Title: Annual Meeting of Owners
1- Annual Meeting of Owners
- January 24, 2012
2Financial Overview
3Income Statement
2011 Bud 2011 Act Var to Bud 2012 Bud
Revenue 3,312,220 3,303,193 (9,027) 3,519,264
Utilities 504,567 500,060 4,507 508,014
Main Contract 139,259 138,119 1,141 162,116
Main Sup Rep 170,071 231,639 (61,568) 200,647
General Admin 205,904 215,018 (9,114) 214,795
Ins and Taxes 101,045 95,387 5,658 101,068
Payroll 1,682,872 1,772,711 (89,839) 1,788,667
Oper Exp 2,803,718 2,952,934 (149,216) 2,975,307
4Income Statement Summary
2011 Bud 2011 Act Var to Bud 2012 Bud
Revenue 3,312,220 3,303,193 (9,027) 3,519,264
Oper Exp 2,803,718 2,952,934 (149,216) 2,975,307
Reserve Trans 496,116 496,116 0 496,116
Total Exp 3,299,834 3,449,050 (149,216) 3,471,423
Income/Loss 12,386 (145,856) (158,242) 47,841
5Maintenance 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
6Maintenance 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
7Operating Payroll
- Security Payroll
- Dallas Sheriff Addition 11,520
- 2010 Payroll 6,509
- Under Budgeted 27,272
- Concierge Payroll
- 2010 Payroll 6,155
- Under Budgeted 34,398
-
8General Administrative
- Legal Expense 7,000
- IT Support 3000
9Operational 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
10Reserve Account
11Reserves 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
12Reserve 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
13Reserves 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
14Delinquent Accounts
15Delinquent Accounts
- January 24, 2011 29 Accounts 65,761
- January 24, 2012 33 Accounts 60,205
16Delinquent Loses
- 8 Mortgage forclosures in 2011 25,686
- Doubtful accounts in collections 27,000
- Red Rock Collections 12 month rolling 76,000
17Accomplishments/Challenges in 2011
18Caulking before
19Caulking After
20RTC Waterproofing Crew
21Fire and Saftey
22Fire and Saftey
23Freeze of 2011
24LEDs in East Tower Hallways40 to 2 Watts
25Energy Efficient Lighting in Stairwells 50 to 25
Watts
26How Many Work Orders in 2011?
- 1726
- 197
- 7000
27How Many Work Orders in 2011?
- a. 1726 not including PMs
28- b. 197 Move Ins and Outs we have facilitated
29- c. 7000 of packages we process each year
30300
- 1. Number of Pigeons we removed from the garage?
31300
- 1. Number of pigeons we removed from the garage?
- 2. Number of violations we sent for noise
disturbances?
32300
- 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?
33300
- 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?
34One of our most difficult task?
35Pigeons
36How did we do it?
37 Teamwork!
38We are proud to serve you!