Copper Leaf 2020 Budget

BUDGET 2020
INCOME
Dues                                   173,362.75
Special Assessment                                     39,075.00
Clubhouse Rental                                        1,600.00
Other Income
TOTAL INCOME                                   214,037.75
EXPENSES
Clubhouse Cleaning                                        1,400.00
Clubhouse Supplies                                           300.00
Clubhouse Cable                                        1,500.00
Clubhouse Utilities                                        2,460.00
Clubhouse/Pool Security                                        1,470.00
Clubhouse Fountain Repair/Main                                        1,000.00
Clubhouse General Repairs & Maint                                        2,360.00
Clubhouse Furniture                                        1,000.00
Pool House Utilities                                        5,500.00
Pool Monitors                                     10,000.00
Pool Maintenance                                        5,500.00
Pool Supplies/Repairs                                        1,100.00
Pool/Bathroom/Cabana Repairs                                        3,000.00
Pool Furniture                                        4,000.00
Pool House Trash                                           220.00
Mulch                                        8,500.00
Tree/Bush trimming & cleanup                                        7,700.00
Mowing/Fertilization                                     17,200.00
Weeds/Leaves/Cleanup                                        5,300.00
Irrigation Repair                                           500.00
Snow Removal                                           500.00
Grounds General Maintenance                                        9,000.00
Circulating Lines Utilities                                        3,020.00
Pest Control                                           500.00
Well Utilities                                        1,662.00
Lake Fountain Utilities                                        4,310.00
802/4204 Ent Fountain Utilities                                        6,200.00
Pond Maintenance                                        4,130.00
Fountain Maintenance                                           300.00
Playground/Ball Utilities                                        3,850.00
Legal/Accounting Fees                                        2,000.00
Management Fees & Operations                                        6,600.00
Property Management Expenses                                           500.00
ADA Improvements                                     68,830.00
Postage                                           500.00
Office Supplies & Equipment                                        6,600.00
Website/Communication                                           215.00
License & Permits                                             17.00
Insurance                                     10,000.00
Real Estate Taxes                                        3,850.00
Reserve (10%)                                     17,336.28
TOTAL EXPENSES                                   229,930.28
NET INCOME <LOSS>                                    (15,892.53)