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ELATION AT BAYTOWNE WHARF

CONDOMINIUM ASSOCIATION, INC.


OPERATING FINANCIAL REPORT
AS OF
March 31, 2011

Prepared by:
The Continential Group Inc.
215 Grand Blvd., Suite 200
Miramar Beach, FL 32550
(850) 622-6222

Note: Effective December 31, 2010 through December 2012


as part of the Reform and Consumer Protection Act,
all deposits held in non-interest bearing transaction accounts (checking accounts)
will be fully insured, regardless of the amount in the account,
at all FDIC Insured institutions.
For accounts, including interest bearing accounts, that do not qualify for the unlimited
FDIC insurance, FDIC coverage is now permanently set at $250,000 per depositor at FDIC insured institutions.

Board of Directors:
The March 2011 financial statements have been completed for Elation at Baytowne Wharf Condominium Association, Inc.
Following are some items for your information:
Balance Sheet Notes:
1. Total Operating Cash is $107,637.27.
2. A/R Assessments Accounts Receivable balance as of 3/31/2011 is $121,955.53 Prior Month balance was $121,781.65.
a. A separate line item has been created on the balance sheet to record the activity of the prior owners whose units have been
sold. The transactions will be recorded under AR prior owner unit #. Action is still being filed against them to recover
the amount due. The prior owner of unit 5409 has been moved to this account.
b. We have received two payments of $500 for prior owner of unit 5409. We also have legal fees of $280.44 add to the
account and the balance is now $6,986.08.
c. Unit 5605 received payment of $1,807.58 on 4/19/11 to pay the balance in full.
d. All units with delinquent balances were sent statements as of 3/31/11.
e. The allowance for bad debt has been increased as per 2011 approved budget. Monthly allocation is $6,250.00.
3. Reserves:
Reserve Cash
The reserves cash Balance @ 2/28/11
Current Month Reserve Funding
Current Month Interest
Reserves Cash Balance as of 3/31/11

$ 300,686.14
$
4753.17
$
129.17
$305,568.48

Total Reserves Fund as of 3/31/11

$305,568.48

Revenue/Expense Statement Notes:


1. Legal Fee Collections corresponds to payments to attorney for collection actions, like liens, intent to foreclosure, etc. These
expenses are billed to the owners accounts and reflected on Legal Fee Income.
2. Property Insurance-Flood We received a flood rebate from Whitney Insurance in the amount of $4,064.28. This will be
prorated as a credit to the expense at ($451.59) a month through November.
3. Elevator Contract This reflects the prepaid contract that is expensed monthly.
4. Shared Amenities to GSD, please find attached detail of these shared expenses. Also a detail for the Solstice Shared expenses.
5. R&M Equipment Fire Alarm/Sprinkler reflects the prepaid annual and quarterly maintenance fees that are expensed
monthly which total $335.23.
6. Bldg Maint. & Supplies expense for the month is $470.65 and reflects the following:
PQL - $241.58, $229.07

Please review the financial statement and contact me if you have any questions.
Thank you,
Kim Black
Association Accounting

04/29/2011 11:50:46 AM

** Balance Sheet **
7831 ELATION AT BAYTOWNE WHARF COA
03/31/2011

THE CONTINENTAL GROUP, INC.


215 GRAND BOULEVARD
Miramar Beach FL 32550

As of
Mar

Prior Month

Inc/(Dec)

51,772.26
55,865.01

38,279.94
55,840.61

13,492.32
24.40

$107,637.27

$94,120.55

$13,516.72

114,636.40
190,932.08

109,794.60
190,891.54

4,841.80
40.54

$305,568.48

$300,686.14

$4,882.34

**ACCOUNTS RECEIVABLE
10300
Accounts Receivable
10330 20
Other Receivables Insurance
10330 44
Other Receivables Miscellaneous
10335
AR prior owner unit 5409
10390 00
Allowance for Bad Debt

121,955.53
479.00
0.00
6,986.08
(97,851.83)

121,781.65
479.00
4,331.06
7,705.64
(91,820.99)

173.88
0.00
(4,331.06)
(719.56)
(6,030.84)

**TOTAL ACCOUNTS RECEIVABLE

$31,568.78

$42,476.36

($10,907.58)

66,653.40
4,510.45
600.00

78,399.25
2,409.26
600.00

(11,745.85)
2,101.19
0.00

$71,763.85

$81,408.51

($9,644.66)

$516,538.38

$518,691.56

($2,153.18)

Account

Description

ASSETS
**OPERATING CASH
10010 229
10014 229

Cash-Operating CNL Bank


Cash-Money Market CNL Bank

**TOTAL OPERATING CASH


**RESERVE CASH
12010 229a
12010 87

Cash-Reserves CNL Bank


Cash-Reserves Regions Bank

**TOTAL RESERVE CASH

**PREPAID EXPENSES
10500
10505
19010

Prepaid Insurance
Prepaid Expenses
Utility Deposits

**TOTAL PREPAID EXPENSES

**TOTAL ASSETS

LIABILITIES & EQUITY

Page 1 of 3

04/29/2011 11:50:46 AM

** Balance Sheet **
7831 ELATION AT BAYTOWNE WHARF COA
03/31/2011

THE CONTINENTAL GROUP, INC.


215 GRAND BOULEVARD
Miramar Beach FL 32550

As of
Mar

Prior Month

Inc/(Dec)

19,656.24
0.00
37,027.13

21,355.33
4,331.06
42,316.72

(1,699.09)
(4,331.06)
(5,289.59)

$56,683.37

$68,003.11

($11,319.74)

35,699.97

34,816.17

883.80

**TOTAL DEFERRED REVENUE

$35,699.97

$34,816.17

$883.80

**RESERVE LIABILITIES
30000 05a
30000 158c
30000 41
30000 60
30000 720a
30000 93
30005 21
30080

19,779.46
11,008.54
21,072.91
23,809.26
3,158.79
192,195.02
28,864.45
5,680.05

19,262.46
10,883.54
20,669.08
23,422.84
3,101.54
189,304.68
28,491.12
5,550.88

517.00
125.00
403.83
386.42
57.25
2,890.34
373.33
129.17

**TOTAL RESERVE LIABILITIES

$305,568.48

$300,686.14

$4,882.34

**TOTAL LIABILITIES

$397,951.82

$403,505.42

($5,553.60)

59,468.56
48,503.60
$10,614.40

59,468.56
48,503.60
$7,213.98

0.00
0.00
$3,400.42

$118,586.56

$115,186.14

$3,400.42

Account

Description

**ACCOUNTS PAYABLE
20000
Accounts Payable
20010
Accrued Expenses
20033 35
Note Payable First Insur Funding Co
**TOTAL ACCOUNTS PAYABLE
**DEFERRED REVENUE
20100
Prepaid Assessments

Reserves Carpets
Reserves Fire Safety System
Reserves Paint (Interior)
Reserves Roof
Reserves Tiles - Interior
Reserves Painting
Reserves Elevator
Reserves - Interest

EQUITY
38010
Capital Contribution
38880
Prior Year Income/Loss
Current Year Net Income/(Loss)

**TOTAL EQUITY

Page 2 of 3

04/29/2011 11:50:46 AM

** Balance Sheet **
7831 ELATION AT BAYTOWNE WHARF COA
03/31/2011

THE CONTINENTAL GROUP, INC.


215 GRAND BOULEVARD
Miramar Beach FL 32550

Account

Description

**TOTAL LIABILITIES & EQUITY

Page 3 of 3

As of
Mar

Prior Month

Inc/(Dec)

$516,538.38

$518,691.56

($2,153.18)

04/29/2011 11:50:55 AM

** Revenue/Expense Statement **
7831 ELATION AT BAYTOWNE WHARF COA
03/31/2011

THE CONTINENTAL GROUP, INC.


215 GRAND BOULEVARD
Miramar Beach FL 32550

Mar
Actual

Mar
Budget

Mar
Variance Acct

Description

YTD
Actual

YTD
Budget

Variance

Year
Budget

166,539.21
3,042.77
0.00
4,008.35
74.32

166,539.00
0.00
126.00
0.00
0.00

0.21
3,042.77
(126.00)
4,008.35
74.32

666,157.00
0.00
500.00
0.00
0.00

$173,664.65

$166,665.00

$6,999.65

$666,657.00

11,584.26
4,000.00
18,750.00
725.00
3,673.21
105.00
117.99
0.00
22.46
464.21
0.00
0.00

11,583.00
4,580.00
18,750.00
1,251.00
0.00
0.00
114.00
65.00
0.00
750.00
249.00
501.00

(1.26)
580.00
0.00
526.00
(3,673.21)
(105.00)
(3.99)
65.00
(22.46)
285.79
249.00
501.00

46,337.00
5,500.00
75,000.00
5,000.00
0.00
0.00
450.00
65.00
0.00
3,000.00
1,000.00
2,000.00

$39,442.13

$37,843.00

($1,599.13)

$138,352.00

1,073.46
593.88
12,876.00
8,225.67
330.75

876.00
501.00
16,251.00
10,500.00
312.00

(197.46)
(92.88)
3,375.00
2,274.33
(18.75)

3,500.00
2,000.00
65,000.00
42,000.00
1,250.00

**REVENUE
55,513.07
988.40
0.00
1,266.06
24.40

55,513.00
0.00
42.00
0.00
0.00

$57,791.93

$55,555.00

0.07
988.40
(42.00)
1,266.06
24.40

40000
40014
40050
40078
40080

Owner Assessments
Legal Fee Income
Laundry Income
Late Fee Interest
Interest Income

$2,236.93 **TOTAL REVENUE

EXPENSES
**ADMINISTRATIVE
3,861.42
3,861.00
3,600.00
3,600.00
6,250.00
6,250.00
308.34
417.00
893.40
0.00
95.00
0.00
39.33
38.00
0.00
0.00
0.00
0.00
135.65
250.00
0.00
83.00
0.00
167.00

$15,183.14

$14,666.00

**PROPERTY INSURANCE
357.82
292.00
197.96
167.00
4,292.00
5,417.00
2,440.83
3,500.00
110.25
104.00

(0.42)
0.00
0.00
108.66
(893.40)
(95.00)
(1.33)
0.00
0.00
114.35
83.00
167.00

50005
50008
50012 00
50045 00
50045 04
50045 53
50050 00
50053
50055
50081
50090 03
50110

Mgmt & Accounting Fees


CPA Fees
Bad Debts
Legal Fees
Legal Fees Collections
Legal Fees Small Claims
License, Taxes, Permit
Corporate Annual Report
Meeting Expenses
Printing/Postage/Stationery
Professional Fees - Consulting Fees
Miscellaneous Expenses

($517.14) **TOTAL ADMINISTRATIVE

(65.82)
(30.96)
1,125.00
1,059.17
(6.25)

52027
52032
52033
52034
52035

General Liability
Umbrella Insurance
Windstorm Insurance
Flood Insurance
Directors & Officers Insurance

Page 1 of 3

04/29/2011 11:50:55 AM

** Revenue/Expense Statement **
7831 ELATION AT BAYTOWNE WHARF COA
03/31/2011

THE CONTINENTAL GROUP, INC.


215 GRAND BOULEVARD
Miramar Beach FL 32550

Mar
Actual

Mar
Budget

38.58
83.00
121.21
39.92

42.00
0.00
417.00
0.00

$7,681.57

$9,939.00

**UTILITIES
6,212.58
4,381.78
963.20
18.86

7,333.00
4,333.00
917.00
18.00

$11,576.42

$12,601.00

**CONTRACTS
7,302.50
1,770.00
1,131.62
0.00
353.98

7,302.00
1,770.00
1,083.00
25.00
375.00

$10,558.10

$10,555.00

**OTHER
531.56
3,193.05

792.00
4,261.00

$3,724.61

$5,053.00

**REPAIRS/MAINTENANCE
0.00
167.00
0.00
0.00
0.00
0.00
0.00
83.00
335.23
125.00
0.00
250.00

Mar
Variance Acct
3.42
(83.00)
295.79
(39.92)

52036
52038
52040
52063

Description

YTD
Actual

YTD
Budget

Variance

Year
Budget

Fidelity/Crime Bond
Boiler & Machinery
Ins. Finance Charge
Workers Comp Ins.

115.74
275.00
363.63
119.76

126.00
0.00
1,251.00
0.00

10.26
(275.00)
887.37
(119.76)

500.00
0.00
5,000.00
0.00

$23,973.89

$29,817.00

$5,843.11

$119,250.00

19,383.07
13,043.90
2,635.79
56.54

21,999.00
12,999.00
2,751.00
54.00

2,615.93
(44.90)
115.21
(2.54)

88,000.00
52,000.00
11,000.00
220.00

$35,119.30

$37,803.00

$2,683.70

$151,220.00

21,907.50
5,310.00
3,394.86
125.00
1,061.94

21,906.00
5,310.00
3,249.00
75.00
1,125.00

(1.50)
0.00
(145.86)
(50.00)
63.06

87,630.00
21,240.00
13,000.00
300.00
4,500.00

$31,799.30

$31,665.00

($134.30)

$126,670.00

1,591.95
14,225.54

2,376.00
12,783.00

784.05
(1,442.54)

9,500.00
51,127.00

$15,817.49

$15,159.00

($658.49)

$60,627.00

0.00
0.00
0.00
0.00
1,235.69
0.00

501.00
0.00
0.00
249.00
375.00
750.00

501.00
0.00
0.00
249.00
(860.69)
750.00

2,000.00
750.00
250.00
1,000.00
1,500.00
3,000.00

$2,257.43 **TOTAL PROPERTY INSURANCE

1,120.42
(48.78)
(46.20)
(0.86)

54050 00
54070 53
54070 63
54100 72

Electricity
Water & Sewer - Sewer
Water & Sewer - Water
Telephone Telph & Communications

$1,024.58 **TOTAL UTILITIES

(0.50)
0.00
(48.62)
25.00
21.02

60021 63a
60024
60035
60040
61010

Contracts Maint - Bldg


Wireless Internet Contract
Elevator Contract/Maint
Elevator Inspection
Pest Control

($3.10) **TOTAL CONTRACTS

260.44 70000 62
1,067.95 70000 63

Common Expenses - Solstice Club


Common Expenses - Shared Amenities

$1,328.39 **TOTAL OTHER

167.00
0.00
0.00
83.00
(210.23)
250.00

70043 25
70043 40
70043 48
70043 63
70048 24c
70060

Repairs/Maintenance HVAC Parts/Rep


Repairs/Maintenance Lighting
Repairs/Maintenance Locks & Keys
Repairs/Maintenance Painting
R&M Equipment Fire Alarm/Sprinkler
Bldg Maint - General
Page 2 of 3

04/29/2011 11:50:55 AM

** Revenue/Expense Statement **
7831 ELATION AT BAYTOWNE WHARF COA
03/31/2011

THE CONTINENTAL GROUP, INC.


215 GRAND BOULEVARD
Miramar Beach FL 32550

Mar
Actual

Mar
Budget

108.62
470.65

125.00
292.00

$914.50

$1,042.00

**RESERVE ALLOCATION
517.00
517.00
403.83
403.83
373.33
373.33
125.00
125.00
2,890.34
2,890.00
386.42
386.42
57.25
57.25

Mar
Variance Acct
16.38 70104
(178.65) 70177

Description
Rugs & Bench
Bldg Maint & Supplies

$127.50 **TOTAL REPAIR/MAINTENANCE

0.00
0.00
0.00
0.00
(0.34)
0.00
0.00

80000 05a
80000 126a
80000 20
80000 200
80000 34
80000 66
80000 720a

Reserve Transfers Carpets


Reserve Transfers Paint - Interior
Reserve Transfers Elevators
Reserve Transfers Fire System
Reserve Transfers Painting
Reserve Transfers Roof
Reserve Transfers Tiles - Interior

$4,753.17

$4,752.83

($0.34) **TOTAL RESERVE ALLOCATION

$54,391.51

$58,608.83

$4,217.32 **TOTAL EXPENSES

$3,400.42

($3,053.83)

$6,454.25 OPERATING NET INCOME/(LOSS)

Page 3 of 3

YTD
Actual

YTD
Budget

Variance

Year
Budget

162.93
1,240.01

375.00
876.00

212.07
(364.01)

1,500.00
3,500.00

$2,638.63

$3,126.00

$487.37

$13,500.00

1,551.00
1,211.49
1,119.99
375.00
8,671.02
1,159.26
171.75

1,551.00
1,211.49
1,119.99
375.00
8,670.00
1,159.26
171.75

0.00
0.00
0.00
0.00
(1.02)
0.00
0.00

6,208.00
4,846.00
4,480.00
1,500.00
34,680.00
4,637.00
687.00

$14,259.51

$14,258.49

($1.02)

$57,038.00

$163,050.25

$169,671.49

$6,621.24

$666,657.00

$10,614.40

($3,006.49)

$13,620.89

$0.00

Solstice Club
Shared Cost Allocation
03/31/11

Account
Number
50005
50081
50090
52034
52031
52032
52033
70208
54050-00
54080
61010
70060
70076
80000-001

Description

Date

Vendor

Management & Acct


Stationary Printing Postage
Mold inspection
Flood Insurance
Liability Insurance
Umbrella Insurance
Wind Insurance
Housekeeping
Electricity
Natural Gas
Pest Control

3/31/2011

Grand Sandestin
TCG
BECI
recurring je
recurring je
recurring je
recurring je
Grand Sandestin
Gulf Power
Okaloosa Gas
Stillman group
Ace Hardware
Ace Hardware
recurring je

3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011

Maintenance General Maintenance General - Ace Hardware

Pooled Reserves

3/31/2011

35.00%
33.00%
32.00%
Bahia
Elation
Lasata
Amount Allocation Allocation Allocation
255.00
0.00
0.00
42.42
49.16
9.62
88.17
730.00
168.00
18.41
0.00
0.00
0.00
250.00

89.25
0.00
0.00
14.85
17.21
3.37
30.86
255.50
58.80
6.44
0.00
0.00
0.00
87.50

84.15
0.00
0.00
14.00
16.22
3.17
29.10
240.90
55.44
6.08
0.00
0.00
0.00
82.50

81.60
0.00
0.00
13.57
15.73
3.08
28.21
233.60
53.76
5.89
0.00
0.00
0.00
80.00

1,610.78

563.77

531.56

515.45

Grand Sandestin Condominium Owners Association


Shared Cost Allocation
03/31/11
MARCH
Account
Number

Description

Date

Vendor

Description

Amount

23.00%
22.00%
Bahia
Elation
Allocation Allocation

GENERAL & ADMINISTRATIVE:


50064-21 Management & Accounting
50045-50 Legal Fees Shared

3/31/2011 GrandShores Management mgmt & acct allocation - split 50/50


3/31/2011 Dunlap & Shipman
HAVC issues

750.00
0.00
750.00

375.00
0.00
375.00

375.00
0.00
375.00

INSURANCE
52062-56a Boiler & Machinery Insurance
52062-56c Pool Liability Insurance
52062-56b Fitness Room Liability Ins
52062-56d Pool Propery Insurance
52062-56g Pool Windstorm Insurance
52062-56f Pool Umbrella Insurance
52062-56e Fitness Room Umbrella Ins

3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011

152.68
31.15
24.58
27.71
89.74
30.00
17.24

35.12
7.16
5.65
6.37
20.64
6.90
3.97

33.59
6.85
5.41
6.10
19.74
6.60
3.79

373.10

85.81

82.08

POOL & RECREATIONAL FACILITIES


70108-579d Pool Maintenance Contract
70137
Landscape & Irrigation Maintenance
60100-65 Landscape & Irrigation Maintenance
70108-579a Fitness Room Maintenance
70108-579c Pool Equipment Repairs/supplies
54077-46c Natural Gas
54077-46e Water/Sewer Pool

MAINTENANCE & REPAIRS


60021-27b Maintenance Contract - Garage
70153-05 Build maint
70153-25 General Maint - Garage
70153-23 Fire Alarm Mon/Insp
70153-34 HVAC Maintenance
70153-35 HVAC Monitoring
70153-30a Housekeeping Grand/Lasata
70153-40 Lobby floor maintenance

prepaid insurance
prepaid insurance
prepaid insurance
prepaid insurance
prepaid insurance
prepaid insurance
prepaid insurance

exp monthly allocation from prepaid


exp monthly allocation from prepaid
exp monthly allocation from prepaid
exp monthly allocation from prepaid
exp monthly allocation from prepaid
exp monthly allocation from prepaid
exp monthly allocation from prepaid

3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011

Emerald Shores
GPL
Sandestin Owners Assoc
Kentwood Springs
Ace Hardware
Okaloosa Gas District
Regional Utilities

monthly contract
monthly landscape contract & irrigation rep
irrigation surcharge
water cooler
Supplies
monthly bill
monthly bill

3,864.14
333.33
335.28
118.03
8.54
1,316.52
474.00
6,449.84

888.75
76.67
77.11
27.15
1.96
302.80
109.02
1,483.46

850.11
73.33
73.76
25.97
1.88
289.63
104.28
1,418.96

3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011
3/31/2011

Emerald Shores Services


Ace Hardware
Global Security
Advanced Fire Protection
Comfort Systems
Cox Communication
Emerald Shores Services
Premier

monthly maintenance
supplies
Garage Gate repairs
qtrly & annual maint & inspection
monthly maintenance
monitoring internet
monthly maintenance

704.68
19.75
142.40
992.77
1,298.79
59.00
799.11
0.00
4,016.50

162.08
4.54
32.75
228.34
298.72
13.57
183.80
0.00
923.80

155.03
4.35
31.33
218.41
285.73
12.98
175.80
0.00
883.63

11.56
11.56

2.66
2.66

2.54
2.54

27,597.00
85.72
135.19
27,817.91

6,347.31
19.72
31.09
6,398.12

6,071.34
18.86
29.74
6,119.94

691.67
20.83
333.33
912.50
1,958.33

159.08
4.79
76.67
209.88
450.42

152.17
4.58
73.33
200.75
430.83

41,377.24

9,719.27

9,312.99

HVAC
54077-46b Natural Gas HVAC Boilers

3/31/2011 Okaloosa Gas District

monthly bill

UTILITIES
54077-46a Electricity
54077-46f Telephone
54077-46d Water

3/31/2011 Gulf Power Company


3/31/2011 Century link
3/31/2011 Gateway Condo Assoc

monthly bill
phone service
water feed

RESERVES
80000-22a Reserves - Generator
80000-158a Reserves - Fire Control System
80000-19c Reserves - Furniture & Fitness
80000-45 Reserves:Swimming Pool

3/31/2011
3/31/2011
3/31/2011
3/31/2011

monthly reserve per budget


monthly reserve per budget
monthly reserve per budget
monthly reserve per budget

Grand Sandestin Reserve


Grand Sandestin Reserve
Grand Sandestin Reserve
Grand Sandestin Reserve

04/29/2011 11:52:35 AM

Delinquent Report
7831 ELATION AT BAYTOWNE WHARF COA
As of 03/31/2011

Building:

0000 - Elation at Baytowne Wharf COA


C/O The Continental Group, Inc.
215 Grand Blvd, Ste 200
Miramar Beach, FL 32550

Unit

Resident

Address

Status Date

Last Pay
Date

Last Pay
Amount

Current

Over 30
Days

Over 60
Days

Over 90
Days

Balance

No Collection Status
5213

01 Jeffrey B Freemans

9800 Grand Sandestin Blvd #5213

04/01/2011
Totals:

254.03
1

0.02

0.02

0.00

0.02

0.00

0.00

0.02

57.51
11.43

10.00
264.05

19.31

514.34
569.53
0.60
881.48

406.05

60.00

581.85
845.01
0.60
1,366.84

88.25

1,965.95

680.10

60.00

2,794.30

CL Cleared Collections
5118
5220
5410
5605

01 Harold & Mary Leblanc


01 Flagstar Bank FSB
01 John Beckman
01 Edward A Armstrong

9800 Grand Sandestin Blvd #5118


9800 Grand Sandestin Blvd #5220
9800 Grand Sandestin Blvd #5410
9800 Grand Sandestin Blvd #5605

04/06/2011
04/01/2011
07/28/2010
04/19/2011

04/11/2011
04/27/2011
04/27/2011
04/19/2011
Totals:

254.05
458.10
745.60
1,807.58
4

RM Reminder Notice
5111
5207
5211
5222
5406
5414
5507
5618
5709

01 Wendy E Dobreff
01 John Baker
01 TNT LLC
01 MB Investments LLC
01 John Preston
01 Destin Elation LLC
01 Scott James
01 Michael Byrd
01 Kathryn L Honea

9800 Grand Sandestin Blvd #5111


9800 Grand Sandestin Blvd #5207
9800 Grand Sandestin Blvd #5211
9800 Grand Sandestin Blvd #5222
9800 Grand Sandestin Blvd #5406
9800 Grand Sandestin Blvd #5414
9800 Grand Sandestin Blvd #5507
9800 Grand Sandestin Blvd #5618
9800 Grand Sandestin Blvd #5709

04/28/2011
04/28/2011
04/28/2011
04/28/2011
04/28/2011
04/28/2011
03/25/2011
04/28/2011
04/28/2011

04/04/2011
04/19/2011
04/07/2011
03/15/2011
04/08/2011
04/08/2011
04/26/2011
03/14/2011
04/01/2011
Totals:

244.48
50.00
254.05
465.86
457.10
450.74
525.55
254.05
424.13
9

16.61

19.14
10.00
68.70
16.99
35.78
440.74
77.38
13.81
49.83

16.61

732.37

55.58

381.73

55.58

381.73

40.09
30.00

0.00

19.14
50.09
98.70
16.99
35.78
457.35
77.38
13.81
49.83

70.09

819.07

10.00

447.31

10.00

447.31

DM Demand Letter
5522

Page: 1

01 Ashley D McIntyre

9800 Grand Sandestin Blvd #5522

03/25/2011

04/19/2011
Totals:

313.17
1

0.00

04/29/2011 11:52:35 AM

Delinquent Report
7831 ELATION AT BAYTOWNE WHARF COA
As of 03/31/2011

Building:

0000 - Elation at Baytowne Wharf COA


C/O The Continental Group, Inc.
215 Grand Blvd, Ste 200
Miramar Beach, FL 32550

Unit

Resident

Address

Status Date

Last Pay
Date

11/16/2010
11/16/2010

07/01/2010
07/30/2010

Last Pay
Amount

Current

Over 30
Days

Over 60
Days

Over 90
Days

Balance

254.48
677.95

151.33
207.06

563.23
1,542.70

254.05
704.50

2,153.66
4,170.22

3,122.27
6,624.48

358.39

2,105.93

958.55

6,323.88

9,746.75

785.09

1,198.95

465.86

10,080.67

12,530.57

785.09

1,198.95

465.86

10,080.67

12,530.57

371.68
192.89
75.72
125.01
6.99
201.18

2,881.01
1,737.43
903.11
1,494.25
956.30
1,385.32

745.60
440.74
254.05
448.17

29,289.04
14,182.46
6,476.24
9,201.18

440.74

15,977.52

33,287.33
16,553.52
7,709.12
11,268.61
963.29
18,004.76

973.47

9,357.42

2,329.30

75,126.44

87,786.63

184.66

1,240.97

450.74

5,954.51

7,830.88

184.66

1,240.97

450.74

5,954.51

7,830.88

2,462.05
0.00
10.00
1,363.65

16,983.34
11,819.70
50.00
2,438.83

4,884.55
4,854.55
20.00
0.00

97,625.59
74,498.29
1,135.09
12,777.23

121,955.53
91,172.54
1,215.09
16,579.71

LP Lien Placed
5611
5706

01 Subhash A Vyas
9800 Grand Sandestin Blvd #5611
01 Edward & Kristina Farrell 9800 Grand Sandestin Blvd #5706

Totals:

FP Foreclosure Placed
5115

01 Clyde Didier

9800 Grand Sandestin Blvd #5115

02/18/2011
Totals:

MP Mortgage Foreclosure
5110
5209
5316
5407
5515
5714

01 William Lewis
01 Brian Dear
01 Marion H Seaton
01 Charles Wimberly Jr
01 Robert Kennedy
01 Howell Family
Partnership LLC

9800 Grand Sandestin Blvd #5110


9800 Grand Sandestin Blvd #5209
9800 Grand Sandestin Blvd #5316
9800 Grand Sandestin Blvd #5407
9800 Grand Sandestin Blvd #5515
9800 Grand Sandestin Blvd #5714

03/17/2011
04/27/2011
01/04/2011
12/29/2010
02/03/2011
03/22/2011

02/17/2011

Totals:

465.86

sc Small Claims
5214

Page: 2

01 Robert K Wright

9800 Grand Sandestin Blvd #5214

03/08/2011

02/22/2010
Totals:

0000 Totals:
MM Maintenance Fees
RN Reminder Collection Cost
II Interest Income

886.89
1

04/29/2011 11:52:35 AM

Delinquent Report
7831 ELATION AT BAYTOWNE WHARF COA
As of 03/31/2011

Building:

0000 - Elation at Baytowne Wharf COA


C/O The Continental Group, Inc.
215 Grand Blvd, Ste 200
Miramar Beach, FL 32550

Unit

Resident

Page: 3

Address

DN
AT
AF
CS

Demand Collection Cost


ATP Collection Cost
Attorney Fees
Small Claims

Grand Totals:
MM Maintenance Fees
RN Reminder Collection Cost
II Interest Income
DN Demand Collection Cost
AT ATP Collection Cost
AF Attorney Fees
CS Small Claims

Status Date

Last Pay
Date

Last Pay
Amount

Current

Over 30
Days

Over 60
Days

Over 90
Days

Balance

100.00
0.00
988.40
0.00

50.00
0.00
2,624.81
0.00

0.00
0.00
10.00
0.00

350.00
1,250.00
7,514.98
100.00

500.00
1,250.00
11,138.19
100.00

2,462.05
0.00
10.00
1,363.65
100.00
0.00
988.40
0.00

16,983.34
11,819.70
50.00
2,438.83
50.00
0.00
2,624.81
0.00

4,884.55
4,854.55
20.00
0.00
0.00
0.00
10.00
0.00

97,625.59
74,498.29
1,135.09
12,777.23
350.00
1,250.00
7,514.98
100.00

121,955.53
91,172.54
1,215.09
16,579.71
500.00
1,250.00
11,138.19
100.00

04/29/2011 12:02:52 PM

Prepaid Report
7831 ELATION AT BAYTOWNE WHARF COA
As of 03/31/2011

Building:

0000 - Elation at Baytowne Wharf COA


C/O The Continental Group, Inc.
215 Grand Blvd, Ste 200
Miramar Beach, FL 32550

Unit

Resident

Address

Status Date

Last Pay
Date

Last Pay
Amount

Current

Over 30
Days

Over 60
Days

Over 90
Days

Balance

No Collection Status
5102
5106
5107
5113
5116
5120
5208
5210
5301
5307
5310
5318
5320
5401
5411
5416
5422
5505
5508
5510
5511
5522
5607
5610
5614
5705

Page: 1

01 Ray Donaldson
01 Bruce Morriss
01 Dale Rogers
01 David Costa
01 Michael Sein
01 Louis Belote
01 MGA Realty Investors
LLC
01 MJ Squared, LLC
01 Gordon Lewis
01 James M Patricelli
01 J L & D Real Estate LLC
01 Esther S Lewyn
01 Stephen J LaMontagne
02 IntrawestPLACEMAKING SE
01 French Broad Holdings
LLC
01 James Godfrey
01 Harry E Townley III
01 Neil Phillips
01 Moudar Alshazley
01 Newton W Dorsett
01 Andrea & Esther Lewyn
02 IntrawestPLACEMAKING SE
01 Michael Waldman
01 Michael F Blum
01 Tom Hess
01 K & K Village Partners
LLC

9800 Grand Sandestin Blvd #5102


9800 Grand Sandestin Blvd #5106
9800 Grand Sandestin Blvd #5107
9800 Grand Sandestin Blvd #5113
9800 Grand Sandestin Blvd #5116
9800 Grand Sandestin Blvd #5120
9800 Grand Sandestin Blvd #5208

04/04/2011
04/06/2011
04/28/2011
04/11/2011
04/01/2011
04/05/2011
04/08/2011

727.33
457.10
448.17
257.13
262.10
254.05
440.74

-0.01

9800 Grand Sandestin Blvd #5210


9800 Grand Sandestin Blvd #5301
9800 Grand Sandestin Blvd #5307
9800 Grand Sandestin Blvd #5310
9800 Grand Sandestin Blvd #5318
9800 Grand Sandestin Blvd #5320
9800 Grand Sandestin Blvd #5401

04/27/2011
04/08/2011
04/28/2011
04/06/2011
04/06/2011
04/01/2011
09/30/2009

745.60
727.33
448.17
745.60
257.13
254.05
679.56

-745.60
-0.01

9800 Grand Sandestin Blvd #5411

03/10/2011

254.05

-508.10

9800 Grand Sandestin Blvd #5416


9800 Grand Sandestin Blvd #5422
9800 Grand Sandestin Blvd #5505
9800 Grand Sandestin Blvd #5508
9800 Grand Sandestin Blvd #5510
9800 Grand Sandestin Blvd #5511
9800 Grand Sandestin Blvd #5522

04/04/2011
04/01/2011
02/28/2011
12/22/2010
03/31/2011
04/01/2011
09/30/2009

254.05
465.86
440.74
5,288.88
745.60
257.13
495.44

-237.36
-23.18

-745.60
-257.13

-717.51
-257.13

9800 Grand Sandestin Blvd #5607


9800 Grand Sandestin Blvd #5610
9800 Grand Sandestin Blvd #5614
9800 Grand Sandestin Blvd #5705

04/27/2011
04/07/2011
04/22/2011
03/16/2011

448.17
745.60
440.74
440.74

-448.17
-696.62
-440.74
-440.74

-262.19

-0.01
-393.20
-448.17
-161.04
-41.77
-3.96
-203.14

-393.20
-448.17
-161.04
-41.77
-3.96
-203.14

-0.01
-0.07
-257.13
-34.87

-34.54
-679.56
-254.05

-762.15

-1,322.22
-3,966.66

-411.78

-257.13

-745.60
-0.01
-0.01
-0.07
-291.67
-34.87
-679.56

-93.41
-495.44

-237.36
-23.18
-1,322.22
-3,966.66
-1,463.11
-864.80
-495.44
-710.36
-696.62
-440.74
-852.52

04/29/2011 12:02:52 PM

Prepaid Report
7831 ELATION AT BAYTOWNE WHARF COA
As of 03/31/2011

Building:

0000 - Elation at Baytowne Wharf COA


C/O The Continental Group, Inc.
215 Grand Blvd, Ste 200
Miramar Beach, FL 32550

Unit

Resident

Address

5707
5802
5805
5807
5809
5810

01 Gregory Fischer
01 Debbie Kastner
01 Esther Lewyn
01 Robert Farris
01 Charles Herring
01 Robert Wunderle

9800 Grand Sandestin Blvd #5707


9800 Grand Sandestin Blvd #5802
9800 Grand Sandestin Blvd #5805
9800 Grand Sandestin Blvd #5807
9800 Grand Sandestin Blvd #5809
9800 Grand Sandestin Blvd #5810

Status Date

Last Pay
Date

Last Pay
Amount

Current

Over 30
Days

448.17
984.24
446.07
448.17
704.50
745.60

-448.17

-22.30

03/31/2011
11/23/2010
04/01/2011
04/13/2011
04/08/2011
04/08/2011
Totals:

32

-446.07
-448.17

-7,387.24

-446.07
-0.01

-3,515.54

Over 60
Days

Over 90
Days

-446.07

-4,792.02
-224.88

-957.25

Balance

-0.07
-0.01

-470.47
-4,792.02
-1,563.09
-448.18
-0.07
-0.01

-10,252.05

-22,112.08

CL Cleared Collections
0NRU
5215
5401
5405
5506
5518
5606
5711
5715

01 Sandestin Investments,
LLC
01 Paul Scutt
01 Elizabeth Jinman
01 Lawrence Friesen
01 Anthony Segale
01 Cashman Properties
LLC
01 James Griffin
01 Mark Ponkey
01 James Griffin

9800 Grand Sandestin Blvd NRU

03/31/2010

03/28/2011

103.33

-103.33

9800 Grand Sandestin Blvd #5215


9800 Grand Sandestin Blvd #5401
9800 Grand Sandestin Blvd #5405
9800 Grand Sandestin Blvd #5506
9800 Grand Sandestin Blvd #5518

01/31/2011
08/19/2010
03/14/2011
12/01/2009
03/05/2010

04/21/2011
04/20/2011
03/14/2011
11/29/2010
04/22/2011

448.31
699.93
4,848.14
5,699.88
254.05

-413.21
-196.59
-3,966.66
-254.05

-9.57

9800 Grand Sandestin Blvd #5606


9800 Grand Sandestin Blvd #5711
9800 Grand Sandestin Blvd #5715

08/31/2010
11/20/2009
08/31/2010

03/24/2011
12/27/2010
03/24/2011

704.50
3,048.60
465.86

-704.50

-0.01

Totals:

-0.66

-103.99

-209.98
-4,259.54

-2,286.45

-704.51
-2,286.45
-465.86

-6,755.97

-12,870.41

-465.86
-6,104.20

-9.58

-0.66

-413.21
-406.57
-3,966.66
-4,259.54
-263.62

RM Reminder Notice
5502
5801

Page: 2

01 William Smith
9800 Grand Sandestin Blvd #5502
01 Kirby Steel Products Inc 9800 Grand Sandestin Blvd #5801

04/28/2011
04/28/2011

04/28/2011
03/31/2011
Totals:

0000 Totals:
MM Maintenance Fees

727.37
727.33
2

-0.14

-0.14
-717.34

-717.34
-717.34

-0.14

0.00

0.00

-717.48

-14,208.78
-14,192.17

-3,525.26
-3,525.12

-957.91
-957.91

-17,008.02
-16,797.96

-35,699.97
-35,473.16

04/29/2011 12:02:52 PM

Prepaid Report
7831 ELATION AT BAYTOWNE WHARF COA
As of 03/31/2011

Building:

0000 - Elation at Baytowne Wharf COA


C/O The Continental Group, Inc.
215 Grand Blvd, Ste 200
Miramar Beach, FL 32550

Unit

Resident

Page: 3

Address

Current

Over 30
Days

Over 60
Days

Over 90
Days

Balance

II Interest Income
RN Reminder Collection Cost

-6.61
-10.00

0.00
-0.14

0.00
0.00

-210.06
0.00

-216.67
-10.14

MM Maintenance Fees
II Interest Income
RN Reminder Collection Cost

-14,208.78
-14,192.17
-6.61
-10.00

-3,525.26
-3,525.12
0.00
-0.14

-957.91
-957.91
0.00
0.00

-17,008.02
-16,797.96
-210.06
0.00

-35,699.97
-35,473.16
-216.67
-10.14

Grand Totals:

Status Date

Last Pay
Date

Last Pay
Amount

04/29/2011 12:03:33 PM

Vch #

Typ

Open Invoice Report


As Of 03/31/2011
Invoice
Inv Date

For Entity: ELATION AT BAYTOWNE WHARF COA


269453
Regular
MAR 2011 (5760)
03/20/2011
7831
269456

269459

271554

271989

271996

272004

272005

272006

272008

Regular

Regular

Regular

Regular

Regular

Regular

Regular

Regular

Regular

GL Date
Due Date

Account

Hold

Invoice Amt
Bank Code

No

4,381.78
OPR1 CNL - OPERATING CK
4,381.78

00.00

4,381.78

54070-53

BAHIA AT BAYTOWNE WHARF C


ACCT 100-5760-01
Water & Sewer

00.00

4,381.78

No

280.44
OPR1 CNL - OPERATING CK
280.44

00.00

280.44

50045-04

DUNLAP & SHIPMAN PA


ATTY COLL # 5409 RAPTIS
Legal Fees

00.00

280.44

No

141.24
OPR1 CNL - OPERATING CK
141.24

00.00

141.24

54050-00

GULF POWER COMPANY


ACCT 25368-76045
Electricity

00.00

141.24

No

531.56
OPR1 CNL - OPERATING CK
531.56

00.00

531.56

70000-62

SOLSTICE CLUB
EXPENSE ALLOCATION
Common Expenses

00.00

531.56

No

3,600.00
OPR1 CNL - OPERATING CK
3,600.00

00.00

3,600.00

50008

CARR RIGGS & INGRAM LLC


2010 AUDIT SERVICES
CPA Fees

00.00

3,600.00

No

54.31
OPR1 CNL - OPERATING CK
54.31

00.00

54.31

70104

CINTAS #293
ACCT 01014
Rugs & Bench

00.00

54.31

No

08.38
OPR1 CNL - OPERATING CK
08.38

00.00

08.38

50081

THE CONTINENTAL GROUP INC


FEDEX
Printing/Postage/Statione

00.00

08.38

No

120.00
OPR1 CNL - OPERATING CK
120.00

00.00

120.00

20005

THE CONTINENTAL GROUP INC


COLL COST
Collection Fees due

00.00

120.00

No

28.10
OPR1 CNL - OPERATING CK
28.10

00.00

28.10

50081

THE CONTINENTAL GROUP INC


PRINTING & POSTAGE
Printing/Postage/Statione

00.00

28.10

No

-90.00
OPR1 CNL - OPERATING CK
-90.00

00.00

-90.00

20005

THE CONTINENTAL GROUP INC


COLL COST
Collection Fees due

00.00

-90.00

Description

03/20/2011
04/07/2011

47991
03/24/2011
7831

03/24/2011
04/07/2011

MAR 2011 (76045)


03/24/2011
7831

03/24/2011
04/07/2011

MAR 2011
03/31/2011
7831

03/31/2011
04/13/2011

578807
03/31/2011
7831

03/31/2011
04/13/2011

293103231
03/01/2011
7831

03/01/2011
04/13/2011

8406
03/31/2011
7831

03/31/2011
04/13/2011

8490
03/31/2011
7831

03/31/2011
04/13/2011

8533
03/31/2011
7831

03/31/2011
04/13/2011

8502
03/31/2011
7831

03/31/2011
04/13/2011

Page 1 of 2

Amount Paid

Balance Aged Inv Days

(7)

(7)

(7)

(13)

(13)

(13)

(13)

(13)

(13)

(13)

04/29/2011 12:03:33 PM

Vch #
274461

274555

276378

Vendor Totals

Typ
Regular

Regular

Regular

Open Invoice Report


As Of 03/31/2011
Invoice
Inv Date

GL Date
Due Date

MAR 2011
03/31/2011
7831
7831
7831
7831

03/31/2011
04/20/2011

6135063
03/31/2011
7831

03/31/2011
04/21/2011

MAR 2011 (020881) 03/31/2011


03/31/2011
04/29/2011
7831

Account

Hold
Description

Invoice Amt
Bank Code

9,312.99
OPR1 CNL - OPERATING CK
6,071.34
29.74
18.86
3,193.05

00.00

9,312.99

54050-00
54070-63
54100-72
70000-63

GRAND SANDESTIN AT BAYTOW No


MONTHLY EXPENSE ALLOCATION
Electricity
Water & Sewer
Telephone
Common Expenses

00.00
00.00
00.00
00.00

6,071.34
29.74
18.86
3,193.05

No

353.98
OPR1 CNL - OPERATING CK
353.98

00.00

353.98

61010

ECOLAB
ACCT ELAT0004-0001
Pest Control

00.00

353.98

No

933.46
OPR1 CNL - OPERATING CK
933.46

00.00

933.46

54070-63

BAHIA AT BAYTOWNE WHARF C


ACCT 355-634-1 #020881
Water & Sewer

00.00

933.46

19,656.24

00.00

19,656.24

Invoices:
Credits:

Amount Paid

-90.00

Checks:

Page 2 of 2

Balance Aged Inv Days


(20)

(21)

(29)

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