← 7411 Elton Ave, Cleveland, OH 44102 · Portfolio index
Owner Statement - 2025-07-10 - 7411 Elton Ave, Cleveland, OH 44102.pdf
| Property | 7411 Elton Ave, Cleveland, OH 44102 |
|---|---|
| Section | 07 - P&L & Owner Statements |
| Category | |
| Relative path | 07 - P&L & Owner Statements/Owner Statement - 2025-07-10 - 7411 Elton Ave, Cleveland, OH 44102.pdf |
| Source path | /mnt/c/Users/digit/Dropbox/Real Estate/OH/7411 Elton Ave, Cleveland, OH 44102/Public/07 - P&L & Owner Statements/Owner Statement - 2025-07-10 - 7411 Elton Ave, Cleveland, OH 44102.pdf |
| Modified UTC | 2025-12-02T14:12:32.0000000Z |
| Size bytes | 47674 |
| Extraction method | metadata-only+pdftotext-incremental |
Description
7411 ELTON AVE - 7411 Elton Ave, Cleveland, OH 44102 Property Cash Summary Beginning Balance 1,305.71 Cash In 620.00 Cash Out -175.18 Ending Cash Balance 1,750.53 Property Reserve -250.00 Net Owner Funds 1,500.53 Transactions Date Payee / Payer Type Reference Description Cash In Cash Out Beginning Cash Balance as of 07/10/2025 Balance 1,305.71 08/01/2025 jeffrey E. uhl CC receipt D0FC-3800 Rent Income - August 2025 - Monthly Rent 595.00 1,900.71 08/01/2025 jeffrey E. uhl CC receipt D0FC-3800 Pet
Extracted Content
7411 ELTON AVE - 7411 Elton Ave, Cleveland, OH 44102 Property Cash Summary Beginning Balance 1,305.71 Cash In 620.00 Cash Out -175.18 Ending Cash Balance 1,750.53 Property Reserve -250.00 Net Owner Funds 1,500.53 Transactions Date Payee / Payer Type Reference Description Cash In Cash Out Beginning Cash Balance as of 07/10/2025 Balance 1,305.71 08/01/2025 jeffrey E. uhl CC receipt D0FC-3800 Rent Income - August 2025 - Monthly Rent 595.00 1,900.71 08/01/2025 jeffrey E. uhl CC receipt D0FC-3800 Pet Fee-Non Refundable - August 2025 - Monthly Pet 25.00 1,925.71 08/12/2025 Aligned Properties eCheck 69DB-1B40 Management Fees - Management Fees for 08/2025 59.50 1,866.21 08/12/2025 Aligned Properties eCheck 69DB-1B40 Water - 3132824530-07/02/2025-08/01/2025-Water 3132824530-07/02/2025-08/01/2025-Water 115.68 1,750.53 Ending Cash Balance Total 1,750.53 620.00 175.18 Page 28 of 33