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Multi-Family Housing Project Budget/Utility Allowance
ICR 202605-0575-002 · OMB 0575-0189 · Object 169302100.
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Document Metadata
| File Type | application/pdf |
|---|---|
| File Title | Multi-Family Housing Project Budget/Utility Allowance |
| Last Modified By | Acrobat PDFMaker 21 for Word |
| File Modified | 2021-07-01 |
| File Created | 2021-07-01 |
| Conversion State | complete |
Extracted Text
Close Save Submit Position 3 USDA Form RD 3560-7 FORM APPROVED OMB NO. 0575-0189 MULTIPLE FAMILY HOUSING PROJECT BUDGET/ UTILITY ALLOWANCE (Rev. 05-06) PROJECT NAME BORROWER ID AND PROJECT NO. BORROWER NAME Loan/Transfer Amount $ Note Rate Payment $ IC Payment $ Reporting Period Budget Type Project Rental Type Annual Initial Family Full Profit Quarterly Regular Report Elderly Monthly Rent Change Congregate Limited Profit Non-Profit SMR Group Home Other Servicing Mixed Exp. Date: MM/DD/YY Profit Type The following utilities are master metered: I hereby request units of RA. Current number Electricity Gas of RA units Water Sewer Borrower Accounting Method . Trash LH Cash Other Accrual PART I-CASH FLOW STATEMENT CURRENT BUDGET PROPOSED BUDGET ACTUAL COMMENTS or (YTD) BEGINNING DATES> OPERATIONAL CASH SOURCES ENDING DATES> 1. RENTAL INCOME 2. RHS RENTAL ASSISTANCE RECEIVED 3. APPLICATION FEES RECEIVED 4. LAUNDRY AND VENDING 5. INTEREST INCOME 6. TENANT CHARGES 7. OTHER -PROJECT SOURCES 8. LESS (Vacancy and Contingency Allowance) 9. LESS (Agency Approved Incentive Allowance) 10. SUB-TOTAL [(1 thru 7) - (8 & 9)] ( ( ) ) ( ( ) ) 0.00 0.00 0.00 14. SUB-TOTAL (11 thru 13) 0.00 0.00 0.00 15. TOTAL CASH SOURCES (10+14) 0.00 0.00 0.00 24. SUB-TOTAL (16 thru 23) 0.00 0.00 0.00 28. SUB-TOTAL (25 thru 27) 0.00 0.00 0.00 TOTAL CASH USES (24+28) 0.00 0.00 0.00 30. NET CASH (DEFICIT) (15- 29) CASH BALANCE 0.00 0.00 0.00 33. ENDING CASH BALANCE (30+31+32) 0.00 0.00 0.00 NON-OPERATIONAL CASH SOURCES 11. CASH-NON PROJECT 12. AUTHORIZED LOAN (Non-RHS) 13. TRANSFER FROM RESERVE OPERATIONAL CASH USES 16. TOTAL O&M EXPENSES (From Part II) 17. RHS DEBT PAYMENT 18. RHS PAYMENT (Overage) 19. RHS PAYMENT (Late Fee) 20. REDUCTION IN PRIOR YEAR PAYABLES 21. TENANT UTILITY PAYMENTS 22. TRANSFER TO RESERVE 23. RETURN TO OWNER/NP ASSET MANAGEMENT FEE NON-OPERATIONAL CASH USES 25. AUTHORIZED DEBT PAYMENT (Non-RHS) 26. ANNUAL CAPITAL BUDGET (From Part III, Lines 4-6) 27. MISCELLANEOUS 29. 31. BEGINNING CASH BALANCE 32. ACCRUAL TO CASH ADJUSTMENT Close Save Submit Close Save Submit PART II-OPERATING AND MAINTENANCE EXPENSE SCHEDULE CURRENT BUDGET COMMENTS PROPOSED BUDGET ACTUAL or (YTD) 1. MAINTENANCE AND REPAIRS PAYROLL 2. MAINTENANCE AND REPAIRS SUPPLY 3. MAINTENANCE AND REPAIRS CONTRACT 4. PAINTING 5. SNOW REMOVAL 6. ELEVATOR MAINTENANCE/CONTRACT 7. GROUNDS 8. SERVICES 9. ANNUAL CAPITAL BUDGET (From Part V- Operating) 10. OTHER OPERATING EXPENSES (Itemize) 11. SUB-TOTAL MAINT. & OPERATING (1 thru 10) 0.00 0.00 0.00 12. ELECTRICITY If master metered 13. WATER check box on 14. SEWER front. 15. FUEL (Oil/Coal/Gas) 16. GARBAGE & TRASH REMOVAL 17. OTHER UTILITIES 18. SUB-TOTAL UTILITIES (12 Thru 17) 0.00 0.00 0.00 19. SITE MANAGEMENT PAYROLL 20. MANAGEMENT FEE 21. PROJECT AUDITING EXPENSE 22. PROJECT BOOKKEEPING/ACCOUNTING 23. LEGAL EXPENSES 24. ADVERTISING 25. TELEPHONE & ANSWERING SERVICE 26. OFFICE SUPPLIES 27. OFFICE FURNITURE & EQUIPMENT 28. TRAINING EXPENSE 29. HEALTH INS. & OTHER EMP. BENEFITS 30. PAYROLL TAXES 31. WORKMAN'S COMPENSATION 32. OTHER ADMINISTRATIVE EXPENSES (Itemize) 33. SUB-TOTAL ADMINISTRATIVE (19 thru 32) 0.00 0.00 0.00 34. REAL ESTATE TAXES 35. SPECIAL ASSESSMENTS 36. OTHER TAXES, LICENSES& PERMITS 37. PROPERTY& LIABILITY INSURANCE 38. FIDELITY COVERAGE INSURANCE 39. OTHER INSURANCE 40. SUB-TOTAL TAXES& INSURANCE (34 thru 39) 0.00 0.00 0.00 41. TOTAL O&M EXPENSES (11 +18+33+40) 0.00 0.00 0.00 Form RD 3560-7 Close Page 2 Save Submit Close Save Submit PART III-ACCOUNT BUDGETING/STATUS CURRENT BUDGET RESERVE ACCOUNT: 1. BEGINNING BALANCE 2. TRANSFER TO RESERVE TRANSFER FROM RESERVE 3. OPERATING DEFICIT 4. ANNUAL CAPITAL BUDGET (Part V - Reserve) 5. BUILDING & EQUIPMENT REPAIR 6. OTHER NON-OPERATING EXPENSES 7. TOTAL (3 thru 6) 8. ENDING BALANCE [(1 +2)-7] ( PROPOSED BUDGET ACTUAL COMMENTS or (YTD) 0.00 ) ( 0.00 ) ( 0.00 ) 0.00 0.00 0.00 GENERAL OPERATING ACCOUNT:* BEGINNING BALANCE ENDING BALANCE REAL ESTATE TAX AND INSURANCE ESCROW ACCOUNT:* BEGINNING BALANCE ENDING BALANCE TENANT SECURITY DEPOSIT ACCOUNT:* BEGINNING BALANCE ENDING BALANCE (*Complete upon submission of actual expenses.) NUMBER OF APPLICANTS ON THE WAITING LIST NUMBER OF APPLICANTS NEEDING RA Form RD 3560-7 Close RESERVE ACCT. REQ. BALANCE AMOUNT AHEAD/BEHIND Page 3 Save Submit Close Save Submit PART IV-RENT SCHEDULE AND UTILITY ALLOWANCE A CURRENT APPROVED RENTS/ UTILITY ALLOWANCE UNIT DESCRIPTION UNIT BR SIZE TYPE NUMBER BASIC RENTAL RATE S NOTE RATE POTENTIAL INCOME FROM EACH RATE HUD CURRENT RENT TOTALS: BASIC $0.00 BASIC NOTE RATE $0 NOTE UTILITY ALLOWANCE HUD $0.00 HUD B. PROPOSED RENTS - Effective Date: UNIT DESCRIPTION UNIT BR SIZE TYPE POTENTIAL INCOME FROM EACH RATE RENTAL RATES NUMBER NOTE RATE BASIC HUD BASIC NOTE RATE HUD 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 PROPOSED RENT TOTALS: 0.00 BASIC 0.00 NOTE 0.00 HUD C: PROPOSED UTILITY ALLOWANCE - Effective Date: BR SIZE UNIT TYPE Form RD 3560-7 Close NUMBER MONTHLY DOLLAR ALLOWANCES ELECTRIC GAS WATER SEWER TRASH OTHER Page 4 Save Submit TOTAL Close Save Submit PART V - ANNUAL CAPITAL BUDGET Proposed Number of Units/Items Appliances: Carpet & Vinyl: Cabinets: Doors: Window Coverings: Proposed from Reserve Actual from Reserve Proposed from Operating Actual from Operating Actual Total Cost Range Refrigerator Range Hood Washers & Dryers Other: 1BR 2BR 3BR 4BR Other: Kitchens Bathrooms Other: Exterior Interior Other: List: Other: Heating & Air Conditioning: Heating Air Conditioning Other: Plumbing: Water Heater Bath Sinks Kitchen Sinks Faucets Toilets Other Major Electrical: List: Other: Structures: Windows Screens Walls Roofing Siding Exterior Painting Other Paving: Asphalt Concrete Seal & Stripe Other: Landscape & Grounds: Landscaping Lawn Equipment Fencing Recreation Area Accessibility Features: Signs Other: List: Other: Automation Equipment: Site Management Common Area Other: Other: List: List: List: TOTAL CAPITAL EXPENSES: RD 3560-7 Page 5 Close Save Submit Total Actual Units/Items Close Save Submit PART VI -- SIGNATURES, DATES AND COMMENTS Warning: Section 1001 of Title 18, United States Code provides: ''Whoever, in any matter within the jurisdiction of any department or agency of the United States knowingly and willfully falsifies, conceals or covers up by any trick, scheme, or device a material fact, or makes any false, fictitious or fraudulent statements or representations, or makes or uses any false writing or document knowing the same to contain any false, fictitious or fraudulent statement or entry, shall be fined under this title or imprisoned not more than five years, or both. I HAVE READ THE ABOVE WARNING STATEMENT AND I HEREBY CERTIFY THAT THE FOREGOING INFORMATION IS COMPLETE AND ACCURATE TO THE BEST OF MY KNOWLEDGE. (DATE) (Signature of Borrower or Borrower's Representative) (Title) AGENCY APPROVAL (Rural Development Approval Official): DATE: COMMENTS: A federal agency may not conduct or sponsor, and a person is not required to respond to, nor shall a person be subject to a penalty for failure to comply with a collection of information subject to the requirements of the Paperwork Reduction Act unless that collection of information displays a currently valid OMB Control Number. The OMB Control Number for this information collection is 0575-0189. Public reporting for this collection of information is estimated to be approximately 2 ½ hours per response, including the time for reviewing instructions, searching existing data sources, gathering, and maintaining the data needed, completing, and reviewing the collection of information. All responses to this collection of information are voluntary. However, in order to obtain or retain a benefit, the information in this form is required under 7 CFR Part 3560, “Rural Rental Housing Program”. Rural Development has no plans to publish information collected under the provisions of this program. Send comments regarding this burden estimate or any other aspect of this collection of information, including suggestions for reducing this burden to: Information Collection Clearance Officer, Rural Development Innovation Center, Regulations Management Division at [email protected] Form RD 3560-7 Page 6 Close Save Submit