SUN LAKES VILLA S HOMEOWNERS ASSOCIATION UNIT 46A FINANCIAL REPORT. April 2017

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SUN LAKES VILLA S HOMEOWNERS ASSOCIATION UNIT 46A FINANCIAL REPORT April 2017 Prepared by Bob Deken - accountant

Notes to Financial Statements April 2017 Balance sheet Operating Cash on hand is $80,877. Reserve funds are $210,652 We have indicated previously that the first month of a quarter we build up a significant amount of cash. But by the end of the quarter we have spent the increased funds. Accounts Receivable is $2,804 This is 4 homeowners. One is seriously delinquent but we have had some contact as the owner has moved in their California resident. One has already paid and the other two we will be contacting. The year-to-date excess income over expenses $4,893. The annual budget is $1,073 excess income over expenses. Lawn Maintenance is under budget $1,1617. The under budget is a combination of over for Tree trimming, but is under for the annual budget, Chemicals are over budget for YTD budget, but under for the year. Water has been significantly under budget. Plant and tree did have spending, but is under budget for the year Roofing is under budget for the year by $841. Miscellaneous repair is under budget YTD due to no spending on Stucco repair. Concrete was over $750, Pest control due to an early monthly payment. Quarterly interest is posted for the quarter and is reflected in the Reserve. Automatic withdrawals from the checking account include $1,196 for Waste disposal, $697 for Water and $1,625The Monthly reserve. This was completed with journal entry 399. Questions? Call me at 480-688-2237 Bob Deken Accountant

3:17 PM Accrual Basis Balance Sheet As of April 30, 2017 Apr 30, 17 ASSETS Current Assets Checking/Savings 1012 Mutual Of Omaha Operating Acct 80,877 1030 Reserve Funds - Money Market 1031 Mutual of Omaha CD 42 month 61,269 1032 Mutual of Omaha CD 28 Month 66,557 1030 Reserve Funds - Money Market - Other 82,826 Total 1030 Reserve Funds - Money Market 210,652 Total Checking/Savings 291,529 Accounts Receivable 1200 Accounts Receivable 2,804 Total Accounts Receivable 2,804 Other Current Assets 1510 Prepaid Insurance 5,898 Total Other Current Assets 5,898 Total Current Assets 300,231 TOTAL ASSETS 300,231 LIABILITIES & EQUITY Liabilities Current Liabilities Other Current Liabilities 2020 Deferred Income 34,938 Total Other Current Liabilities 34,938 Total Current Liabilities 34,938 Total Liabilities 34,938 Equity 3015 Reserve Equity 210,652 32000 *Retained Earnings 49,748 Net Income 4,893 Total Equity 265,293 TOTAL LIABILITIES & EQUITY 300,231 Page 1 of 1

3:11 PM Accrual Basis Profit & Loss Budget Performance April 2017 Apr 17 Budget Jan - Apr 17 YTD Budget Annual Budget Ordinary Income/Expense Income 4000 Income 4010 Homeowner Dues 17,897 17,897 71,587 71,587 214,760 4020 Transfer fees 732 400 854 1,300 5,000 4025 Late Fees 0 0 44 0 0 4032 Interest Income 3 5 12 24 76 4033 Interest Income - Reserve 11 14 43 56 168 4034 interest income Reserve CD 0 0 383 385 1,756 Total 4000 Income 18,643 18,316 72,923 73,352 221,760 4080 Transfer to Reserve -1,636-1,625-6,880-6,500-19,500 49900 Uncategorized Income 0 0 0 0 0 Total Income 17,007 16,691 66,043 66,852 202,260 Gross Profit 17,007 16,691 66,043 66,852 202,260 Expense 6000 Lawn Maintenance Expenses 6004 Tree Trimming 0 0 2,975 0 3,500 6005 Cutting & Trimming 4,189 4,248 16,638 16,992 50,976 6010 Irrigation Expenses 90 500 567 2,000 6,000 6016 Water 697 1,333 2,390 5,333 16,000 6025 Seed 0 0 0 0 5,800 6026 Fertilizer 0 0 0 0 2,200 6027 Chemicals 0 355 2,581 1,410 4,250 6035 Plant & Tree Replacement 966 0 966 500 3,000 6040 Aggregate replacement 0 0 0 1,500 3,000 Total 6000 Lawn Maintenance Expenses 5,942 6,436 26,117 27,735 94,726 6050 Roofing 6060 Roof repair 1,890 3,500 9,651 10,500 35,000 Total 6050 Roofing 1,890 3,500 9,651 10,500 35,000 6075 Painting Page 1 of 3

3:11 PM Accrual Basis Profit & Loss Budget Performance April 2017 Apr 17 Budget Jan - Apr 17 YTD Budget Annual Budget 6085 Villa Trim/touchup 1,190 500 1,485 1,000 3,500 Total 6075 Painting 1,190 500 1,485 1,000 3,500 6105 Miscellaneous Repairs & Fees 6106 Concrete 650 0 1,400 0 1,500 6112 Stucco Repair 0 880 0 4,230 5,000 6124 Pest Control 0 925 1,850 1,850 5,800 6125 Waste Disposal 1,196 1,196 4,834 4,785 14,355 6129 Miscellaneous Repair 135 500 2,141 2,000 2,500 Total 6105 Miscellaneous Repairs & Fees 1,981 3,501 10,225 12,865 29,155 6110 Concrete spacers 0 0 0 0 0 6120 Bank Service Charges 0 0 6270 Professional Fees 6275 Management Fees 800 800 3,200 3,200 9,600 6290 Accounting Fees 800 800 3,200 3,200 9,600 6292 Corporate License 0 0 0 0 10 Total 6270 Professional Fees 1,600 1,600 6,400 6,400 19,210 6500 Administrative Expenses 6501 Administrative Expenses 0 0 0 0 99 6505 Insurance 1,475 1,400 5,898 5,600 16,800 6510 Printing/Postage/Copies 0 0 55 155 400 6525 Meetings & Social Committees 0 0 1,085 650 650 6530 Board Expense 0 0 0 130 390 6535 Office Supplies 0 0 0 0 0 Total 6500 Administrative Expenses 1,475 1,400 7,038 6,535 18,339 66900 Reconciliation Discrepancies 0 0 15 0 0 6820 Taxes 6840 Local Sales Tax 67 100 219 400 1,200 6850 Property 0 0 0 0 7 6860 State 0 0 0 50 50 Total 6820 Taxes 67 100 219 450 1,257 Page 2 of 3

3:11 PM Accrual Basis Profit & Loss Budget Performance April 2017 Apr 17 Budget Jan - Apr 17 YTD Budget Annual Budget Total Expense 14,145 17,037 61,150 65,485 201,187 Net Ordinary Income 2,862-346 4,893 1,367 1,073 Net Income 2,862-346 4,893 1,367 1,073 Page 3 of 3

2:54 PM Reconciliation Detail 1012 Mutual Of Omaha Operating Acct, Period Ending 04/30/2017 Type Date Num Name Clr Amount Balance Beginning Balance 56,477.83 Cleared Transactions Checks and Payments - 5 items Bill Pmt -Check 03/20/2017 4012 KC PEST CONTROL -925.00-925.00 Bill Pmt -Check 03/31/2017 4013 DBJ MAINTENANCE INC -5,476.38-6,401.38 Bill Pmt -Check 03/31/2017 4014 Robert E. Deken -830.00-7,231.38 General Journal 04/30/2017 399-3,518.26-10,749.64 General Journal 04/30/2017 400 Kelsey, Leroy & Sharon -455.00-11,204.64 Total Checks and Payments -11,204.64-11,204.64 Deposits and Credits - 9 items Deposit 04/07/2017 1,286.00 1,286.00 Deposit 04/07/2017 8,180.00 9,466.00 Deposit 04/10/2017 910.00 10,376.00 Deposit 04/20/2017 455.00 10,831.00 Deposit 04/20/2017 1,365.00 12,196.00 Deposit 04/20/2017 4,001.00 16,197.00 Deposit 04/20/2017 8,160.00 24,357.00 General Journal 04/30/2017 399 3.25 24,360.25 Deposit 04/30/2017 26,390.00 50,750.25 Total Deposits and Credits 50,750.25 50,750.25 Total Cleared Transactions 39,545.61 39,545.61 Cleared Balance 39,545.61 96,023.44 Uncleared Transactions Checks and Payments - 7 items General Journal 01/31/2017 386-1,625.00-1,625.00 General Journal 02/28/2017 391-1,625.00-3,250.00 General Journal 03/31/2017 398-1,625.00-4,875.00 Bill Pmt -Check 04/28/2017 4020 DBJ MAINTENANCE INC -6,111.22-10,986.22 Bill Pmt -Check 04/28/2017 4015 D & D SWEEPERS LLC -1,975.00-12,961.22 Bill Pmt -Check 04/28/2017 4017 EMPIRE ROOFING -1,890.00-14,851.22 Bill Pmt -Check 04/28/2017 4018 Robert E. Deken -800.00-15,651.22 Total Checks and Payments -15,651.22-15,651.22 Deposits and Credits - 1 item Page 1 of 2

2:54 PM Reconciliation Detail 1012 Mutual Of Omaha Operating Acct, Period Ending 04/30/2017 Type Date Num Name Clr Amount Balance Deposit 04/28/2017 505.00 505.00 Total Deposits and Credits 505.00 505.00 Total Uncleared Transactions -15,146.22-15,146.22 Register Balance as of 04/30/2017 24,399.39 80,877.22 Ending Balance 24,399.39 80,877.22 Page 2 of 2

2:54 PM Reconciliation Detail 1012 Mutual Of Omaha Operating Acct, Period Ending 04/30/2017 Type Date Num Name Beginning Balance Cleared Transactions Checks and Payments - 5 items Total Checks and Payments Deposits and Credits - 9 items Total Deposits and Credits Total Cleared Transactions Cleared Balance Uncleared Transactions Checks and Payments - 7 items Total Checks and Payments Deposits and Credits - 1 item Total Deposits and Credits Total Uncleared Transactions Register Balance as of 04/30/2017 Ending Balance Bill Pmt -Check 03/20/2017 4012 KC PEST CONTROL Bill Pmt -Check 03/31/2017 4013 DBJ MAINTENANCE INC Bill Pmt -Check 03/31/2017 4014 Robert E. Deken General Journal 04/30/2017 399 General Journal 04/30/2017 400 Kelsey, Leroy & Sharon Deposit 04/07/2017 Deposit 04/07/2017 Deposit 04/10/2017 Deposit 04/20/2017 Deposit 04/20/2017 Deposit 04/20/2017 Deposit 04/20/2017 General Journal 04/30/2017 399 Deposit 04/30/2017 General Journal 01/31/2017 386 General Journal 02/28/2017 391 General Journal 03/31/2017 398 Bill Pmt -Check 04/28/2017 4020 DBJ MAINTENANCE INC Bill Pmt -Check 04/28/2017 4015 D & D SWEEPERS LLC Bill Pmt -Check 04/28/2017 4017 EMPIRE ROOFING Bill Pmt -Check 04/28/2017 4018 Robert E. Deken Deposit 04/28/2017 Page 1 of 2

2:54 PM Reconciliation Detail 1012 Mutual Of Omaha Operating Acct, Period Ending 04/30/2017 Clr Amount Balance Beginning Balance Cleared Transactions Checks and Payments - 5 items Total Checks and Payments Deposits and Credits - 9 items Total Deposits and Credits Total Cleared Transactions Cleared Balance Uncleared Transactions Checks and Payments - 7 items Total Checks and Payments Deposits and Credits - 1 item Total Deposits and Credits Total Uncleared Transactions Register Balance as of 04/30/2017 Ending Balance 56,477.83-925.00-925.00-5,476.38-6,401.38-830.00-7,231.38-3,518.26-10,749.64-455.00-11,204.64-11,204.64-11,204.64 1,286.00 1,286.00 8,180.00 9,466.00 910.00 10,376.00 455.00 10,831.00 1,365.00 12,196.00 4,001.00 16,197.00 8,160.00 24,357.00 3.25 24,360.25 26,390.00 50,750.25 50,750.25 50,750.25 39,545.61 39,545.61 39,545.61 96,023.44-1,625.00-1,625.00-1,625.00-3,250.00-1,625.00-4,875.00-6,111.22-10,986.22-1,975.00-12,961.22-1,890.00-14,851.22-800.00-15,651.22-15,651.22-15,651.22 505.00 505.00 505.00 505.00-15,146.22-15,146.22 24,399.39 80,877.22 24,399.39 80,877.22 Page 2 of 2