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Ridgeview Commons (480) <br />Balance Sheet (With Period Change) <br />Period = ]an 2019 -May 2019 <br />Book = Accrual ; Tree = prop_bs <br />Balance <br />Beginning <br />Net <br />Current Period <br />Balance <br />Change <br />19999-000 <br />TOTAL ASSETS <br />6,424,237.25 <br />6,530,096.36 <br />-105,859.11 <br />20100-000 <br />Accounts Payable <br />0.00 <br />36,329.20 <br />-36,329.20 <br />20120-000 <br />Accrued Liabilities <br />20,468.50 <br />26,233.39 <br />-5,764.89 <br />20160-000 <br />Accrued Income Taxes <br />333.35 <br />800.00 <br />-466.65 <br />20199-000 <br />TOTAL ACCOUNTS PAYABLE / ACCRUED LIABILITIES 20,801.85 <br />63,362.59 <br />-42,560.74 <br />21900-000 <br />SECURITY DEPOSITS <br />21910-000 <br />Tenant Security Deposits <br />160,983.00 <br />160,728.00 <br />255.00 <br />21970-000 <br />Deposit Refund - Unclaimed <br />893.00 <br />893.00 <br />0.00 <br />21999-000 <br />TOTAL SECURITY DEPOSITS <br />161,876.00 <br />161,621.00 <br />255.00 <br />23700-000 <br />INTEREST PAYABLE -Current <br />23710-000 <br />Accrued Interest - Mortgage <br />21,142.32 <br />21,762.10 <br />-619.78 <br />23799-000 <br />TOTAL INTEREST PAYABLE -Current <br />21,142.32 <br />21,762.10 <br />-619.78 <br />24999-000 <br />TOTAL CURRENT LIABILITY <br />203,820.17 <br />246,745.69 <br />-42,925.52 <br />25100-000 <br />NOTES AND LOAN PAYABLES <br />25120-000 <br />Mortgage Payable <br />4,612,869.00 <br />4,748,093.66 <br />-135,224.66 <br />25170-000 <br />Loan Payable - City <br />4,000,000.00 <br />4,000,000.00 <br />0.00 <br />25171-000 <br />Loan Payable - City RDA <br />225,000.00 <br />225,000.00 <br />0.00 <br />25172-000 <br />Loan Payable - City (II) <br />2,250,000.00 <br />2,250,000.00 <br />0.00 <br />25340-000 <br />Debt Issuance Costs <br />-616,625.00 <br />-647,001.33 <br />30,376.33 <br />25499-000 <br />TOTAL NOTES AND LOAN PAYABLES <br />10,471,244.00 <br />10,576,092.33 <br />-104,848.33 <br />26700-000 <br />INTEREST PAYABLE -LT <br />26720-000 <br />Accrued Interest - City <br />8,469,680.10 <br />8,329,628.00 <br />140,052.10 <br />26799-000 <br />TOTAL INTEREST PAYABLE -LT <br />8,469,680.10 <br />8,329,628.00 <br />140,052.10 <br />29999-000 <br />TOTAL LIABILITIES <br />19,144,744.27 <br />19,152,466.02 <br />-7,721.75 <br />30010-000 <br />CAPITALIFUND BALANCE <br />30120-000 <br />Capital Balance - GP <br />-12,622,369.66 <br />-12,622,369.66 <br />0.00 <br />30199-000 <br />TOTAL CAPITAL / FUND BALANCE <br />-12,622,369.66 <br />-12,622,369.66 <br />0.00 <br />30500-000 <br />EARNINGS <br />30510-000 <br />Accumulated Earnings <br />-98,137.36 <br />0.00 <br />-98,137.36 <br />31199-000 <br />TOTAL EARNINGS <br />-98,137.36 <br />0.00' <br />-98,137.36 <br />32999-000 <br />TOTAL EQUITY & LIABILITY 6,424,237.25 <br />6,530,096.36 <br />-105,859.11 <br />