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Owner Statement - 4 - 428 Cross St, Akron, OH 44311.pdf

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Property428 Cross St, Akron, OH 44311
FolderP&L & Owner Statements
KindPDF
Updated2025-04-30
Dropbox path07 - P&L & Owner Statements/Owner Statement - 4 - 428 Cross St, Akron, OH 44311.pdf

What This File Appears To Be

Cash Flow Properties: 428 CROSS STREET - 428 cross st Akron, OH 44311 Display by Ownership %: No Date Range: 08/01/2024 to 04/30/2025 Level of Detail: Detail View Account Name Selected Period % of Selected Period Fiscal Year To Date % of Fiscal Year To Date 11,344.50 66.55 9,095.00 77.22 Operating Income & Expense Income RENTS Rent Income 4,858.00 28.50 1,838.00 15.61 Total RENTS 16,202.50 95.04 10,933.00 92.83 Prepaid Rent 845.00 4.96 845.00 7.17 17,047.50 100.00 11,778.00 100.00 General Mainte

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Cash Flow
Properties: 428 CROSS STREET - 428 cross st Akron, OH 44311
Display by Ownership %: No
Date Range: 08/01/2024 to 04/30/2025
Level of Detail: Detail View
Account Name

Selected Period

% of Selected Period

Fiscal Year To Date

% of Fiscal Year To
Date

11,344.50

66.55

9,095.00

77.22

Operating Income & Expense
Income
RENTS
Rent Income

4,858.00

28.50

1,838.00

15.61

Total RENTS

16,202.50

95.04

10,933.00

92.83

Prepaid Rent

845.00

4.96

845.00

7.17

17,047.50

100.00

11,778.00

100.00

General Maintenance Labor

3,763.12

22.07

275.00

2.33

Landscaping

442.80

2.60

0.00

0.00

4,205.92

24.67

275.00

2.33

460.00

2.70

460.00

3.91

460.00

2.70

460.00

3.91

Management Fees

1,544.75

9.06

1,168.80

9.92

Commissions/Placement Fees

1,640.00

9.62

0.00

0.00

3,184.75

18.68

1,168.80

9.92

483.00

2.83

0.00

0.00

Total REPAIRS

483.00

2.83

0.00

0.00

Supplies

Section 8 Rent

Total Operating Income
Expense
CLEANING AND MAINTENANCE

Total CLEANING AND
MAINTENANCE
LEGAL AND OTHER
PROFESSIONAL FEES
Legal
Total LEGAL AND OTHER
PROFESSIONAL FEES
MANAGEMENT FEES

Total MANAGEMENT FEES
REPAIRS
HVAC (Heat, Ventilation, Air)

1,359.07

7.97

0.00

0.00

Total Operating Expense

9,692.74

56.86

1,903.80

16.16

NOI - Net Operating Income

7,354.76

43.14

9,874.20

83.84

Total Income

17,047.50

100.00

11,778.00

100.00

Total Expense

9,692.74

56.86

1,903.80

16.16

Net Income

7,354.76

43.14

9,874.20

83.84

Other Items
Owner Held Security Deposits

795.00

0.00

Owner Contribution

2,500.00

0.00

Owner Distribution

-9,304.76

-9,304.76

-6,009.76

-9,304.76

1,345.00

569.44

Net Other Items

Cash Flow

Created on 04/30/2025

Page 1

Cash Flow
Account Name

Selected Period

Beginning Cash

0.00

% of Selected Period

Fiscal Year To Date

0.00

Beginning Cash + Cash Flow

1,345.00

569.44

Actual Ending Cash

1,345.00

1,345.00

Created on 04/30/2025

% of Fiscal Year To
Date

Page 2