Copper Leaf 2021 Budget

Budget 2021
    Income
        Dues  $ 173,362.74
        Dues-Special Assessment  $   39,075.00
        Clubhouse Rental Income  $     1,200.00
        Miscellaneous Income  $        800.00
    Total Operating Income  $ 214,437.74
    Expense
        Clubhouse Cleaning  $     1,750.00
        Clubhouse/Pool Reimbursement  $              –
        Clubhouse Cable  $     1,375.00
        Clubhouse Internet  $     1,400.00
        Clubhouse Supplies  $        150.00
        Clubhouse Utilities  $     2,450.00
        Clubhouse Furniture  $              –
        Clubhouse/Pool Security  $     1,400.00
        Clubhouse Fountain Main/Repair  $        150.00
        Clubhouse General R&M  $     5,300.00
        Poolhouse Utilities  $     5,500.00
        Pool Monitors  $   15,150.00
        Pool Maintenance  $     3,200.00
        Pool Supplies and Repairs  $     3,800.00
        Pool Bathroom/Cabana Repairs & Main.  $     8,600.00
        Pool Furniture  $     4,300.00
        Pool House Trash  $        140.00
        Tree/Bush Trimming & Cleanup  $     5,600.00
        Landscaping  $   30,000.00 **Trees Replaced
        Snow Removal  $        200.00
        Mulch  $     6,350.00
        Irrigation – Repairs  $     1,420.00
        Grounds General Maintenance  $   38,200.00
        Circulatory Lines Utilities  $     1,875.00
        Pest Control  $        175.00
        Mowing/Fertilization  $   17,600.00
        Weeds/Leaves/Cleanup  $     6,850.00
        Well Utlities  $        650.00
        Lake Fountain Utilities  $     1,900.00
        802/4204 Ent Fountain Utilities  $     5,100.00
        Pond Maintenance  $     2,400.00
        Fountain Maintenance  $        500.00
        Playground/Ball Utilities  $     3,250.00
        Legal and Accounting Fees  $        850.00
        Management Fees  $     6,600.00
        Property Management Expenses – Postage, Copies, Mileage  $        650.00
        Website/Communication  $        300.00
        ADA Improvements  $        100.00
        Welcome/Social Committee  $        400.00
        Postage  $        525.00
        Taxes  $         50.00
        Office Supplies and Equipment  $        700.00
        License and Permits  $         15.00
        Insurance  $   11,422.00
        Interest Expense  $        600.00
        Real Estate Taxes  $     4,380.00
Reserve  $   11,100.00
    Total Operating Expense  $ 214,427.00
    NOI – Net Operating Income  $         10.74
    Total Income  $ 214,437.74
    Total Expense  $ 214,427.00
    Net Income  $         10.74