Cash Collected
$3,515
Monthly Board Summary
April 2026
Cash Collected
$3,515
Outstanding
$2,640
Reminders Sent
4
Printable Notices
2
Two owners remain past due for more than 30 days. Reserve transfer completed on April 8. No bounced payments this month.
Reserve balance currently sits at $21,480 and operating balance at $12,840.
Recommended board action: approve one payment-plan outreach for the oldest late account and authorize a second printed notice if payment is not received by month-end.