SNOWCREST CONDOMINIUM UNIT OWNERS ASSOCIATION, INC. INTERNAL FINANCIAL STATEMENT Feb-07

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SNOWCREST CONDOMINIUM UNIT OWNERS ASSOCIATION, INC. INTERNAL FINANCIAL STATEMENT Feb-07

5:29 PM 03/29/07 Accrual Basis Snowcrest Condominium Unit Owners Association, Inc. Balance Sheet Prev Year Comparison As of February 28, 2007 Feb 28, 07 Feb 28, 06 ASSETS Current Assets Checking/Savings Petty Cash 0.00 50.00 Cash in Bank City National Bank - High Yield 50,239.39 57,782.93 City National Checking Account 21,133.83 5,470.46 Total Cash in Bank 71,373.22 63,253.39 Total Checking/Savings 71,373.22 63,303.39 Accounts Receivable Accounts Receivable Fees -1,141.00 9,534.96 Total Accounts Receivable -1,141.00 9,534.96 Other Current Assets Prepaid Satellite TV 1,929.60 0.00 Investments Fidelity Investments Fidelity Cash Reserves 40,617.44 94,108.54 Fidelity Value 41,895.14 54,016.32 Total Fidelity Investments 82,512.58 148,124.86 Total Investments 82,512.58 148,124.86 Prepaid Income Tax 885.00 885.00 Prepaid Insurance 22,463.95 22,463.95 Total Other Current Assets 107,791.13 171,473.81 Total Current Assets 178,023.35 244,312.16 TOTAL ASSETS 178,023.35 244,312.16 LIABILITIES & EQUITY Liabilities Current Liabilities Accounts Payable *Accounts Payable 17,959.23 19,402.09 Total Accounts Payable 17,959.23 19,402.09 Other Current Liabilities Sales Tax Liability 1,515.84 1,398.72 Accounts Payable Accounts Payable 6,950.00 8,282.00 Total Accounts Payable 6,950.00 8,282.00 Total Other Current Liabilities 8,465.84 9,680.72 Page 1 of 2

5:29 PM 03/29/07 Accrual Basis Snowcrest Condominium Unit Owners Association, Inc. Balance Sheet Prev Year Comparison As of February 28, 2007 Feb 28, 07 Feb 28, 06 Total Current Liabilities 26,425.07 29,082.81 Total Liabilities 26,425.07 29,082.81 Equity Net Realized Gain (Loss) on Inv 30,757.75 22,132.30 Retained Earnings 117,112.44 171,004.32 Net Income 3,728.09 22,092.73 Total Equity 151,598.28 215,229.35 TOTAL LIABILITIES & EQUITY 178,023.35 244,312.16 Page 2 of 2

5:40 PM 03/29/07 Accrual Basis Snowcrest Condominium Unit Owners Association, Inc. Profit & Loss Budget vs. Actual January through February 2007 Jan - Feb 07 Budget $ Over Budget Ordinary Income/Expense Income Condominium Fees 67,866.16 67,642.70 223.46 Interest and Dividend Income Dividend Income 230.73 Interest Income 256.54 66.70 189.84 Total Interest and Dividend Income 487.27 66.70 420.57 Linen Room Rentals Linen Room B Side 700.00 700.00 0.00 Total Linen Room Rentals 700.00 700.00 0.00 Total Income 69,053.43 68,409.40 644.03 Expense Operating Expenses Management Services 12,500.00 12,500.00 0.00 Snowshoe Services 12,177.28 12,176.40 0.88 Sewer and Water Services 5,800.32 10,146.20-4,345.88 Electric Trash Compactor 40.64 44.91-4.27 Common Space 1 978.06 915.98 62.08 Common Space 2 1,978.75 2,080.87-102.12 Total Electric 2,997.45 3,041.76-44.31 Disposal Service 1,637.17 1,509.45 127.72 TV Cable Service 5,651.82 4,089.70 1,562.12 Telephone System Telephone Service 4,541.60 3,358.00 1,183.60 Total Telephone System 4,541.60 3,358.00 1,183.60 Jacuzzi Operation Repairs 0.00 50.00-50.00 Maintenance & Supplies 823.84 248.90 574.94 Propane 0.00 2,254.03-2,254.03 Total Jacuzzi Operation 823.84 2,552.93-1,729.09 Maint., Supplies& Repairs Maint., Supplies & Repairs 6.22 1,063.21-1,056.99 Pest Control 169.60 176.00-6.40 Total Maint., Supplies& Repairs 175.82 1,239.21-1,063.39 Firewood 0.00 550.00-550.00 Office Expense Office Supplies 426.16 487.00-60.84 Total Office Expense 426.16 487.00-60.84 Page 1 of 2

5:40 PM 03/29/07 Accrual Basis Snowcrest Condominium Unit Owners Association, Inc. Profit & Loss Budget vs. Actual January through February 2007 Jan - Feb 07 Budget $ Over Budget Elevator Expense Elevator Maintenance Contract 748.64 773.20-24.56 Total Elevator Expense 748.64 773.20-24.56 Attorney Fees 38.57 Accounting and Bookkeeping Ser. Bookkeeping Services 1,000.00 1,000.00 0.00 Total Accounting and Bookkeeping Ser. 1,000.00 1,000.00 0.00 Miscellaneous Expense Vending Supplies 2,493.49 Total Miscellaneous Expense 2,493.49 Total Operating Expenses 51,012.16 53,423.85-2,411.69 Total Expense 51,012.16 53,423.85-2,411.69 Net Ordinary Income 18,041.27 14,985.55 3,055.72 Other Income/Expense Other Expense Reserve Account Expenses Satellite TV Equipment 14,313.18 Total Reserve Account Expenses 14,313.18 Total Other Expense 14,313.18 Net Other Income -14,313.18 0.00-14,313.18 Net Income 3,728.09 14,985.55-11,257.46 Page 2 of 2

SNOWCREST CONDOMINIUM UNIT OWNERS ASSOCIATION, INC. ANALYSIS OF RESERVE FUNDS AS OF February 2007 Accumulated Maintenance Reserves Assessment 1983-1988 $ 4,000 x 6 years $ 24,000.00 1989-1991 $ 8,000 x 3 years 24,000.00 1992-1994 $10,000 x 3 years 30,000.00 1995-1997 $11,000 X 3 years 33,000.00 1998-2000 $21,600 X 3 years 64,800.00 2001 2004 $25,000 x 4 years 100,000.00 2005 $27,000 x 1 years 27,000.00 2006 $35,000 x 1 years 35,000.00 337,800.00 Assessments: Re-decorating, Interior Lighting Upgrade, Ozonators 99,450.00 Painting - 1990 39,984.00 Parking Lot Paving - 1992 & 1993 27,552.00 Extra Assessment Transfers 2,359.00 (1) 169,345.00 Extra Reserve Fund Transfers (2) 1995 20,080.00 1996 25,000.00 1999 10,000.00 2000 7,000.00 2006 Carry over from 2005 15,000.00 2006 Excess Water and Sewer 20,000.00 2006 Excess Water and Sewer 40,000.00 137,080.00 "(2) Investment Earnings: 1989 2002 53,207.27 2003 10,640.80 2004 10,103.24 2005 10,506.28 2006 9,035.86 2007 2,613.25 96,106.70 Disbursements: Re-decorating, Interior Lighting Upgrade, Ozonators (99,450.00) Bank Charges (35.90) Painting Contract - 1990 (41,300.00) Parking Lot Paving - 1992 (28,595.00) Parking Lot Paving Repairs - 1993 (5,500.00) Vending Machine Purchase - 1993 (1,982.19) Parking Lot Paving - 1994 (49,500.00) Painting Contract - 1999 (87,466.86) New Roof 2001 (80,803.55) Sprinkler System Repairs 2002 (12,000.00) New Telephone System - 2003 (23,641.57) Parking Lot Paving - 2003 (31,280.00) Carpet Cleaner - 2004 (2,502.66) Parking Lot Sealing - 2004 (6,500.00) Building Siding Replacement-2006 (46,000.00) Exterior Painting - 2006 (112,500.00) Satellite Equipment (28,761.39) (657,819.12) $ 82,512.58 Composition of Above Cash in Bank $ - Short-term Investments (Mkt. Value 02/28/07) $ 82,512.58 82,512.58 (1) Extra transfers to maintenance reserve fund to cover difference in expenses over assessments. (2) Extra transfers to maintenance reserve fund resulting from excess accumulation of excess revenues over expenses from prior year's operations. Page 1 of 1

SNOWCREST CONDOMINIUM UNIT OWNERS ASSOCIATION, INC. CASH REPORT AS OF FEBRUARY 2007 CASH BALANCE BEFORE ADJUSTMENTS $ 71,373 MAINTENANCE RESERVE FUNDS: ACCRUED 2007 JAN-DEC $ 40,871 LESS: AMOUNTS FUNDED 2007 $ (40,871) DUE PRIOR YR( ) RESERVE FUN 0 EXTRA TRANSFERS 0 AMT. USED FOR SPECIAL PROJ. 0 (1) $ - 0 PREPAID CONDO FEES $ 11,734 (11,734) UNPAID PRIOR YRS EXPENSES: CITIZENS COMMUNICATION $ - SIMPLEX CHIMNEY SWEEP 6950 $ 6,950 (6,950) UNPAID EXPENSES: ADELPHIA CABLE Allegheny Power $ - Williams - audit Disposal Service Management Services $ - MAINT. EXPENSE 1822.43 Jacuzzi Supplies 823.84 SNOWSHOE SERVICES SNOWSHOE WATER/SEWER Vending Machine 2321 SPOC 0 Firewood 0 $ 4,967 (4,967) CASH BALANCE ADJUSTED Page 1 of 1 $ 6,851

Updated February 2007 Estimated 1 2 3 4 5 6 7 8 9 10 Estimated Replacement Lives (Years) Costs 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 Capital Expediture Roof (2001) 20 to 25 75,000 Exterior Painting (2006) 8 158,500 208,714 Carpet (1999) 7 47,000 54,110 Parking Lot Repaving (2003) 10 32,000 40,713 Parking Lot Sealing (2004) 5 12,000 13,770 16,355 Hot Tubs Replacement (1982) 15 35,000 18,746 19,403 Telephone System (2003) 10 to 15 Re-Decorating 5 to 7 40,000 22,000 22,000 Laundry Equipment 4 2,000 2,295 2,375 2,459 Elevator ( 1 ) ( 2 ) Fire Alarm System ( 1 ) Building Maint/Repairs Bldg Life 4,500 Atrium Roof/Windows/Siding 10 6,000 7,634 Repair Common area siding 25 5,200 Sprinklers 22 14,000 14,000 Plumbling Bldg. Life Satellite Equipment 27,006 Electrical Bldg. Life Trash Compactor (2002) 10 18,500 22,741 New Entrance Bldg. Life 40,000 40,000 Snowblower (2004) 7 1,300 1,544 Fire Places Bldg. Life Total Capital Expeditures 518,006 14,000 80,746 73,512 38,065 3,919 25,200 48,347 208,714 16,355 0 Reserve Fund Beginning Balance December 31, 2006 94,213 35,000 40,871 40,871 50,871 50,871 50,871 50,000 50,000 50,000 50,000 Earnings 2,260 1,349 1,773 3,235 4,102 4,275-358 640 660 Total Reserve Fund Additions 35,000 43,131 42,220 52,644 54,106 54,973 54,275 49,642 50,640 50,660 Ending Reserve Fund Balance 115,213 77,597 46,305 60,884 111,070 140,844 146,772-12,300 21,985 72,645 Assumes a 3.5% inflation rate per year and 3% income on prior years balance (1) Maintained under annual service agreement which covers equipment. (2) Service agreement does not cover car enclosure, floor covering and miscellaneous items Page 1 of 1

Snowcrest Condominium Unit Owners Association, Inc. 2007 Revenue Budget Condominium Fees $317 x 48 units x 12 months $ 182,592 $410 x 48 units x 12 months 236,160 418,752 Less: Sales Tax (9,096) Allowance of $375 per month (4,500) 405,156 Telephone/Toll Commission 0 Laundry/Vending Machines Income 4,000 Linen Room Rental 4,200 Interest Income 400 Late Payment Fees 75 Total Budgeted Revenue $ 413,831 Page 1 of 1

Snowcrest Condominium Unit Owners Association, Inc. 2007 Expense Budget Expenses assessed equally on a per unit basis, but paid collectively as an association Sales Tax Total 1 Bedroom 2 Bedroom 1 Bedroom 2 Bedroom 2006 Budget Difference Garbage Collection $4,664 $4.05 $4.05 exempt exempt $4,560 $104 Telephone Service 20,148 17.49 17.49 exempt exempt 11,150 $8,998 TV Cable/Wireless Internet 24,538 21.30 21.30 exempt exempt 26,798 -$2,260 SPOC Assessments 2,304 2.00 2.00 0.12 0.12 4,804 -$2,500 Expenses assessed directly on a per unit basis, but paid collectively as an association: Total expenses assessed equally on a per unit basis 51,654 44.84 44.84 0.12 0.12 47,312 Snowshoe Mtn Assessments (1st half 36,529) 80,285 53.84 85.54 exempt exempt 81,262 -$977 (2nd half 43,756)(based on assessed values) Water/Sewer (Sewer $33 Water $19.25 & $20.44) 60,877 52.25 53.44 exempt exempt 70,522 -$9,644 Total expenses assessed directly on a per unit basis 141,162 106.09 138.98 0.00 0.00 151,784 Expenses incurred directly by the association Common Electric Service 13,000 8.80 13.77 exempt exempt 12,741 $259 Jacuzzi Operation Repairs 2,000 2,000 Maintenance/Supplies 5,000 5,000 Propane 11,000 9,000 18,000 12.19 19.06 0.73 1.14 16,000 $2,000 Maintenance, Supplies & Repairs Maint, Supplies,Repairs 8,600 5.82 9.11 0.35 0.55 7,800 Chimney Cleaning 3,250 2.82 2.82 exempt exempt 3,250 Pest Control 1,056 0.92 0.92 exempt exempt 1,056 Re-Decorating 250 0.22 0.22 0.01 0.01 250 Landscaping 450 0.39 0.39 0.02 0.02 450 13,606 10.17 13.45 12,806 $800 Firewood 3,850 3.34 3.34 exempt exempt 3,850 $0 Office supplies, Postage, Telephone, Web Site 1,400 1.22 1.22 exempt exempt 1,400 $0 Elevator Maintenance/Contract 3,866 2.62 4.09 exempt exempt 3,600 $266 Fire System - Sprinkler/Alarm 2,800 1.90 2.96 exempt exempt 2,800 $0 Insurance General liability, Employee Dishonesty Directors & Officers Liability, Umbrella Real and Personal Property 30,500 20.66 32.30 exempt exempt 29,680 $820 Audit 975 0.85 0.85 exempt exempt 975 $0 Attorney Fees 500 0.43 0.43 exempt exempt 500 $0 Contingency 6,000 4.06 6.35 0.24 0.38 6,000 $0 Page 1 of 2

Reserve Funds - Satellite repay 5,871 5.10 5.10 Reserve Funds - Maintenance 35,000 23.70 37.06 1.42 2.22 35,000 $0 Accounting Services 6,000 5.21 5.21 0.31 0.31 6,000 $0 Management Services 50% 37,500 32.55 32.55 31,815 $5,685 (Includes Snowplowing $6k, 50% 37,500 25.40 39.71 31,815 $5,685 Security $6k, Assistant $23k, Workers Comp $5k 75,000 57.95 72.26 3.48 4.34 63,630 Custodial $6k) Total Expenses incurred directly by Association 216,368 158.19 217.44 6.57 8.98 194,982 Total Budgeted Expenses 409,184 309.12 401.26 6.69 9.10 394,078 6 % Sales Tax 6.69 9.10 Total Condo Fees with Sales Tax 317 410 Page 2 of 2