PPTA BUDGET 2009            
1st Quarter   2009 Income      
    To Date      
    Dues: $20,010.00    
    Interest: $8.90    
    TOTAL INCOME: $20,018.90    
    Transfer from Savings/CD:      
    TOTAL: $20,018.90    
           
Income (49 Units) Monthly Annually      
Association Dues $6,860.00 $82,320.00 $140.00 per month per unit, 49 units    
           
Expenses Annual Monthly Notes PAID:  
Bank Fees $3.00 $0.25   $0.00  
Bookkeeping $31.00 $2.58   $0.00  
Chimney Inspections, Cleaning, and Repair $1,530.00 $127.50 Budgeted for April $0.00  
Gov't Biennial Report $10.00 $0.83   $0.00  
Gutters $1,137.00 $94.75 Peakview cost, Budgeted for June $0.00  
Homeowners Insurance - Business Owners Policy $7,707.00 $642.25 Building coverage, Jan. $7,069.00  
Homeowners Insurance - Directors and Officers $493.00 $41.08 D&O, Jan. $558.00  
Homeowners Insurance - Fidelity and Bond $329.00 $27.42 Bonding, Oct.  Decreased 2009 renewal by $227 $400.00  
Homeowners Insurance - Umbrella $400.00 $33.33 Umbrella, Feb. $0.00  
TOTAL INSURANCE $8,929.00 $744.08   $8,027.00  
Legal $1,000.00 $83.33   $0.00  
Maintenance + Outside Contracts $20,264.24 $1,688.69 $32/hr.w/material =$19359.24 + mowing @ $800/yr., + Outside Contracts @ $105/yr  $6,622.42  
Misc $25.00 $2.08   $0.00  
Webpage $99.00 $8.25 $99/yr website hosting + help, $67.50 pd domain name through 1/31/2013 $33.00  
Office $506.01 $42.17 Includes P.O. Box $54, Safe Deposit Box $30, Meetings $168.18  
Paving, Road Maintenance  $4,171.39 $347.62 Based on 3 year average + 5% $0.00  
Property Management $8,400.00 $700.00   $2,100.00  
Snowplowing $1,640.00 $136.67 Based on average of past 2 years. Includes ice melt $0.00  
Staining - Buildings + Mid-Schedule Surface Staining $23,000.00 $1,916.67 3 year average + 5%, July $0.00  
Trash $6,009.36 $500.78 $547 average per month $1,502.34  
Error correction       $0.00  
           
Total Expenses $76,755.00 $6,396.25   $18,452.94  
           
         
Reserves Annual Monthly Notes PAID Reserve  
Roofing $5,565.00 $463.75 Began January 2009 $0.00 $2,782.50 <-- Through 6/30/09
             
             
Total Reserves $5,565.00 $463.75   $0.00 $2,782.50  
         
Total Expenses and Reserves Budgeted Annually $82,320.00        
         
         
Total of Expenses and Reserves PAID in: 2009     $18,452.94    
           
Balanced: ($0.00)