Association Financials For 2016

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Income

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Realized Budget

Disclosure Packets $ 500 $ 1,100.00

Late Fees $ 972.00     –

Membership Dues $ 15,297.00 $ 16,937.20

Sales ($ 351.00)     –

Unapplied Cash Payments ($ 305.00)     –

Total Income $ 16,113.66 $ 16,037.20

Expenses

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Realized Budget

Advertising $ 100.00 $ 20.00

Bank Charges 12.00 45.00

Bookkeeping Fees 140.00     –

Collection Fees     – 300.00

Donations     – 150.00

Fall/Spring Festival     – 300.00

Insurance 2,906.00 2,814.00

Lawn Maintenance 855.00 3,960.00

Legal Fees     – 100.00

Miscellaneous Expenses     – 175.00

Neighborhood Watch     – 100.00

Postage and Delivery 280.66 225.00

Printing and Reproduction 211.52 300.00

Repairs and Maintenance 5,264.20 2,500

Supplies and Materials 163.26 225.00

Taxes and Licenses 45.00 115.00

Utilities 1,504.54 1,525.00

Website 25.75 $ 300.00

Total Expenses $ 11,508.04 $ 13,154.00

Net Operating Income $ 4,605.62 $ 4,883.20

Other Income

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Realized Budget

Interest Earned 31¢     –

Total Other Income 31¢     –

Other Expenses

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Realized Budget

Improvements (Lights)     – $ 1,500.00

Improvements (Park)     – $ 1,500.00

Other Miscellaneous Expenses     – 1,883.51

Total Other Expenses     – $ 4,883.51

Net Other Income 31¢ ($ 4,883.20)

Net Income $ 4,605.93     –


Previous Financials
Previous Financials
2016, 2015, 2014, 2013, 2012