Residence : Cash Flow Summary
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•The financial projection of Total Residence Project is expected to generate a positive cash flow in
Year 5 onward.Cashflow Summary (£) Total Residence 2017 2018 2019 2020 2021 2022 2023
Private Sales Revenue 221,733,815 - - - 31,509,542 96,084,653 56,016,964 38,122,656
Affordable Sales Revenue 12,442,975 - - - 4,147,658 8,295,317 - -
Other Revenue 4,848,771 - - - - 1,616,257 - 3,232,514
Land (67,000,000) - (13,000,000)(54,000,000) - - - -
Land Acquisition Costs (837,500) - (130,000) (572,500) (135,000) - - -
Construction (105,018,090) - (2,857,909)(34,876,734)(47,051,270)(20,232,176) - -
Fees and Contingency (7,668,087) - (378,833) (2,582,248)(3,130,229)(1,576,777) - -
Sales and Marketing (7,547,891) - (33,454) (696,185) (1,599,016)(2,609,775)(1,510,279)(1,099,183)
Finance (Notional / Rolled Up) (8,746,338) - 0 (2,225,170)(2,861,414)(3,143,244) (516,511) -
Net Cashflow 42,207,654 - (16,400,196)(94,952,838)(19,119,728)78,434,256 53,990,174 40,255,987
Cumulative Cashflow - (16,400,196)(111,353,034)(130,472,762)(52,038,507)1,951,667 42,207,654