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2026-06-FINANCIALS-approved - 88 Madison Ave, Albany, NY 12202.md
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| Property | 88 Madison Ave, Albany, NY 12202 |
|---|---|
| Folder | README & Property Snapshot |
| Kind | Text |
| Updated | 2026-06-29 |
| Dropbox path | 00 - README & Property Snapshot/2026-06-FINANCIALS-approved - 88 Madison Ave, Albany, NY 12202.md |
About This File
Financial Data <!-- AUTO:CF_PRIOR_MONTH_START --> Cash Flow Snapshot (2026-04) Source: Cash Flow Statement, month 2026-04 Updated: 2026-05-18 · Metric · Amount · Revenue · $9,572.29 · Operating Expenses · -$6,063.73 · NOI · $3,508.56 · Loan/CapEx/Retained Earnings · -$715.97 · Net Operating Cashflow · $2,792.59 · Rents · $9,572.29 · Property Management Fee · $0.00 · Insurance · -$409.85 · Taxes · -$406.45 · Utilities · -$1,956.91 · Repairs / Maintenance · -$2,831.07 · Operating Reserve Balance · $1,147.19 · ECO Cash Balance · $0.00 · Mortgage Principal Balance · $0.00 · Estimated NAV · $0.00 · source_workbook: [local-path]/Dropbox/Real Estate/NY/88 Madison Ave Public/07 - P&L & Owner Statements/Cash Flow Statement - 88 Madison Ave, Albany, NY 12202.xlsx <!-- AUTO:CF_PRIOR_MONTH_END --> Monthly Cash Position (2026-06) · Metric · Amount · Source · Lofty Operating Cash · $1,147.19 ·…
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# Financial Data <!-- AUTO:CF_PRIOR_MONTH_START --> ## Cash Flow Snapshot (2026-04) **Source:** Cash Flow Statement, month `2026-04` **Updated:** 2026-05-18 | Metric | Amount | |---|---:| | Revenue | $9,572.29 | | Operating Expenses | -$6,063.73 | | NOI | $3,508.56 | | Loan/CapEx/Retained Earnings | -$715.97 | | Net Operating Cashflow | $2,792.59 | | Rents | $9,572.29 | | Property Management Fee | $0.00 | | Insurance | -$409.85 | | Taxes | -$406.45 | | Utilities | -$1,956.91 | | Repairs / Maintenance | -$2,831.07 | | Operating Reserve Balance | $1,147.19 | | ECO Cash Balance | $0.00 | | Mortgage Principal Balance | $0.00 | | Estimated NAV | $0.00 | `source_workbook: [local-path]/Dropbox/Real Estate/NY/88 Madison Ave Public/07 - P&L & Owner Statements/Cash Flow Statement - 88 Madison Ave, Albany, NY 12202.xlsx` <!-- AUTO:CF_PRIOR_MONTH_END --> ## Monthly Cash Position (2026-06) | Metric | Amount | Source | |---|---:|---| | Lofty Operating Cash | $1,147.19 | Lofty `curr_maintenance_reserve` | | ECO Operating Cash | $3,603.89 | ECO Systems General Ledger Column E (1299 rows) |