Managers Report January 22, 2015
MANAGEMENT REPORT
COFFEE CREEK CONDOMINIUM ASSOCIATION
January 22, 2015
Financials:
As of year end – December 31, 2014 (January 2015 Financials not available at this time)
- Cash on Hand $2,430.28
- Savings Account $8,095.03
- General reserve $128,814.64
- Insurance reserves $21,079.08
- Total Liabilities/Equity $160,419.03
Delinquencies:
- As of December 31st there was a total of $29,768.49 owed to the association, which consists of 11 accounts ranging from $30 – $15,000. (These delinquencies have gone down $3,527.80)
- Delinquent percentages are down from 23% in November to 20% in December.
- 1 unit has a pending ejectment of the occupant.
- 1 account disputing charges that were carried over from VIS
- 1 account was handled
- 5 accounts making consistent payments
- 1 account is for RV storage non payments
Projects:
- Garage doors have been replaced
- Dryer vents are completed except for 1, need to set up time with owner and company to complete
- 2 doors with bad locks have been replaced, still need 1 replaced, owner not responding to vendor’s request
- Light by Coffee House has been repaired
- Board approved Spartan for sewer maintenance (will wait until later date to determine when to start yearly maintenance)
- Roofs have been put on hold until Spring except for emergency repairs
Miscellaneous:
- Shannon needs updated parking space rental list
- Shannon is making an emergency contact list and needs updated phone number for owners and tenants
- In the process of making a work order system for Randy