![]() Annual Budget |
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Chardonnay Council of Co-Owners |
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| Account Name | Annual Budget | YTD Budget | YTD Actual | YTD Variance |
INCOME |
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| Association Fees Cable Fees Late Fees Clubhouse Rental Total |
272,502.00 3,300.00 0.00 2,160.00 277,962.00 |
58,963.00 1,650.00 0.00 1,260.00 61,873.00 |
163,933.98 1,715.29 1,085.00 930.00 167,664.27 |
4,970.98 65.29 1,085.00 (330.00) 5,791.27 |
EXPENSES |
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| Utilities | ||||
| Electric Water & Sewage Storm Water Drainage |
3,860.00 6,000.00 ,300.00 |
8,232.00 3,887.00 ,150.00 |
7,289.38 23,542.04 1,079.75 |
942.62 344.96 1,070.25 |
| Contracts | ||||
| Landscaping Snow Removal Pool Maintenance Trash Removal Hallway Cleaning Fire Alarm Maint. Towne Prop. Management Insurance Towne Prop. Maintenance |
43,497.00 10,000.00 5,058.00 5,052.00 9,871.00 1,312.00 24,700.00 49,400.00 7,480.00 |
25,375.00 8,000.00 2,691.00 2,947.00 5,995.00 354.00 14,406.00 38,395.00 4,361.00 |
25,373.18 1,837.00 2,391.08 2,894.64 7,008.82 45.12 14,408.80 23,760.00 2,551.53 |
1.82 6,163.00 299.92 52.36 (1,013.82) 308.88 (2.80) 14,635.00 1,809.47 |
| Committees | ||||
| Landscaping Pool/Welcome/Social |
6,500.00 1,330.00 |
3,794.00 777.00 |
5,527.25 572.76 |
(1,733.25) 204.24 |
| Miscellaneous | ||||
| Bldg Maintenance Pool Supplies Clubhouse Supplies Clubhouse Management Legal Misc. Admin. Exp. Postage Taxes/Licenses/Permits |
3,044.00 1,200.00 1,696.00 300.00 4,500.00 600.00 3,200.00 700.00 |
1,778.00 954.00 987.00 225.00 1,747.00 475.00 1,335.00 460.00 |
2,214.50 811.28 512.85 108.90 41.25 201.59 1,350.87 4.00 |
(436.50) 142.72 474.15 116.10 1,705.75 273.41 15.87) 456.00 |
| Reserves | ||||
| Reserve Funding | 44,362.00 | 25,879.00 | 22,180.00 | 2.00 |
| Total Expenses | 277,962.00 | 175,204.00 | 126,458.62 | 25,859.38 |
| Net Flow (Inc-Exp) | 0.00 | (13,331.00) | 19,784.10 | 33,118.10 |
Assets |
Liabilities |
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| Money Markets Cash on Deposit CD's Total Assets |
15,593.68 32,191.86 63,383.64 111,169.18 |
Owners Eqty. Current Year Reserves Total Liab |
1,293.00 14,300.68 95,575.50 111,169.18 |
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