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Nov 2013 IPMG Rental Statements
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Nov 2013 IPMG Rental Statements
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Last modified
12/4/2013 3:15:21 PM
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12/4/2013 3:15:19 PM
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PW_Operating
PW_Document_Type_ Operating
Correspondence
Fiscal_Year
2014
PW_Division
Parks and Open Space
GL_Fund
336
GL_ORG
9610
External_View
No
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Cash Flow Report <br /> 980 River Loop 2-S90002 Unit: <br />Period 1/1/2013 - 11/30/2013 (Cash basis) <br />Month To Date <br />Date Range <br />11/1/2013 - 11/30/2013 <br />1/1/2013 - 11/30/2013 <br />Cash at beginning of periods <br />$200.00$200.00 <br />OPERATING ACTIVITIES <br />Month To Date Date Range <br />INCOME <br />11/1/2013 - 11/30/20131/1/2013 - 11/30/2013 <br />% Income% Income <br />4100 Rent (Non Posting) <br />4101 Rental Income1,025.00100.00%11,275.00100.00% <br />4100 Total Rent (Non Posting)1,025.00100.00%11,275.00100.00% <br />TOTAL INCOME <br />1,025.00100.00%11,275.00100.00% <br />EXPENSE <br />5000 Management Fees Expense (Non-posting) <br />5001 Management Fees Expense7.00%789.257.00% <br />71.75 <br />5000 Total Management Fees Expense (Non-posting)7.00%789.257.00% <br />71.75 <br />5355 Maintenance0.00%274.502.43% <br />0.00 <br />5320 Total Repairs & Maintenance Expense (non-posting)0.00%274.502.43% <br />0.00 <br />5435 Supplies Expenses0.00%116.001.03% <br />0.00 <br />5430 Total Supplies Expense Non Posting0.00%116.001.03% <br />0.00 <br />TOTAL EXPENSE <br />71.757.00%1,179.7510.46% <br />953.2593.00%10095.2589.54% <br />NET OPERATING INCOME <br />NON OPERATING INCOME <br />TOTAL NON OPERATING INCOME <br />0.000.00%0.000.00% <br />NON OPERATING EXPENSE <br />TOTAL NON OPERATING EXPENSE <br />0.000.00%0.000.00% <br />TOTAL NON OPERATING ACTIVITIES <br />0.000.00%0.000.00% <br />CASH FLOW <br />953.2510,095.25 <br />INVESTING ACTIVITIES <br />Net cash provided by Investing Activities <br />0.000.00 <br />FINANCING ACTIVITIES <br />3200 Owner Distribution-Non Posting <br />3002 Owner Distribution-953.258,188.75 <br />3200 Total Owner Distribution-Non Posting-953.258,188.75 <br />Net cash provided by Financing Activities <br />-953.258,188.75 <br />Net cash increase for period <br />1,906.501,906.50 <br />Cash at end of period <br />2,106.502,106.50 <br />Cash Flow Comp YTD - FRW 12/3/13 7:29pmPage 1 of1rentmanager.com - property management systems rev.3471 <br /> <br />
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