 HVAC Replacements $13,551 TOTAL $521,707
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Reserves as of January 23, 2012 Beginning Balance 01/01/12 $608,002 Contribution: Nov & Dec $82,686 Exterior Maintenance Final -$79,414 Current Balance 01/23/12 $611,274 Current Owed to the Reserves $96,965
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Delinquent Accounts
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Delinquent Accounts January 24, 2011 29 Accounts $65,761
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Delinquent Loses 8 Mortgage forclosures in 2011 $25,686 Doubtful accounts in collections $27,000 Red Rock Collections 12 month rolling $76,000
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Accomplishments/Challenges in 2011
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Caulking before
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Caulking After
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RTC Waterproofing Crew
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Fire and Saftey
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Fire and Saftey
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Freeze of 2011
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LED’s in East Tower Hallways 40 to 2 Watts
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Energy Efficient Lighting in Stairwells 50 to 25 Watts
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How Many Work Orders in 2011? 1726 197 7000+
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How Many Work Orders in 2011? a not including PM’s
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b. 197 Move In’s and Out’s we have facilitated
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c. 7000+ # of packages we process each year
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300 1. Number of Pigeons we removed from the garage?
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300 1. Number of pigeons we removed from the garage? 2. Number of violations we sent for noise disturbances?
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300 1. Number of pigeons we removed from the garage?
2. Number of violations we sent for noise disturbances? 3. Number of gallons of paint we used last year?
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300 1. Number of pigeons we removed from the garage?
2. Number of violations we sent for noise disturbances? 3. Number of gallons of paint we used last year?
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One of our most difficult task?
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Pigeons
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How did we do it?
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Teamwork!
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We are proud to serve you!
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