Apartment Report

Year Ended 2017-12-31

310 East 49 St
#10A
New York
NY 10017

310 East 49th Owners Corp.

Financial Statements

Balance Sheets

Balance Sheets
Assets
Current Assets:
Cash and cash equivalents 912
Receivables (Note 3) 194
Prepaid expenses (Note 4) 137
Total Current Assets 1,242
Reserve fund (Notes 2 and 5) 5,851
Property and Improvements: (Notes 2 and 6)
Land 12,206
Building 25,351
Building improvements 20,745
Total 58,301
Less: accumulated depreciation (36,057)
Net Property and Improvements 22,244
Other Assets:
Investment in NCB stock (Note 2) 161
Unamortized credit line finance costs 70
Utility deposit 4
Total Other Assets 236
Total Assets 29,573
Liabilities
Current Liabilities:
Accounts payable and accrued expenses 295
Real estate tax abatements 563
Mortgage payable - current portion 327
Prepaid maintenance and laundry income 136
Building improvements payable 51
Accrued mortgage interest 49
Total Current Liabilities 1,422
Long-Term Liabilities:
Mortgage payable - net of current portion (Note 7) 16,073
Unamortized mortgage finance costs (Note 2) (391)
Total Long-Term Debt 15,682
Security deposits payable 222
Total Long-Term Liabilities 15,904
Total Liabilities 17,326
Stockholders’ Equity
Common stock - $1.00 par value, 71,711 shares issued and outstanding 600
Additional paid-in capital 34,623
Accumulated deficit (22,976)
Total Stockholders’ Equity 12,247
Total Liabilities and Stockholders’ Equity 29,573

OPERATIONS

OPERATIONS
Revenues
Maintenance 11,210
Operating assessment 1,174
Shareholder and other fees 309
Interest and dividend income 107
Transfer fees (Note 2) 116
Laundry income 68
Total Revenues 12,982
Cost of Operations
Administrative expenses Schedule 1 740
Operating expenses Schedule 2 5,342
Repairs and maintenance Schedule 3 686
Real estate tax 5,371
Mortgage interest 587
Corporation taxes 68
Total Cost of Operations 12,794
(Loss) Income Before Noncash Depreciation, Amortization and Mortgage Finance Interest Costs 188
Noncash depreciation, amortization and mortgage finance interest costs (1,511)
Net Loss For The Year (1,323)