XYZ APARTMENTS BALANCE SHEET. December 31, 2008 ASSETS

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BALANCE SHEET December 31, 2008 ASSETS Current Assets 1120 Cash Operations $ 1130 Tenant accounts receivable 1200 Prepaid expenses 1100T Total current assets Funded Deposits Held in Trust 1191 Tenant deposits held in trust Restricted deposits and funded reserves 1310 Mortgage escrow deposits 1320 Replacement reserves 1330 Other reserves (see note #) 1300T Total restricted deposits and funded reserves Fixed Assets 1410 Land 1420 Buildings 1460 Furnishings 1400T Total fixed assets 1495 Accumulated depreciation () 1400N Net fixed assets Other Assets 1520 Intangible assets, net of amortization 1500T Total other assets 1000T Total assets

BALANCE SHEET December 31, 2008 LIABILITIES AND PARTNERS EQUITY Current Liabilities 2110 Accounts payable operations 2113 Accounts Payable entity 2123 Accrued management fee payable 2131 Accrued interest payable first mortgage 2170 Mortgage note payable first mortgage (short term) 2210 Prepaid revenue 2122T Total Current Liabilities Deposit Liabilities 2191 Tenant security deposits Long-term liabilities (net of current portions) 2320 Mortgage note payable first 2390 Miscellaneous long-term liabilities Detail Miscellaneous long-term liabilities 2390-010 Developer Fee Payable 2300T Total long-term liabilities 2000T Total Liabilities Partner s Equity 3130 Partner s equity 2033T Total liabilities and partner s equity

PROFIT AND LOSS DATA Rental revenue 5120 Rent revenue gross potential 5190 Miscellaneous Rent Revenue 5100T Total rent revenue Vacancies 5220 Apartments () 5250 Rental concessions () 5200T Total vacancies () 5152N Net rental revenue Financial revenue 5410 Financial revenue project operations 5440 Revenue from investments replacement reserve 5400T Total financial revenue Other revenue 5910 Laundry and vending 5920 Tenant charges 5900T Total other revenue 5000T Total Revenue Administrative expenses 6210 Advertising & marketing 6250 Other renting expenses 6311 Office expenses 6320 Management fee 6330 Manager or superintendent salaries 6331 Administrative rent free unit 6340 Legal expense 6350 Audit 6370 Bad debts 6392 miscellaneous administrative 6263T Total administrative expenses

PROFIT AND LOSS DATA - continued Utility expenses 6450 Electricity 6451 Water 6452 Gas 6453 Sewer 6400T Total utility expenses Operating and maintenance expenses 6510 Payroll 6515 Supplies 6520 Contracts 6521 Operating and maintenance rent free unit 6525 Garbage and trash removal 6590 Miscellaneous operating and maintenance expenses 6500T Total operating and maintenance expenses Taxes and Insurance 6710 Real estate taxes 6711 Payroll Taxes 6720 Property and liability insurance 6722 Workmen s compensation 6723 Health insurance and other employee benefits 6790 Miscellaneous taxes, licenses, permits and insurance 6700T Total taxes and insurance Financial expenses 6820 Interest on mortgage notes 6850 Mortgage insurance premium/service charge 6890 Miscellaneous financial expenses 6800T Total financial expenses 6000T Total expenses before depreciation and amortization 5060T Profit (loss) before depreciation and amortization

PROFIT AND LOSS DATA - continued Depreciation and amortization 6600 Depreciation 6610 Amortization 5060N Operating profit (loss) Corporate or mortgagor revenue and expenses 7190 Other expenses Detail Other expenses 7190-010 Asset management fee 7190-010 Partnership management fee 7100T Net entity expenses 3250 Net profit (loss) S1000-20 Total mortgage principal payments required during the year. S1000-020 Total of 12 monthly deposits during the year into the replacement reserve account, as required by the regulatory agreement. S1000-030 Replacement reserves or residual receipts releases which are included as expense items on this profit and loss statement. S1000-040 Project improvement reserve releases under the flexible subsidy program that are included as expense items on this profit and loss statement.

STATEMENT OF CASH FLOWS DATA Increases (decrease) in Cash Cash flows from operating activities S1200-010 Rental receipts S1200-020 Interest receipts S1200-030 Other operating receipts S1200-040 Total receipts S1200-050 Administrative () S1200-070 Management fee () S1200-090 Utilities () S1200-100 Salaries and wages () S1200-110 Operating & maintenance () S1200-120 Real estate taxes () S1200-140 Property insurance () S1200-150 Miscellaneous taxes & insurance () S1200-160 Tenant security deposits () S1200-180 Interest on first mortgage () S1200-210 Mortgage insurance premium () S1200-220 Miscellaneous financial () S1200-230 Total disbursements () S1200-230 Net cash provided by operating activities Cash flows from investing activities S1200-245 Mortgage escrow deposits () S1200-250 Net deposits to the replacement reserve account () S1200-255 Net receipts from other reserves S1200-350 Net cash provided by investing activities Cash flows from financing activities S1200-360 Principal payments on mortgages payable () S1200-455 Entity/construction financing activities Detail Entity/construction financing activities S1200-458 Advances from affiliates S1200-460 Net cash provided (used) by financing activities ()

STATEMENT OF CASH FLOWS DATA Increases (decrease) in Cash S1200-470 Net increase (decrease) in cash S1200-480 Cash beginning of year S1200T Cash end of year Reconciliation of net profit (loss) to net cash provided by operating activities 3250 Net profit (loss) Adjustments to reconcile net profit (loss) to net cash provided by operating activities 6600 Depreciation 6610 Amortization S1200-490 Decrease in tenant accounts receivable S1200-520 Decrease in prepaid expenses S1200-530 Increase in cash restricted for tenant security Deposits () S1200-540 Increase in accounts payable S1200-560 Increase in accrued liabilities S1200-570 Decrease in accrued interest payable () S1200-580 Increase in tenant security deposits held S1200-590 Decrease in prepaid revenue () S1200-605 Increase in entity/construction liability accounts Detail Increase in entity/construction Liability accounts S1200-606 Increase in asset management fee payable S1200-606 Increase in partnership management fee payable S1200-610 Net cash provided by operating activities