2007 Actuals YTD  January   February   March   April   May   June   July   August   September   October   November   December 
                       
Actural Cash Received             6,996  $    1,468.83  $    1,120.00  $       188.00  $       570.26             6,672             5,048  $    1,200.00  $       251.62  $       456.00    
Actural Cash Received  $23,970.76  $    6,996.00  $    1,468.83  $    1,120.00  $       188.00  $       570.26  $    6,672.00  $    5,048.05  $    1,200.00  $       251.62  $       456.00  $              -    $              -  
 
Expenses  
 $           -                          
Administrative                        
 (Write Offs)  $     787.26           504.00             88.78              7.00                   187.48        
Legal Fees  $           -                          
Accountant Fees  $     475.00                 240.00                 235.00        
Property Management Fee  $           -                          
Checking Fee  $      82.50                 19.50              9.00                9.00              9.00              9.00              9.00             18.00    
Homeowners NSF Charges  $           -                          
Checks & Banking Supplies  $      60.62              9.00              9.00               42.62                
Postage  $      96.60               14.04                   15.26                   67.30    
Post Office Box 6043 Fee  $      56.00                            56.00      
Board Newsletter  $      13.85                   13.85                
Internet Website  $     150.00                   150.00              
Office Supplies/Services  $     188.51                 32.13              2.09             116.46                   37.83    
Advertising and Signs  $           -                          
Miscellaneous Administration  $      93.92                   15.87               78.05            
Short Term Fund: Landscape lights  $           -                          
CEC Events                        
Christmas Party  $           -                          
Christmas Lighting  $           -                          
Community Block Party  $           -                          
Cleanup Day (Food)  $      48.61                   48.61                
Total Administrative:  $  2,052.87  $       513.00  $       111.82  $         58.63  $       372.04  $       150.00  $       218.77  $           9.00  $       431.48  $         65.00  $       123.13  $              -    $              -  
Utilities  
Fountain 130-057-0007-18  $     968.35             10.24              9.96             10.24             90.85              0.28           152.23           167.50           205.39           176.44           145.22    
Street Lights 130-521-5325-10  $     868.71             88.21             86.07             86.01             83.64             85.28             86.81             86.81             87.80            87.80             90.28    
Common 130-057-9600-10  $     382.90             58.20             54.82             32.58             45.38              0.88             36.35             32.25             39.89            39.28             43.27    
South Entrance Electrical  $     248.76             33.83             30.58             21.48             29.37              0.06             26.06             25.98             27.83            25.97             27.60    
South Entrance Water                        
Water 353832  $     356.75             25.91                9.41             25.70                 68.88             54.65            92.62             79.58    
Water 353982  $     369.17             25.88                8.16             27.12                 75.39             58.36            98.33             75.93    
Total Utilities:  $  3,194.64  $       242.27  $       181.43  $       167.88  $       302.06  $         86.50  $       301.45  $       456.81  $       473.92  $       520.44  $       461.88  $              -    $              -  
Taxes & Insurance  
Real Estate Taxes  $      12.75                       12.75            
Insurance Premiums  $  1,122.00            1,122.00                  
Total Taxes & Insurance:  $  1,134.75  $              -    $              -    $    1,122.00  $              -    $              -    $         12.75  $              -    $              -    $              -    $              -    $              -    $              -  
Maintenance & Common Grounds  
Irrigation Maintenance  $     360.00                   195.00                   165.00    
Pond Maintenance (ASAP)  $  1,800.00               740.00                 740.00           320.00        
Fountain removal/clean/store  $           -                          
Mowing, Lawn, Trees, Spraying, Mulch  $  6,671.33       2350.13 820           820.00           541.20        1,320.00           820.00    
Weeding Entrances  $           -                          
Flowers  $           -                          
Snow Removal  $  1,750.00          1,750.00                    
Violation Mowing/Maint.  $      40.00                         40.00          
Long Term Project: Sign Repair                        4,660.00        3,367.80    
Misc. Common Area  $     272.12           137.14             52.83                   82.15            
Total Maintenance:  $18,921.25  $       137.14  $    1,802.83  $       740.00  $    2,350.13  $    1,015.00  $         82.15  $    1,600.00  $       861.20  $    5,980.00  $    4,352.80  $              -    $              -  
 
Total Expenses:  $25,303.51  $       892.41  $    2,096.08  $    2,088.51  $    3,024.23  $    1,251.50  $       615.12  $    2,065.81  $    1,766.60  $    6,565.44  $    4,937.81  $              -    $              -  
 
Aggregate Expenses:  $       892.41  $    2,988.49  $    5,077.00  $    8,101.23  $    9,352.73  $    9,967.85  $   12,033.66  $   13,800.26  $  20,365.70  $   25,303.51  $   25,303.51  $   25,303.51
 
Aggregate  Balance:  $    6,103.59  $    5,476.34  $    4,507.83  $    1,671.60  $       990.36  $    7,047.24  $   10,029.48  $    9,462.88  $    3,149.06  $   (1,332.75)  $   (1,332.75)  $   (1,332.75)
2003 Ending Check Book Balance        11,571.73
A/R Credits        10,238.98
 
Other Income  $      99.79              9.57             18.55             35.05            36.62  
Court Awarded Fees:  $           -    
Cost of Collection Fees  $     925.00        1,440.00          (270.00)          (313.00)           230.00           120.00          (252.00)            (30.00)  
Attorney Fees:  $12,957.95        2,591.59        2,591.59        2,591.59        2,591.59        2,591.59
Membership Dues:  $12,957.95        2,591.59        2,591.59        2,591.59        2,591.59        2,591.59  
Income:  $26,940.69  $    4,031.59  $    2,331.16  $    2,278.59  $    2,840.14  $    2,711.59  $    2,339.59  $    2,626.64  $    2,561.59  $    2,628.21  $    2,591.59  $              -  
 
Net Income  $  1,637.18  $    3,139.18  $       235.08  $       190.08  $      (184.09)  $    1,460.09  $    1,724.47  $       560.83  $       794.99  $   (3,937.23)  $   (2,346.22)  $              -