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cash_flow-20250511 - 9902 Garfield Ave, Cleveland, OH, 44108.pdf

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Property9902 Garfield Ave, Cleveland, Ohio 44108
FolderP&L & Owner Statements
KindPDF
Updated2025-05-12
Dropbox path07 - P&L & Owner Statements/cash_flow-20250511 - 9902 Garfield Ave, Cleveland, OH, 44108.pdf

About This File

Cash Flow Properties: 9902 Garfield Ave - 9902 Garfield Ave Cleveland, OH 44108 Display by Ownership %: No Date Range: 05/01/2024 to 05/11/2025 Level of Detail: Detail View Selected Period % of Selected Period Fiscal Year To Date % of Fiscal Year To Date 0.00 0.00 0.00 0.00 120.00 0.00 120.00 0.00 120.00 0.00 120.00 0.00 Gas 332.90 0.00 332.90 0.00 Sewer 64.98 0.00 64.98 0.00 397.88 0.00 397.88 0.00 200.00 0.00 200.00 0.00 200.00 0.00 200.00 0.00 Total Operating Expense 717.88 0.00 717.88 0.00 NOI - Net Operating Income -717.88 0.00 -717.88 0.00 Total Income 0.00 0.00 0.00 0.00 Total Expense 717.88 0.00 717.88 0.00 Net Income -717.88 0.00 -717.88 0.00 Account Name Operating Income & Expense Income Total Operating Income Expense CLEANING AND MAINTENANCE Landscaping Total CLEANING AND MAINTENANCE UTILITIES Total UTILITIES OTHER Rental Registration Total OTHER -717.88 -717.88 0.00 0.00…

File Contents

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Cash Flow
Properties: 9902 Garfield Ave - 9902 Garfield Ave Cleveland, OH 44108
Display by Ownership %: No
Date Range: 05/01/2024 to 05/11/2025
Level of Detail: Detail View
Selected Period

% of Selected Period

Fiscal Year To Date

% of Fiscal Year To
Date

0.00

0.00

0.00

0.00

120.00

0.00

120.00

0.00

120.00

0.00

120.00

0.00

Gas

332.90

0.00

332.90

0.00

Sewer

64.98

0.00

64.98

0.00

397.88

0.00

397.88

0.00

200.00

0.00

200.00

0.00

200.00

0.00

200.00

0.00

Total Operating Expense

717.88

0.00

717.88

0.00

NOI - Net Operating Income

-717.88

0.00

-717.88

0.00

Total Income

0.00

0.00

0.00

0.00

Total Expense

717.88

0.00

717.88

0.00

Net Income

-717.88

0.00

-717.88

0.00

Account Name
Operating Income & Expense
Income
Total Operating Income
Expense
CLEANING AND MAINTENANCE
Landscaping
Total CLEANING AND
MAINTENANCE
UTILITIES

Total UTILITIES
OTHER
Rental Registration
Total OTHER

-717.88

-717.88

0.00

0.00

Beginning Cash + Cash Flow

-717.88

-717.88

Actual Ending Cash

-717.88

-717.88

Cash Flow

Beginning Cash

Created on 05/11/2025

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