EFTA00577400.pdf
dataset_9 pdf 629.7 KB • Feb 3, 2026 • 6 pages
Draft Dates' 910/2005
THE NEW ALBANY COMPANY
Disinbutur. MREIJEBE
I. NACO CASH FLOWS FROM OPERATIONS AND It %PING SOURCES
Far IS SH Months Indink June. 30 20051 As of June 10. 2003)
Cataa.M Year to Wag Year M Dale 1/1/2003
Month. tctual 2005-Aftel a a
CASH FLOWS FROM OPERATIONS
Maraged Properties (Exhibit A)
Real Sasie
I Baum IR yell/Fuxin Pro)hn, land Aeg & Continsency S 1166663/ S (3.262550) 5 2.310.967 S 17921.942
II Debnopencnt Project.. Lad A.qutunom & Conongsacy
De.r apnea Prose)" (KM) (2.130.0321 11.7115.496) 2.061.206
last ACcate.11OO (1.1611.191) 11300.000) (3.003.000)
Constancy ( I (1.930.000) (3.001000/
Taal Re l Estate (210.975) (7.260.100) 12224.629) 11.983.068
Country Club
COU/0/ Club Operamu 12) (-4.43.910) (40.362) 030.000) 1871250/
Total Managed Properties S 1456314) S (1.100.462) • S (3374.629) • S 11.113.798
• Managed Prupen.m. 1.71) includes S-1 9M in cath inflow in Apnl from the Buensule sale winch is now scheduled to dm in June.
In addnor. 911) 'Actual' 1'11(mm...cure caw are SI I 6M under the YTT) "Plan' of 31131
Excluded Properties (Exhibit B)
I Esslakel Pnvaixs 1not %whaler Land &quint...en/0) S (1nes) 3 11.323431) S (2.664.026) S (2.262.232)
II Et.l•ded Prooreues Land Acatiunoies lEthsbo DI (5697) (647.772) (7.957.500) (9.532.909)
Total Excluded Propertks (4) S 019,153) S (2,171.203) $ (10.621.326) S ( 1.793.160
TOTAL CASH FLOW FROM OPERATIONS S 1446.11/71 S osatass s 113.996.135) S 14113631
=MMI••••••= !Si 1••••IIIIMI•
CASH FLOM FROM OTHER FUNDLNG SOL RCTS
Bait One Line - Borrowing (Repsyrismul • Net 8.000.003 11.000.010
Members Coninbutoom lOsitnNinonsi Net
TOTAL CASH FLOW S MOM S 0.271465) S (2014.1SS) S 1481.0)
SEINES Vilna Saimaa
II. NACO FUNDING SOURCE ACTIVITY
For ale SD Maids Enamel Joe. 30 20034 As ethiese 16 B*5)
Yeses Actiray r Conon Yeses Activity as
FINDING SOLACES of lunelm Month otiuns 0611
&CCU Cash Floe frum Managed Properties S (7.643.500) S (456.9541 S 19100.4621
Bank One lane Nei . Bono* mg Ifterrynas0 (3) 8.000.003 SMOLOO
Manben Net Conuatthom 1flittnbunons) (6)
TOTAL FUNDING 501 RCES FUR NA( I) S 336.692 S (436.'54) S (UNIASS)
Mlle Yon to Oar Comangtay amouni is basal on the 'anal."' Yew to Dale Butk Lad Sales r s petveni of the Remo] Bulk land Wes 1w 2003 them the
is OM contasarna a fan all of MI6.
0) New Alton/ Coat, Dula es included ma Managed PIWCTOCI Nat ming Jimmy I.1001.
1) This SIACMCA.7 tu..rin the oath f r. forland ire:van 01/11•010$ anus. Ethas D in. bet rte pro. mthant
pme..if ?me I -Led At.s atter.
PO IL:Idgal 17D 'Nan' admen VIA m :nu/ rrassed so Ow CVO) antar nada u or czpectra io civic b.cettinc la the lac WI waren
.4 BM and fella& estativang eau et SID EM Our a redact use ',wen) Slit and vale:
I!) Bala./ ol I awn, Cards no( haw 10 Inns ran MO
to hi Oat IMO SO, i/ •Int/.4•,i/ / er w Dale tom ye
Nara m Brea as f.• tr>03$
EFTA00577400
THE NEW ALBANY COSIPANE Ealing A
NM-Or:ASH FLOW - SI ‘NAGED (MONTIIVO
For the SI' Maetbs Ending Jure. 30 2009 As at June 10,2003)
Current Yew to Date Year to Date DI/2005
Month-Actual 2005-Actual 2005-Plan 2005-Plan
SALES INFORMATION
Ind.duel Lot Clostngs-Grst I 3 I? 20
Indii dual Lot Cows, (net) I 3 12 20
Bulk lea Sales 8 46
Individual Gross lot Sales Revenue S 210.000 S 6l0.000 S 2.060.000 S 3345.000
Average I ts Sale Pike Grtnii 210.000 203.333 171.667 177.230
Bulk La! Salt' ..Acres Sold 2 a alt 129
REAL EST A It OPERAT1019
CkSII INFLOW
IASI.) SALES
Individual lot Sales net of Selling Costs i S 192.829 $ 586.757 $ 1.927.300 S 3305425
La Contract Payoffs • 127.500 936348 936,348
Imam allot Cosines 18.191 37.825 12304 12.304
Balk Sales an of Scihng Costs 599.834 2.109.424 8.159.713 21.216.365
Bull In Sales ne of Selling Costs 238400 5.154.100
OTHER INCOME
lase & Rental Income net $ 18.993 $ 199.945 $ 193.346 S 405,144
Comotaw. lee and Other Income 2300 17366 25.800 53.800
CASH INFLOW FROM OPERATIONS $ 832.347 $ 3.078417 $ 11.493410 $ 31.015.690
CASH OUTFLOW
OPERATING EXPENSES:
General & Administrative $ 173.763 S 2.233.124 S 2.306.301 S 3.311.106
legal 1-cm 11.140 37.7111 200.500 420.000
Marketing 31.681 32$329 640100 800.000
Property Maintenance 16,491 60.269 71.100 166.300
Barna 42..234 117.411 115.000 175.000
Pruned, Taws including Asseemeau 20.215 1.178.593 2.213.857 2373.905
MCI Coiporke FAITCIISCI 6,140 332.729 332.579 394137
Infrastsucture Projects i 700.146 1.962.231 3.122.500 5.243.500
Subsidiary Funding • New Albany Realty
New Albany Realty 70.000 160.000 275400
CASH Mil -LOW FROM OPERATIONS S 998,810 S 6.340.467 S 9.182344 S 13,163.848
CASH FLOW' BEFORE DEV. PROJECTS, LAND ACQ. & CONTINGENCY $ (WOO $ (UMASH S 2.310.$67 S 1732IJIM
SU! GISNOMMOnalliall —
DEVELOPMENT PROJECTS, LAND ACQUISITION AND CONTINGENCY
DEVELOPMENT PROJECTS
CASH INFLOW
lv Honk Saks Net of Selling Coo. S S - S 747.578 S 747.578
Mario Swine Rental Income Nes 69.335 86.926 295.628
Join: Venture Insestments i Cash Distributions) 160.000 160.000 320.000
Signature Office Building Mortgage Pn'cecds 3300010
CASH OUTFLOW
Mutes Square 133.760)
Signature Office Building 44.512 2.393.147 2.700.000 2.800000
Lapenthiurts iroludIng acne expense
CASH FLOW FROM DEVELOPMENT PROJECTS $ (44,512) $ (2,136,052) amuse s 2,04.1,116
LAND ACQUISITIONS & CONTINGENCY
LAND ACQUISITIONS S - $ 1.864198 S 1300.000 $ 3.000030
TRANSACTION CONTINGENCY 1.930400 3.000.000
CASH OUTFLOW LAND ACQUISMONS & CONTINGENCY S (1.168.194) S (3;00.000) S (8.000.0001
CASH FLOW FROM REAL ESTATE OPERATIONS $ (210,975) $ (7,240,100) $ (2,824629) $ 11$41.011
gourmet CLUB
Country Club Operations ( 245.980 640.362 SSOM 871.250
CASH FLOW FROM MANAGED PROPERTIES OPERATIONS S 4434.934 $ (&IIHAGY) $ (3.374.429) S 11,113.791
INIMMLaS•••••• 3•MINIMINIMOOPMe
Prepared Dy Brent Bradbury 6(102006
EFTA00577401
tsmlalt
THE NEN ALBANY COMPANY
NACO CASH ROW • EXCLUDED (MONTHLY
For the Six Months Ending Jane. 30 20051 As of June 10, 2005)
Drs(
Cwyetu Year to Date Year to Taste V (10
Month-Acusal 2005-Actual 2005-Plan 2005-Plan
SALES INFORMATION
Lot Saks (net)
Acres Sdd
CASH INFLOW
LAND SALES
Loi Saks net of Selling Coen - s S 845.775
Loi Contract Payoffs
Inteftu on Lot Contracts
Belk Sales net d ScRag Costs
DEVELOPMENT PROJECTS
JV Home Saks - Net d Selling Costs
Market Square - Rental Income Net •
OTHER INCOME
& Rental Income-net (b) S 8,918 S 73492 S 78.972 S 165.483
TOTAL OTHER INCOME S 1L938 S 73492 S 78.972 S 165.483
CASH INFLOW FROM OPERATIONS S 8938 S 73492 S 78,972 S 1411.258
CASH OUTFLOW
OPERATING EXPkNSES:
General & Administrative 'Rent. NAN Payment i 2.490 3314005 375586 921,100
Leg l Errs • • IS= 25.000
Insurance • • • •
Property Taxes including Assc.sments - 345,577 633.077 648.077
Debt Service 7.831 43.324 98.335 148333
Other Corporate expenses • . . -
INFRASTRUCTURE PROJECTS 135.124 844.232 1.621.000 1.531.080
OTHER CASH RAW ITEMS 47.149 10.965 •
CASH OUTR.OW S 192394 S 1.597.123 $ 2.742.990 8 3.273510
.
EXCLIJDF.D PROPERTIES NOT INCLUDING LAND ACQ. S (183,454) 5 (1,523,431) 5 (2,664026) 5 0.242521
LAND ACQUISITIONS 3,497 647.772 7.957.500 9.532.909
CASH FLOW FROM EXCLIJED PROPERTIES OPERATIONS 5 (189,153) $ (2,171,703) 5 (111.411,526) $ (11.793,161)
seamy
--On_
PDPDaDKI Dy Brent Brae:toy SIC17)31
EFTA00577402
THE NEW ALBANY COMPANY Exhibit 13
NACO LAND ACQUISITION STATUS REPORT
For the Sir. Months Ending lune. 30 2005( As of June IQ 20051
Acquisition Costa -N..ct) fah 110..
Payee/ Total
Closing Cletafkadon Cie
Location 5:tub liamts LI219691 Flow.2605
I litsiallimnc\lucttart Painwnts si CØ Farts+,
II DmtkILLt224~2911LAdju
itI Han
Bahl,' Rd 111.046 19.500 351277 17/23/330t 351297 351.897
Scrum .0".C1 Bcech Rd 5.117 411851 250.000 2/24/2005 245.100 245.100
Dubuc Inking torts 0.780 33.654 26350 4/102005 27.517 27.517
Dee Lni.mh Calmly 0.477 34353 16.625 4/142005 17.659 17.761
Sace & Shale Bosoms. Park 1.107 569.106 670.000 1/15/2005 630.728 630321
Woods Hamilton Market 3.034 395.517 1.200.000 5/292005 1.237,670 1.237.670
Depoms. Survey & Entincennit - 5400 5,600
28-561 $ 1.101.487 $ 2.474.772 S 1968.198 S 647.772 $ 2.516.073
'total Arquisition Costs to Date $ 2.474,772 $ 14621.13111 f 617.772 $ 1,511273
II yam« Ananhiticaos wider Conlrel In of rtnort dale)
BoomanDell Smuts \/ illaw: (':::c: 0.200 350,000 70.000 12/192005 70.020
Mahan Courtin Club 0.475 378.947 180,000 5/25/2005 180.000
CVCO Farms 44.000 240,909 10.600400 (3) 10.600.000
44 675 S 242.865 S 10.850.000 S ISO= S 10.970/X10 S
Taal Achealen Cats • aced sad User Caen« 2 13,324,772 $ 2,141,190 S 11317,712
Il(a«. 6) ned luded Commissmin and dosing csntt.
2I .%ipt,ntiogn under contract closing dates am the Anal dates per the contra:iv
I tI MI icquodion pnce o( SI IM leas evionated trade iiropeny value of 36I/OK Closms date is projected for second half of 2005
EFTA00577403
THE NEW ALBANY COMPANY
CONSOLIDATED CASH FLOW
For the Period Are 4, 2815 - hoe l0. 2005
Aeloal—
I. CONSOLIDATED CASH FLOW FOR THE WEEK (1)
CASH AT BEGINNING OF WEEK S 1.478304
CASH FROM OPERATIONS 587,933
CASH USED IN OPERATIONS/OTHER SOURCES (1.616350)
CASH BALANCE BEFORE DEBT/CAPITAL CONTRIBUTIONS S 449,887
BANK ONE LINE NET - BORROWING (REPAYMENT) 0
NET CONTRIBUTIONS(DISTRIBUTIONS) - MEMBERS 0
CASH BALANCE AT END OF WEEK $ 449387
II. BANK ONE LINE OF CREDIT - ACTIVITY FOR THE PERIOD
DEBT BALANCE AT BEGINNING OF WEEK 8.000.000
PROCEEDS FROM BORROWINGS
PAYMENT OF DEBT
DEBT BALANCE AT END OF WEEK S 8.000,000
III. CASH FLOW PROJECTION - 90 DAYS (See Attached Exhibit A)
CASH AT BEGINNING OF PERIOD S 952.350
CASH FROM OPERATIONS 12,392,000
CASH USED IN OPERATIONS/OTHER SOURCES (6.208.4761
CASH BALANCE BEFORE DEBT/CAPITAL CONTRIBUTIONS S 7,135,874
BANK ONE LINE NET - BORROWING (REPAYMENT) (2) (6300,000)
NET CONTRIBUTIONS(DISTRIBUTIONS) • MEMBERS 0
CASH BALANCE AT END OF PERIOD S 635,874
(1) Consolidated Cash Flow represents cash flow from 6) NACO's Real Estate Operations
(Managed and Excluded Properties) and (ii) the New Albany Country Club Operations.
(2) Projected balance of ($25M) Bank One Line of Credit in 90 days: $1.500,000
Prepared by &ent Bradbury er I Ce2CO5 Pipe
EFTA00577404
Exhlbft A
THE NEW ALBANY COMPANY
CONSOLIDATED CASH FLOW PROTECTION
For the Period May 1.2005 • July 30,2005
90 Day
CASH FLOW PROJECTION (I) June July Totals
CASH AT BEGINNING OF PERIOD 9932330 51,391.1131 $760.149 5952350
CASH FROM OPERATIONS 10.784.500 1.135.0013 432.500 12.392.000
CASH USED IN OPERATONSKYTHER SOURCES (3.1343,019) (1,7866821 (576,775) (6.200-476)
CASH BALANCE BEFORE DEBT/CAPITAL CONTRIBUTIONS 7191,831 760,149 633.874 7.135.874
NET-PROCEEDS (PAYMENT) ON BANK ONE LINE (6.500.000) (6500.000)
NET cownereu-nors(DLsTRIBtrrapis) • MEMBERS
CASH BALANCE AT END OF PERIOD $1,391.831 1760,149 $635,874 $635,874
BANK ONE LINE OF CREDIT PROJECTION
DEBT BALANCE AT BEGINNING OF MONTH 21.000,000 51.500,000 $1.500.000 513.000.000
PROCEEDS FROM BORROWINGS
PAYMENT OF DEBT (a 16.500.000)
DEBT BALANCE AT END OF MONTH S1.500.000 $1,500,000 $1,500,000 S1.5110.000
0) CASH FLOW PROJECTION - DETAILED
93 Day
Cads From (*rations June July August Totals
Bulk land Saks 1Steak & Shake Silt, Bur sidei
Steak & Shake 592.000 397-000
Burnside 4.927.500 4,927.500
La Sales 365,00) 605,000 412.500 1,382.500
Rent/Other 33,000 40.000 40.000 113.000
Joint Venture Home Sale 665.003 510,030 1.175.000
%tonnage Proceeds for Signanoe Building 4,200.000 4.200.0013
Cash from Operations $10.7114.511 $1,155$0 $452,511 $12,302.1/00
Cash tiled in operations
G S. A 231.078 299.703 159342 690.123
Legal 35.000 35.000 27.500 97.500
Mantling tikes not include 2035 marketing initiative 14,000 MAO 14.000 42.000
hymns Maintenance 18.400 17.400 17,400 53.200
Insurance • 30,000 5.000 35.000
Propens Talcs 1.299.974 53.912 80,700 1.434.386
Debt Scr.....- 36.667 36.667 13.333 86,667
Other 10.000 5.000 5.000 20.003
Infrastructure 1327.500 1245.00D 254500 2./327.000
Land Acquisitions 183.400 165.403
Ineesunent m AIt:hates
MARL Subud) •
Signature Building 500.000 50.000 550000
Club Sulnicl, (includes expansion casts) 187.000 187.000
Cash used in operations $3,845,019 $1,786,682 $576,775 $6.200.476
Net Cash HIM 16.939.481 ($631482) ($12422S) 16.1113,534
EFTA00577405
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