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2026-06-FINANCIALS-approved.superseded-20260702T170834Z - 5541 S Peoria St, Chicago, IL 60621.md
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| Property | 5541 S Peoria St, Chicago, IL 60621 |
|---|---|
| Folder | P&L & Owner Statements |
| Kind | Text |
| Updated | 2026-07-02 |
| Dropbox path | 07 - P&L & Owner Statements/2026-06-FINANCIALS-approved.superseded-20260702T170834Z - 5541 S Peoria St, Chicago, IL 60621.md |
What This File Appears To Be
Financial Data **Property:** 5541 S Peoria St, Chicago, IL 60621 **Source:** `Public/07 - P&L & Owner Statements/ECO Systems General Ledger - 5541 S Peoria St - Content XXH3_2ef40c1.csv` **Generated:** 2026-07-01T00:31:12Z This canonical file was generated from a local verified ECO Systems general ledger CSV because no reviewed Markdown `FINANCIALS.md` source existed yet. ## Ledger Summary · Metric · Amount
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# Financial Data **Property:** 5541 S Peoria St, Chicago, IL 60621 **Source:** `Public/07 - P&L & Owner Statements/ECO Systems General Ledger - 5541 S Peoria St - Content XXH3_2ef40c1.csv` **Generated:** 2026-07-01T00:31:12Z This canonical file was generated from a local verified ECO Systems general ledger CSV because no reviewed Markdown `FINANCIALS.md` source existed yet. ## Ledger Summary | Metric | Amount | |---|---:| | Total inflows | $44,553.01 | | Total outflows | -$41,828.16 | | Net cash flow | $2,724.85 | | Ledger rows | 150 | | Rows with dates | 150 | ## By Type | Line item | Amount | |---|---:| | Operating Expenses | -$5,623.98 | | Revenue | $7,994.00 | | Transfers & Other | -$6,382.40 | | Unclassified | $6,737.23 | ## By Category | Line item | Amount | |---|---:| | Cleaning & Maintenance | -$117.98 | | Fees & Other Revenue | $1,140.00 | | Legal & Other Professional Fees | -$45.00 | | Management Fees | $285.50 | | Other Operating Expenses | -$41.24 | | Owner Contributions/Distributions | -$5,666.49 | | Rents | $6,854.00 | | Repairs | -$401.90 | | Supplies | -$348.67 | | Taxes | -$4,868.83 | | Transfers Between Accounts | -$715.91 | | Utilities | -$85.86 | | Unclassified | $6,737.23 | ## Review Notes - Generated deterministically from local ledger data; review before investor email/publish. - No tenant ledger rows are included in this summary. ## Monthly Cash Position (2026-06) | Metric | Amount | Source | |---|---:|---| | Lofty Operating Cash | $11,697.73 | Lofty `curr_maintenance_reserve` | | ECO Operating Cash | $3,606.27 | ECO Systems General Ledger Column E (164 rows) |