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March 15, 2021 Regular Meeting Directors Report
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February 15, 2021 Directors Report - Regular Meeting
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Board Meeting
March 15 , 202 1
MEETING OF THE BOARD OF DIRECTORS MONDAY, MARCH 15, 2021 VIRTUAL (Webinar/Phone) AGENDA EXECUTIVE SESSION – 10 A.M. PT Video Conference
Executive Sessions are provided by statute (Civil Code §4935) so Boards can address issues involving Privileged Information and matters of a Private Nature. As a result, Owners do not have a right to attend Executive Sessions. I.
CALL TO ORDER A. Minutes Approval B. Legal C. Contracts D. Personnel E. Member Discipline
REGULAR MEETING – 1 P.M. PT The meeting will be held via Zoom https://us02web.zoom.us/j/86484711135 Member Input on Business Items will be accepted after Item Presentation (limited to 2 minutes per speaker). Responses from the Board are at its discretion. I. CALL TO ORDER II. PRESIDENT’S REPORT A. Opening Remarks B. Approval of Agenda C. Executive Session Actions – President and/or General Manager III. TREASURER’S REPORT & RATIFICATION A. Financial Statement – February 28, 2021 IV. SECRETARY’S REPORT
Page 1 of 3
V.
GENERAL MANAGER’S REPORT A. Community Standards/A&A B. Maintenance C. Security D. Landscape
VI.
COMMITTEE REPORTS A. Planning B. Finance C. A&A
VII. CONSENT AGENDA Consent Agenda is used for those items which are non-controversial and appear to be unanimous in vote. Any Board member can ask for an item to be moved to Business. A. Minutes Approval 1. Board Meeting – February 15, 2021 2. Joint Board/Finance Meeting – March 4, 2021 B. 2021 Committee Appointments 1. Golf 2. Safety & Security 3. Pickleball 4. Finance C. Signature Stamps – Finance Committee Recommendation
Use by Designated Board Members for Check Signing D. Funds Transfer – Finance Committee Recommendation $500,000 from Working Capital to Capital Fund E. Lien Filings APN: 773-103-090
VIII. UNFINISHED BUSINESS A. 2021-22 Budget
Approval of Budget and Setting of Assessment B. Administrative Policies Amendment Action to Approve C. Road Bids Award of 2021 Road Work
Page 2 of 3
IX.
NEW BUSINESS A. Rules & Regulations Amendments - 1 st Readings 1. Tennis 2. A&A B. Can-Am Golf Tournament Variance Request for Private Event C. Satellite “B” Upgrade Proposal to Enhance Social Gathering
X.
DISCUSSION A. Self-Guided Tours
30-Day Trial for Visitors
B. Pickleball Survey
Examination of Results C. Summer Use of Amenities Direction on Facilities Opening/Closing
XI. OPEN FORUM Member Input on Non-Agenda Items (limited to 3 minutes per speaker). Responses from the Board are at its discretion. XII. ADJOURNMENT Next Scheduled Board Meeting – April 19, 2021 – 1 P.M. (PT) Virtual OR La Palma Clubhouse
Page 3 of 3
March 15 , 202 1 Presidents Report
A. Opening Remarks B. Approval of Agenda C. Executive Session Actions
March 15, 2021 Secretary’s Report
March 15 , 202 1 Treasurer’s Report & Ratification A. Financial Statement - February 28 , 202 1
OUTDOOR RESORT - PALM SPRINGS Operating Balance Sheet Feb-21
GL Number
Current Month
Last Year
ASSETS
CASH
1002,1003-000
Petty Cash
5,996
5,900
1019-000 1014-000
Pacific Western - Operating - CD (Working Capital)
-
250,000
Pacific Western - Payroll Account Pacific Western - Operating Account First Foundation - CD (Working Capital)
10,669
46,854
1016,1216-000
228,232 697,772
421,088 689,136
1018-000
Total Operating Cash
942,669
1,412,979
RECEIVABLES
1205-000 1208-000 1209-000 1210-000 1230-000 1215-000 1213-000 1211-000 1212-000 1214-000
Assessment Receivables
20,571
7,648
A/R Reserve A/R Capital A/R Clearing
-
(16,951) 213,500
281,929
-
-
A/R Guest Ledger
(7,441)
(9,203)
A/R Vendini CC Activities A/R Leased Outlets A/R - House Accounts AR- Developement Fund
-
-
250
(883)
- - -
- - -
A/R Transfer Balance Zero Acct.
Total Accounts Receivable
295,309
194,111
OTHER CURRENT ASSETS
1305-000 1320-000 1325-000 1350-000 1470-000 1471-000 1473-000 1490-000
Prepaid Insurance
32,215
32,808
Other Prepaid Expenses Prepaid Worker's Comp
9,650
9,971
- -
- -
Land Available For Sale
Bar Inventory Store Inventory
7,711
9,397
-
-
Bar Happy Hour Food Inventory Golf Merchandise Inventory
256 330
256 330
TOTAL CURRENT ASSETS
50,162
52,762
OTHER ASSETS
1475-000 1480-000
Liquor License
8,812
6,667
Recycling Deposit
500
500
PROPERTY AND EQUIPMENT
1501-000 1502-000 1503-000 1504-000 1506-000 1507-000 1508-000 1509-000 1510-000 1515-000 1520-000 1525-000 1530-000 1535-000 1540-000
LP Recr Equip Furn & Other ES Recr Equip Furn & Other
190,884 154,920 70,099 12,993
190,884 156,389 70,099 12,993
Pool & Spa Equipment
Tennis Equipment
Golf Course Equipment
48,597
48,597
Cafe Improvements
140,372 97,766 30,521 729,614
140,372 97,766 30,521 565,080
Security Improvements Administration Building
Vehicles
Maintenance Equipment
45,566
45,566
Lake & Irrigation Equipment
158,547 102,103 118,007
158,547 118,002 118,007
Office Equipment
Other
Store Equipment & Fixtures
10,115
10,115
Accumulated Depreciation
(1,562,868)
(1,525,598)
PROPERTY AND EQUIP, NET
347,235
237,340
TOTAL ASSETS
1,644,688
1,904,359
OUTDOOR RESORT - PALM SPRINGS Operating Balance Sheet Feb-21
GL Number
Current Month
Last Year
LIABILITIES
CURRENT LIABILITIES
2010-000 2011-000 2013-000
Accounts Payable
(664)
50,459 64,422 18,518 50,499
Accounts Payable Accrual's
33,525 45,908 60,346 16,845
Utilities Accruals Payroll Accrual
2012,2059,2062-000
2015-000 2016-000 2018-000 2019-000 2020-000 2063-000 2021-000 2030-000 2064-000 2100-000
Worker's Comp Accrual
7,882 6,450
Sales Tax Payable
2,530
Use Tax
-
-
Occupancy Tax
(5,221)
2,776
Capital Lease Payable
-
-
Employee Appreciation Day Fund
(242)
(242)
Deferred Revenue Café Gratuities Payable Accrued Vacation Prepaid Assessments
-
-
426
351
(11,140) 161,691
28,607 165,037 12,335
2102,2014-000
Prepaid Activities ORPS Events
4,819
2104-000
Prepaid Bar Entertainment
(500)
-
Total Current Liabilities
308,322
407,094
OTHER LIABILITIES Sec Deposit Beauty Shop Sec Deposit Restaurant
2165-000 2170-000 2175-000 2431-000 2432-000 2405-000 2406-000 2407-000 2408-000 2409-000 2411-000 2412-000 2415-000 2420-000 2490-000
500
500
1,000
1,000
Sec Deposit Store Tennis Key Deposit Cable Box Deposit
500
500
2,100 2,400 2,585
1,700 2,500 5,941
Tennis Holding
Resorters Chorus Holding Fitness Center Holding
558
358
6,589
6,389
Computer Club
-
-
Pickle Ball Holding
5,006
4,325
ERT Holding
355
355
Big Star Holding
3,716 2,291
5,875 2,329
Stitch & Bees Quilt
Golf Holding
125
(2,334)
ORPS Golf Club
7,443
5,022
Total Other Liabilities
35,169
34,462
TOTAL OPERATING FUND LIABILITIES
343,490
441,555
OPERATING FUND BALANCE 2725-000,2600-000 Operating Fund Balance Beginning
1,332,224
1,473,232
2726-000 2600-000
Operating Fund BalanceTransfers Operating Fund Income(Loss)YTD
81,222
(31,027)
(91,650) (53,407)
Operating Reserve 2017 2018 Additional Funding
Total
1,301,197
1,409,397
TOTAL LIABILITIES AND FUND BALANCE
1,644,688
1,904,359
OUTDOOR RESORT - PALM SPRINGS Operating Summary Income Statement Feb-21
Budget to Date
Current Month
Budget
Variance
Last year this month YTD
Variance
Revenue Administration Resort Services
411,794 60,600
416,840 91,632 33,821 26,967
(5,046) (31,032) (30,999) (22,160)
384,506 99,339 26,274 19,642
3,244,689
3,259,733
(15,044) (105,551) (93,783) (74,241)
209,625 18,461
315,176 112,244 81,755
Lifestyles
2,822 4,807 2,822
Bar
7,514 7,884
Golf
2,804
18
4,645
8,266
(382)
Total Revenues
482,846
572,064
(89,218)
534,406
3,488,172
3,777,174
(289,002)
Budget to Date
Current Month
Budget
Variance
Last year this month YTD
Variance
Expenses Administration Resort Services
61,790
72,090 19,994 43,266 14,020 14,759 116,580 36,516
10,300 13,261 24,262
61,500 27,790 40,667 17,176
557,797 121,449 92,580 16,584 50,989 999,542 296,834 26,617 167,112 485,104 47,725 656,865
605,829 140,770 188,969 65,713 77,088 976,340 311,522 35,218 187,438 480,794 50,424 591,990
48,032 19,321 96,390 49,129 26,099
6,733
Lifestyles
19,004
Bar
7,551
6,469 4,645 2,941
Golf
10,114 113,639 23,468
6,071
Grounds & Greens
114,344 27,418
(23,202)
Security Mailroom Facilities
13,048
14,688
3,972
4,897
925
4,838
8,601
15,546 37,433
24,494 61,922
8,948
23,790 56,874
20,326 (4,310)
Maintenance & Repair Vehicles Maintenance
24,489 (1,559) (5,653)
7,465
5,906
7,159
2,699
Utilities
78,679
73,026
70,876
(64,875)
Total Expenses
385,394
487,470
102,076
458,503
3,519,199
3,712,095
192,896
Net Income/Loss
97,452
84,594
12,858
75,903
(31,027)
65,079
(96,106)
OUTDOOR RESORT - PALM SPRINGS Operating Income Statement Feb-21
Variance Last year this month This Year to Date
Budget to Date
GL Number
Description
Current Month
Budget
Variance
INCOME
ADMINISTRATION
393,560
393,560
-
362,687
3,148,480
3,148,480
-
3100-100 Assessments
861
1,237
(376)
629
7,885
9,892
(2,007)
3106-100 Late Fees/Interest/NSF
-
38
(38)
-
(41)
304
(345)
3107-100 Special Individual Assessments
3,200
1,084
2,116
2,300
15,600
8,668
6,932
3109-100 Transfer Fees
2,790
625
2,165
-
12,540
5,000
7,540
3111-100 Escrow Demand Fee
650
625
25
975
3,000
4,175
(1,175)
3119-100 Permit Fee
300
209
91
300
1,551
1,668
(117)
3151-175 Key Replacement
175
555
(380)
600
2,795
3,280
(485)
3110-125 Vendor Fees
10,058
18,907
(8,849)
17,015
46,389
78,266
(31,877)
3160-850 Laundry
200
-
200
-
600
-
600
3144-100 Other Income
-
-
-
-
5,890
-
5,890
3148-100 Interest
-
-
-
-
-
-
-
3115-100 Fines and Suspensions
411,794
416,840
(5,046)
384,506
3,244,689
3,259,733
(15,044)
Total Administration Income
EXPENSE
ADMINISTRATION
-
-
-
-
13,750
12,500
(1,250)
4100-100 Audit /Tax Returns
532
239
(293)
380
3,412
900
(2,512)
4109-100 Bank Fees
5,820
1,347
(4,473)
6,125
18,971
10,776
(8,195)
4226-100 Board Expenses
1,465
1,080
(385)
4,081
1,838
5,091
3,253
4365-300 Credit Card
5,658
4,405
(1,253)
4,268
50,448
42,453
(7,995)
4115-100 Computer
1,206
(323)
1,206
10,703
9,648
(1,055)
4125-100 First Aid
1,529
1,520
987
4127-100 Dues & Subscriptions
346
1,866
1,867
5,330
6,317
42
1,150
4148-100
Permits
31
73
-
147
1,297
8,283
(202)
8,202
67,879
66,259
(1,620)
4139-100 Insurance
8,485
(865)
876
7,548
9,054
1,506
4142-100 Copier Service
1,842
977
757
(1,050)
2,558
8,922
6,020
(2,902)
4145-100 Legal Fees
1,807
438
2,094
4151-100 Meals & Entertainment
19
457
325
1,562
3,656
157
1,210
4154-100 Mileage & Travel
26
183
-
254
1,464
34
-
450
681
231
4159-100 Office Equipment
45
79
826
403
4,918
3,796
(1,122)
4161-100 Supplies
262
1,088
OUTDOOR RESORT - PALM SPRINGS Operating Income Statement Feb-21
Variance Last year this month This Year to Date
Budget to Date
GL Number
Description
Current Month
Budget
Variance
1,350
256
1,322
10,619
10,162
(457)
4166-100
Payroll Services
1,094
396
965
27,000
33,529
6,529
4996-100 401K - All
4,047
4,443
70
(1,719)
4169-100
Postage & FedEx Delivery
150
220
247
3,357
1,638
(1,888)
(5,982)
4172-100 Printing
1,996
108
109
7,975
1,993
(142)
224
242
800
558
4177-100 Radios
242
100
-
(513)
-
1,423
1,200
(223)
4178-100 Recruitment
513
(176)
38
4182-100 Safety /1st Aid Supplies
467
291
525
2,296
2,334
150
(54)
331
1,456
1,200
(256)
4179-100 Storage Costs
204
862
-
1,892
6,896
5,004
4187-100 Training & Education
-
862
63
(338)
2,115
1,704
(411)
4191-100 Website
150
213
-
-
-
14,343
21,550
7,207
4973-100 Bonuses
-
13,580
11,586
4901-100 Wages & Salaries
18,616
32,196
23,882
240,622
252,208
57
(292)
940
808
429
(379)
4971-100 Overtime
349
-
-
-
7,355
8,700
1,345
4972-100 Holiday Gifts
-
(263)
4,721
4975-100 Payroll Taxes
2,917
2,654
1,211
16,505
21,226
1,169
348
1,201
7,223
9,352
2,129
4990-100 Workers Comp
822
2,239
83
539
12,283
17,912
5,629
4995-100 Health Insurance
2,156
50
(149)
50
1,351
1,500
149
4997-100 Employee Substance Test
199
3,948
31,584
5100-100 Contingency Expense
-
3,948
-
-
31,584
-
-
2,773
-
(2,773)
4999-100 Consulting
-
-
-
-
4102-100 Bad Debt Expense
-
-
-
-
-
-
(27)
4175-300 Business Tax
-
-
-
27
-
Total Administration Expense
61,790
72,090
10,300
61,500
557,797
605,829
48,032
Administrative Net Income/Loss
350,004
INCOME
RESORT SERVICES
3112-100 Website Listing
250
-
250
350
2,725
-
2,725
3113-100 Proximity Cards
251
350
(99)
379
1,282
1,897
(615)
3114-100 Transponders
441
750
(309)
717
4,436
6,533
(2,097)
3130-100 Beauty Shop Rent
300
318
(18)
300
600
1,484
(884)
3132-100 Espresso Bar Rent
-
64
(64)
50
-
254
(254)
3142-100 Café % of Sales
-
700
(700)
846
899
3,300
(2,401)
OUTDOOR RESORT - PALM SPRINGS Operating Income Statement Feb-21
Variance Last year this month This Year to Date
Budget to Date
GL Number
Description
Current Month
Budget
Variance
3133-100 Store Rent
500
614
(114)
500
2,000
3,063
(1,063)
3147-100 Real Estate % of Sales
3,795
4,167
(372)
12,796
20,379
33,334
(12,955)
3152-100 Real Estate % of Rental
5,855
1,884
3,971
-
10,198
15,066
(4,868)
3154-100 Other (Oracle Advertising)
550
2,250
(1,700)
2,825
4,815
7,425
(2,610)
3550-125 Resort Fees
48,385
80,535
(32,150)
80,432
161,202
242,820
(81,618)
3155-125 Advertising
-
-
-
-
-
-
-
3345-125 Copies & Faxes
100
-
100
73
330
-
330
3145-125
Directories
-
-
-
-
-
-
-
3330-300 Sundries
173
-
173
73
760
-
760
Total Rental/Reimburesement Income
60,600
91,632
(31,032)
99,339
209,625
315,176
(105,551)
EXPENSE
RESORT SERVICES
4103-125 Advertising & Marketing
-
-
-
-
8,072
8,474
402
4150-125 Credit Card Fees
442
3,276
2,834
3,443
4,843
9,342
4,499
4184-125 Front Desk Safety Supplies
-
150
150
-
-
700
700
4142-125 Photo Copier Services
-
-
-
-
1,418
878
(540)
4190-125 Uniforms
-
-
-
-
150
700
550
4198-125 Meals & Entertainment
-
33
33
67
149
264
115
4905-125 Wages & Saleries
3,126
14,148
11,022
22,637
87,634
101,339
13,705
4975-125 Payroll Taxes
1,372
1,109
(263)
1,024
9,041
8,867
(174)
4990-125 Workers Comp
215
55
(160)
38
1,558
440
(1,118)
4971-125 Overtime
236
19
(217)
16
537
137
(400)
4995-125 Health Insurance
1,258
1,204
(54)
566
7,965
9,629
1,664
4110-125
Cash Over/Short
84
-
(84)
-
84
-
(84)
Total Resort Services Expense
6,733
19,994
13,261
27,790
121,449
140,770
19,321
Resort Services Net Income/Loss
53,867
INCOME
LIFESTYLES
3170-200 ORPS Events
2,402
28,961
(26,559)
24,414
17,992
82,028
(64,036)
3174-200 Saturday - Coffee/Donuts
-
30
(30)
-
-
120
(120)
OUTDOOR RESORT - PALM SPRINGS Operating Income Statement Feb-21
Variance Last year this month This Year to Date
Budget to Date
GL Number
Description
Current Month
Budget
Variance
3175-200 Saturday Ice Cream
370
730
(360)
653
370
1,955
(1,585)
3200-200 Non-ORPS Events
50
1,100
(1,050)
1,100
50
6,141
(6,091)
3284-200 Sponsorship
-
3,000
(3,000)
-
49
22,000
(21,951)
3265-200 Flea Market Contributions
-
-
-
107
-
-
-
Total Lifestyles Income
2,822
33,821
(30,999)
26,274
18,461
112,244
(93,783)
EXPENSE
LIFESTYLES
4202-200 ORPS Events
4,375
19,290
14,915
21,038
6,887
51,004
44,117
4260-200 Decorations
48
-
(48)
-
324
1,500
1,176
4215-200 Ice Cream Social
196
575
379
562
534
1,675
1,141
4267-200 Linen Expense
-
575
575
233
199
1,141
942
4142-200 Copier Costs
-
362
362
-
75
1,899
1,824
4148-200 License & Permits
-
100
100
-
686
2,530
1,844
4272-200 Movie Rentals
8
26
18
69
10
128
118
4161-200 Office Supplies
86
215
129
-
759
1,285
526
-
4278-200 Paper Goods & Kitchen Supplies
368
144
(224)
85
594
856
262
4172-200 Printing
-
-
-
-
-
250
250
4190-200 Uniforms
-
215
215
956
428
1,285
857
4916-200 Wages & Salaries: Activities
10,961
16,134
5,173
11,552
68,163
91,685
23,522
4922-200 Tennis Courts/Set Up/Cleaning
-
-
-
-
-
-
-
4971-200 Overtime
171
129
(42)
2,154
313
733
420
4975-200 Payroll Taxes
1,431
1,598
167
2,886
7,451
9,588
2,137
4990-200 Worker's Comp.
675
522
(153)
612
4,325
3,127
(1,197)
4995-200 Health Insurance
685
3,381
2,696
502
1,833
20,283
18,450
Cash Over/Short
4110-200
-
-
-
5
-
-
-
4206-200 Comp Coffee & Supplies
-
-
-
13
-
-
-
4210-200 Non-ORPS Events
-
-
-
-
-
-
-
4212-200 Concerts & Entertainment
-
-
-
-
-
-
-
4218-200 Coffee & Donuts
-
-
-
-
-
-
-
Total Lifestyles Expense
19,004
43,266
24,262
40,667
92,580
188,969
96,390
Lifestyles Net Income/Loss
(16,183)
OUTDOOR RESORT - PALM SPRINGS Operating Income Statement Feb-21
Variance Last year this month This Year to Date
Budget to Date
GL Number
Description
Current Month
Budget
Variance
INCOME
BAR
3179-250 Happy Hour
6,347
14,721
(8,374)
13,722
6,440
51,867
(45,427)
3177-250 Food
-
6,026
(6,026)
231
-
11,544
(11,544)
3180-250 Bar -Entertainment Events
(1,540)
5,689
(7,229)
5,689
1,074
15,016
(13,942)
3184-250 Bar Golf Scrambles
-
531
(531)
-
-
3,328
(3,328)
3182-250 Bar-FMCA Events
-
-
-
-
-
-
-
3183-250 Bar -Non ORPS Events
-
-
-
-
-
-
-
Total Bar Income
4,807
26,967
(22,160)
19,642
7,514
81,755
(74,241)
EXPENSE
BAR
4231-250 Bar Entertainment
1,200
887
(313)
1,900
2,400
3,948
1,548
4227-250 Bar Consummables
305
361
56
1,385
493
1,889
1,396
4228-250 Bar Food Cost
-
1,298
1,298
-
-
4,010
4,010
4230-250 Bar Supplies
232
313
81
520
475
1,589
1,114
4229-250 Bar Liquor
2,934
3,795
861
6,898
5,821
20,444
14,623
4918-250 Wages & Salaries/Contract Labor
2,067
5,742
3,675
6,472
6,004
25,713
19,709
4975-250 Payroll Taxes
151
510
359
-
520
2,550
2,030
4990-250 Worker's Comp.
58
517
459
-
293
2,585
2,292
4995-250 Health Insurance
604
597
(7)
-
579
2,985
2,406
Total Bar Expense
7,551
14,020
6,469
17,176
16,584
65,713
49,129
Bar Net Income/Loss
(2,744)
INCOME
GOLF
3400-400 Merchandise
610
438
172
1,543
1,878
905
973
3405-400 Golf Balls
984
197
787
108
2,697
699
1,998
3410-400 Club Rentals
-
263
(263)
289
18
1,482
(1,464)
3415-400 18 Holes
1,219
1,664
(445)
2,632
3,265
4,502
(1,237)
3420-400 9 Holes
10
242
(232)
72
25
678
(653)
OUTDOOR RESORT - PALM SPRINGS Operating Income Statement Feb-21
Variance Last year this month This Year to Date
Budget to Date
GL Number
Description
Current Month
Budget
Variance
Total Golf Income
2,822
2,804
18
4,645
7,884
8,266
(382)
EXPENSE
GOLF 4161-400 Office Equipment/Supllies
28
-
(28)
-
402
150
(252)
4132-400 Fore Tees Software/Maint
-
-
-
-
6,000
6,000
-
4172-400 Printing
-
-
-
-
207
500
293
4190-400 Uniforms
-
-
-
-
-
800
800
4600-400 Starter Shack Supplies
-
350
350
487
2,496
2,428
(68)
4610-400 Golf Merchandise
1,393
114
(1,279)
-
2,850
628
(2,222)
4650-400 Golf Balls
-
143
143
-
-
22,936
22,936
4950-400 Salaries & Wages
7,071
11,254
4,183
3,853
33,580
31,243
(2,337)
4975-400 Payroll Taxes
619
1,042
423
277
3,305
4,448
1,143
4971-400 Overtime
-
-
-
-
-
-
-
4990-400 Worker's Comp
388
661
273
343
1,699
4,372
2,673
4995-400 Health Insurance
614
1,195
581
1,110
450
3,583
3,133
4110-400 Cash Over/Short
0
-
(0)
-
0
-
(0)
Total Golf Expense
10,114
14,759
4,645
6,071
50,989
77,088
26,099
Golf Net Income/Loss
(7,291)
EXPENSE
GROUNDS & GREENS
4183-600 Contract Services
111,830
113,830
2,000
111,180
894,640
886,640
(8,000)
4148-600 License & Permits
-
-
-
-
-
-
-
4630-600 Irrigation Grounds & Golf
1,809
2,000
191
337
13,075
16,000
2,925
4660-600 Tree Trimming
-
-
-
-
40,800
40,000
(800)
4675-600 Flowers
-
-
-
-
38,448
27,700
(10,748)
4710-600 R&M Common Area
-
750
750
2,827
12,580
6,000
(6,580)
4670-600 Plants & Shrubs
-
-
-
-
-
-
-
Total Grounds & Greens Expense
113,639
116,580
2,941
114,344
999,542
976,340
(23,202)
EXPENSE
OUTDOOR RESORT - PALM SPRINGS Operating Income Statement Feb-21
Variance Last year this month This Year to Date
Budget to Date
GL Number
Description
Current Month
Budget
Variance
SECURITY
4144-150 Contract Fire Alarm
-
-
-
-
447
668
221
4142-150 Office Equipment
-
-
-
-
-
-
-
Supplies: Office
4161-150
-
29
29
-
24
232
208
4172-150 Printing
-
17
17
-
55
132
77
4184-150 Safety Supplies
-
42
42
-
416
332
(84)
4185-150 Proximity Cards
104
-
(104)
-
895
2,500
1,605
4186-150 Transponders
-
316
316
-
3,263
6,000
2,738
4190-150 Uniforms
-
413
413
387
4,652
3,300
(1,352)
4915-150 Wages & Salaries
12,858
25,550
12,692
15,784
206,638
217,173
10,535
4971-150 Overtime
635
417
(218)
792
10,400
3,332
(7,068)
4975-150 Payroll Taxes
3,896
2,514
(1,382)
4,417
23,377
20,112
(3,265)
4990-150 Worker's Comp.
1,252
1,808
556
1,071
10,409
14,462
4,053
4995-150 Health Insurance
4,724
5,410
687
4,967
36,259
43,279
7,020
Total Security Expense
23,468
36,516
13,048
27,418
296,834
311,522
14,688
EXPENSE
MAILROOM
4161-175 Supplies: Office
117
-
(117)
-
189
240
51
4190-175 Uniforms
177
-
(177)
-
177
200
23
4917-175 Wages & Salaries
3,204
4,374
1,170
4,211
23,532
30,594
7,062
4975-175 Payroll Taxes
463
506
43
608
2,636
4,048
1,412
4990-175 Worker's Comp
11
17
6
18
83
136
53
4971-175 Overtime
-
-
-
-
-
-
-
Total Mailroom Expense
3,972
4,897
925
4,838
26,617
35,218
8,601
EXPENSE
FACILITIES
4126-500 Holiday Decorations
-
-
-
-
-
644
644
4148-500 Licenses & Permits - Pools & Spas
-
-
-
-
9,247
7,714
(1,533)
4184-500 Supplies: Safety
-
-
-
-
-
600
600
4190-500 Uniforms
-
103
103
-
2,429
3,088
659
OUTDOOR RESORT - PALM SPRINGS Operating Income Statement Feb-21
Variance Last year this month This Year to Date
Budget to Date
GL Number
Description
Current Month
Budget
Variance
4500-500 Supplies: Housekeeping
4,170
3,368
(802)
4,369
21,486
24,525
3,039
4510-500 Pool Supplies: Pool
1,510
273
(1,237)
(231)
8,149
4,305
(3,844)
4530-500 Supplies: Tennis
-
-
-
-
-
100
100
4540-500 Pest Control
830
917
87
830
6,640
7,332
692
4930-500 Salaries & Wages: Housekeeping
3,550
15,532
11,982
14,054
88,564
104,768
16,204
4971-500 Overtime
57
31
(26)
38
1,884
210
(1,674)
4975-500 Payroll Taxes
2,404
1,057
(1,347)
1,934
9,050
8,451
(599)
4990-500 Worker's Comp
708
808
100
654
4,543
6,464
1,921
4995-500 Health Insurance
2,316
2,405
89
2,143
15,120
19,237
4,117
Total Facilities Expense
15,546
24,494
8,948
23,790
167,112
187,438
20,326
EXPENSE
MAINTENANCE & REPAIR
4142-700 Office Equipment/Copier Service
-
-
-
-
-
300
300
4161-700 Supplies: Office
209
42
(167)
-
672
332
(340)
4184-700 Supplies: Safety
624
292
(332)
186
4,516
2,332
(2,184)
4190-700 Uniforms
519
573
54
606
4,533
4,584
51
4757-850 Laundry Cards
479
-
(479)
479
1,439
2,810
1,371
4700-700 Administrative Building
93
417
324
-
1,279
3,332
2,053
4705-700 Lots (light bulbs/water repairs)
74
1,368
1,294
2,050
907
10,944
10,037
4715-700 Clubhouses
8,156
2,025
(6,131)
3,684
43,414
16,200
(27,214)
4720-700 Satellites (includes Guard Shack)
1,874
1,727
(147)
862
4,568
13,816
9,248
4725-700 Swimming Pools
2,303
3,177
874
4,536
22,046
8,737
(13,309)
4730-700 Tennis Courts
1,126
2,915
1,789
4,372
12,103
23,320
11,217
4733-700 R&M Recreation Equipment
-
167
167
465
2,086
1,336
(750)
4735-700 R&M Wells & Pumps
-
267
267
-
1,668
2,132
464
4740-700 R&M Lakes
2,357
3,232
875
2,588
18,512
20,204
1,692
4745-700 R&M Streets
730
300
(430)
-
11,646
3,622
(8,024)
4747-700 R&M Maintenance Building
240
189
(51)
-
1,134
1,512
378
4750-700 R&M Golf
-
50
50
-
-
400
400
4755-700 R&M Convience Store
-
-
-
-
-
-
-
4756-850 R&M Restauarant
-
829
829
1,218
9,472
6,624
(2,848)
4758-700 R&M Laundry Equipment
-
-
-
-
1,700
-
(1,700)
4759-700 Contracted Pool Service
-
-
-
-
9,782
-
(9,782)
OUTDOOR RESORT - PALM SPRINGS Operating Income Statement Feb-21
Variance Last year this month This Year to Date
Budget to Date
GL Number
Description
Current Month
Budget
Variance
4760-700 Supplies: Maintenance
2,478
833
(1,645)
258
14,817
6,664
(8,153)
4825-700 Small Tools
692
714
22
-
1,802
5,712
3,910
4960-700 Salaries & Wages: Maintenance & Repair
5,285
33,005
27,720
25,301
240,229
267,481
27,252
4971-700 Overtime
(52)
80
132
47
1,871
652
(1,219)
4975-700 Payroll Taxes
4,029
3,055
(974)
3,307
19,078
24,437
5,359
4990-700 Worker's Comp
1,374
2,212
838
1,154
12,337
17,692
5,355
4995-700 Health Insurance
4,842
4,453
(389)
5,762
43,492
35,619
(7,873)
Total Maintenance & Repair Expense
37,433
61,922
24,489
56,874
485,104
480,794
(4,310)
EXPENSE
VEHICLE MAINTENANCE
4148-800 License/Permits Vehicle/Equip
-
47
47
31
33
47
14
4190-800 Uniforms
140
163
23
140
1,190
1,304
114
4800-800 DMV Fees
1
-
(1)
366
1,341
1,357
16
4820-800 Shop Supplies
1,736
292
(1,444)
210
5,248
2,332
(2,916)
5025-600 Gasoline
461
190
(271)
725
2,740
3,686
946
4825-800 Tools
380
17
(363)
-
380
132
(248)
4830-800 R & M: Golf Carts
1,808
700
(1,108)
1,600
5,353
5,600
247
4835-800 R & M: Trucks
-
713
713
653
4,076
5,704
1,628
4965-800 Salaries & Wages
2,356
3,262
906
2,861
24,045
26,096
2,052
4971-800 Overtime
24
16
(8)
10
278
128
(150)
4975-800 Payroll Taxes
419
291
(128)
420
1,792
2,322
530
4990-800 Worker's Comp.
140
215
75
143
1,248
1,716
468
4810-800 Equipment Maintenance
-
-
-
-
-
-
-
Total Vehicle Expense
7,465
5,906
(1,559)
7,159
47,725
50,424
2,699
EXPENSE
UTILITIES
5000-100 Cable TV
15,518
15,524
6
15,460
135,424
120,484
(14,940)
5010-100 Electricity
22,809
18,900
(3,909)
18,901
249,681
201,856
(47,825)
5020-500 Natural Gas
16,218
14,666
(1,552)
14,341
59,046
64,186
5,140
5035-100 Telephone
4,035
2,901
(1,134)
3,008
30,383
28,093
(2,290)
5060-600 Refuse
5,894
4,744
(1,150)
5,307
31,418
26,384
(5,034)
OUTDOOR RESORT - PALM SPRINGS Operating Income Statement Feb-21
Variance Last year this month This Year to Date
Budget to Date
GL Number
Description
Current Month
Budget
Variance
5070-600 Dump Fees
2,254
3,189
935
2,689
10,726
15,036
4,310
5080-500 Water
11,049
11,756
707
9,856
121,202
115,783
(5,419)
5085-600 Sewer
902
1,346
444
1,312
18,986
20,168
1,182
Total Utilities Expense
78,679
73,026
(5,653)
70,876
656,865
591,990
(64,875)
Total Expense
385,394
487,470
102,076
458,503
3,519,199
3,712,095
192,896
OUTDOOR RESORT - PALM SPRINGS Reserve Balance Sheet Feb-21
GL Number
Current Month Last Year
ASSETS CASH
1065-000 1070-000 1075-000 1080-000
Checking Account - First Foundation Bank
1,370,374 524,570 266,773 266,697 158,898 158,679 2,357,847 2,306,762 4,153,893 3,256,709
Investment Account - Union Bank
Investment Account - Bank of Southern California
Investment Account - Morgan Stanley
RECEIVABLES
1230-000
Interest Receivable
0 0
0 0
OTHER CURRENT ASSETS
1345-000 1350-000 1355-000
Prepaid Other
0
0
Prepaid Federal Income Tax Prepaid State Income Tax
160
3,600 2,310 5,910
4,721 4,881
TOTAL ASSETS
4,158,774 3,262,619
LIABILITIES
CURRENT LIABILITIES
2000-000 Accounts Payable
(26,300)
0
2240-000 2305-000
Due to Operations Fund Income Taxes Payable
0 (23,812)
0
0
(26,300)
(23,812)
(26,300)
(23,812)
TOTAL RESERVE FUND LIABILITIES
RESERVE FUND BALANCE Reserve Fund Balance Beginning Reserve Fund Income(Loss)YTD
2625-000
4,132,474 3,264,779 313,987 21,652 4,446,461 3,286,431
TOTAL LIABILITIES AND FUND BALANCE
4,169,245 3,262,619
**Note there is a $10,471 variance that will be reconciled in March**
OUTDOOR RESORT - PALM SPRINGS Reserve Fund Income Statement 28-Feb-21
July August September October November December January February March April May June Total ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL YTD
REVENUES
Reserve Fund Allocations
88,084
88,084
88,084
88,084
88,084
88,084 18,036 106,120
88,084
88,084
704,672 28,919 733,591 - 733,591
Interest Income
1,674
1,706
1,770
1,711
1,553
1,773
695
TOTAL
89,758
89,790
89,854
89,795
89,637
89,857
88,779
-
-
-
-
TOTAL REVENUES
89,758
89,790
89,854
89,795
89,637
106,120
89,857
88,779
-
-
-
-
EXPENSES: Real Estate Improvements & Repairs
32,486 95,422
32,045 81,429
8,662 9,875
1,376
55,058
13,904
17,638
161,169 258,435
Personal Property - Equipment Other Expenses/Bank Fee
41,010
21,579
1,051
8,069
- - - - -
- - - - -
Ameritrade Appreciation/Depreciation
Ameritrade Fees
Federal Income Tax State Income Tax
- -
TOTAL
41,010
127,908
113,474
18,537
22,955
55,058
14,954
25,707
-
-
-
-
419,604 - 419,604 - 313,987
Total Expenses
41,010
127,908
113,474
18,537
22,955
55,058
14,954
25,707
-
-
-
-
Net Income (Loss)
48,748
(38,118)
(23,620)
71,258
66,682
51,062
74,903
63,072
-
-
-
-
OUTDOOR RESORT - PALM SPRINGS Capital Balance Sheet 28-Feb-21
GL Number
Current Month Last Year
ASSETS CASH 1075-000 Cash Account - Union Bank
201,734 115,180 0 201,734 115,180 0
1345-000 Prepaid Expenses
RECEIVABLES
0
0
TOTAL ASSETS
201,734 115,180
LIABILITIES
CURRENT LIABILITIES 2250-000 Due to Operations Fund
281,929 213,500 0 292,537 213,500 10,608
2050-000 Accounts Payable
292,537 213,500
TOTAL DEVELOP. FUND LIABILITIES
DEVELOP. FUND BALANCE
2630-000 Capital Balance Beginning
(79,327) (122,004) 23,684 (90,804) (98,320) (11,476)
Capital Income(Loss)YTD
TOTAL LIABILITIES
201,734 115,180
OUTDOOR RESORT - PALM SPRINGS Capital Income Statement 28-Feb-21
July August September October November December January February March April May June Total ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL ACTUAL YTD
REVENUES
Capital Fund Allocations
6,667 4,167
6,667 4,167
6,667 4,167
6,667 4,167
6,667 4,167
6,667 4,167
10,834
10,834
61,670 25,002
Development Fund Allocations
Interest Income
12
13
14
15
16
17
17
16
119
TOTAL
10,846
10,847
10,848
10,849
10,850
10,851
10,851
10,850
-
-
-
-
86,791 - 86,791
TOTAL REVENUES
10,846
10,847
10,848
10,849
10,850
10,851
10,851
10,850
-
-
-
-
EXPENSES: Real Estate Additions
1,000
28,276
31,064
- - -
1,523
25,798
10,608
98,268
Other Expenses
-
-
-
TOTAL
1,000
28,276
31,064
1,523
-
25,798
10,608
-
-
-
-
98,268 - 98,268 -
Total Expenses
1,000
28,276
31,064
-
1,523
-
25,798
10,608
-
-
-
-
Net Income (Loss)
9,846
(17,429)
(20,216)
10,849
9,327
10,851
(14,946)
242
-
-
-
-
(11,476)
Outdoor Resort Palm Springs Owners Association Operating Fund Working Capital Policy
Policy Statement
The Controller shall maintain one week to two weeks (2%-4%) of the Operating Fund's current annual budget as working capital for unforseen circumstances.
Working Capital at the end of any fiscal year exceeding 4% of the current annual budget will be realloacated as determined by the Board of Directors in accordance with our Governing Documents and California Civil Code.
Working Capital is defined as Current Assets minus Current Liabilities on the Operating Fund Balance Sheet.
Any recommendations to modify this policy should be reviewed with the General Manager and Controller prior to submission to the Board of Directors for final approval. (See Administative Policies and Procedures).
02/28/2021 02/28/2020
Current Assets Cash
244,897 295,309
473,842 194,111
Receivables
Other Current Assets
50,162
52,762
Total
590,368
720,715
Current Liabilities
Accounts Payable
76,077 65,809 161,691
142,625 86,746 165,037
Accruals (payroll items)
Owners Assessments prepaid
Capital Lease Payable
-
Other Current Liabilities
35,169
34,462
Total
338,746
428,870
Working Capital
251,622
291,845
2020-21
2019-20
Operating Fund Current Annual Budget
$
5,574,166
5,104,189 $
2% of Operating Budget 4% of Operating Budget
111,483 222,967
102,084 204,168
Actual - Working Capital as a Percentage of Operating Fund Current Annual Budget
4.51% 5.72%