Financial summary

Published figures for Q3 2025 (sample). Full statements and the reserve fund study are posted in the document library.

Total revenue

$142,500.00

Common element fees and other income

Operating expenses

$118,200.00

Utilities, services, management, insurance

Net operating

$24,300.00

Surplus for the period

Reserve fund

$485,000.00

93% of target $520,000.00

Board notes

Connect MySQL and run sql/seed.sql to show live data from your ledger.

Where the numbers come from

Figures are drawn from the corporation's accounting records at the close of each reporting period.

What residents see

Summary totals and the reserve fund position. Account-level detail is reserved for the board.

Questions about a figure

Email the board and a director will follow up, or raise it at the next owners' meeting.