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Ridgeview Commons (480) <br />Balance Sheet With Period Chan e) <br />Period = Jan 2019 -Feb 2019 <br />Book = Accrual ; Tree = prop_bs <br />Balance <br />Beginning <br />Net <br />Current Period <br />Balance <br />Change <br />10100-000 <br />10110-000 <br />10120-000 <br />10122-000 <br />CURRENT ASSETS <br />Petty Cash <br />Operating Account <br />Payroll Account <br />300.00! <br />460,183.45 <br />23,324.19 <br />300.00 <br />1 A, 161.03 <br />40,244.83 <br />0.00 <br />6,022.42 <br />-16,920.64 <br />10491-000 <br />Transfer to/from Security Deposit <br />6,342.23 <br />3,306.17 <br />3,036.06 <br />10499-000 <br />TOTAL UNRESTRICTED CASH <br />490,149.87 <br />498,012.03 <br />-7,862.16 <br />10600-000 <br />RESTRICTED FUNDS <br />10690-000 <br />Security Deposits <br />66,160.83 <br />64,896.77 <br />1,264.06 <br />10691-000 <br />Security Deposit Transfer <br />-6,342.23 <br />-3,306.17 <br />-3,036.06 <br />10695-000 <br />Security Deposit Acct. (2) <br />100,030.40 <br />100,030.40 <br />0.00 <br />10699-000 <br />TOTAL RESTRICTED FUNDS <br />159,849.00 <br />161,621.00 <br />-1,772.00 <br />10700-000 <br />IMPOUNDED FUNDS <br />10716-000 <br />Hazard Insurance Impound <br />24,689.11 <br />70,400.93 <br />-45,711.82 <br />10718-000 <br />Earthquake Insurance Impound <br />21,198.80 <br />0.37 <br />21,198.43 <br />10730-000 <br />Replacement Reserve <br />1,135,454.54 <br />1,106,317.78 <br />29,136.76 <br />10798-000 <br />TOTAL IMPOUNDED FUNDS <br />1,181,342.45 <br />1,176,719.08 <br />4,623.37 <br />10799-000 <br />TOTAL RESTRICTED FUNDS <br />1,341,191.45 <br />1,338,340.08 <br />2,851.37 <br />10999-000 <br />TOTAL CASH / CASH EQUIVALENTS <br />1,831,341.32 <br />1,836,352.11 <br />-5,010.79 <br />11000-000 <br />RECEIVABLES <br />13910-000 <br />Tenant Accounts Receivable <br />7,593.00 <br />2,354.00 <br />5,239.00 <br />13999-000 <br />TOTAL RECEIVABLES <br />7,593.00 <br />2,354.00 <br />5,239.00 <br />14500-000 <br />PREPAID EXPENSES <br />14515-000 <br />Prepaid Property Insurance <br />47,941.21 <br />1,520.66 <br />46,420.55 <br />14525-000 <br />Prepaid Insurance - Other <br />36,867.34 <br />44,240.82 <br />-7,373.48 <br />14590-000 <br />Miscellaneous Prepaid Expenses <br />9,390.55 <br />23,329.79 <br />-13,939.24 <br />14599-000 <br />TOTAL PREPAID EXPENSES <br />94,199.10 <br />69,091.27 <br />25,107.83 <br />15599-000 <br />TOTAL CURRENT ASSETS <br />1,933,133.42 <br />1,907,797.38 <br />25,336.04 <br />17499-000 <br />LAND AND FIXED ASSETS <br />17600-000 <br />Work in Process (JC) <br />57,833.70 <br />62,833.70 <br />-5,000.00 <br />17800-000 <br />Buildings <br />15,090,118.97 <br />15,090,118.97 <br />0.00 <br />17805-000 <br />Building Improvements <br />293,956.61 <br />293,956.61 <br />0.00 <br />17820-000 <br />Other Improvements <br />103,946.86 <br />103,946.86 <br />0.00 <br />17851-000 <br />Carpeting <br />125,748.68 <br />125,748.68 <br />0.00 <br />17853-000 <br />Furniture, Fixtures & Equipt <br />406,867.00 <br />404,017.20 <br />2,849.80 <br />17950-000 <br />Accumulated Depreciation <br />-11,659,776.27 <br />-11,596,463.44 <br />-63,312.83 <br />17999-000 <br />TOTAL LAND AND FIXED ASSETS <br />4,418,695.55 <br />4,484,158.58 <br />-65,463.03 <br />18100-000 <br />OTHER ASSETS <br />18300-000 <br />Refundable Deposits <br />136,846.66 <br />138,140.40 i <br />-1,293.74 <br />19900-000 <br />TOTAL OTHER ASSETS <br />136,846.661 <br />138,140.40 <br />-1,293.74 <br />