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CASH FLOW INFORMATION (Tables)
12 Months Ended
Jul. 31, 2021
Supplemental Cash Flow Elements [Abstract]  
Schedule of Cash and Cash Equivalents and Restricted Cash

The following is a reconciliation of the Company’s cash and cash equivalents and restricted cash to the total presented on the consolidated statement of cash flows:

July 31
2021 2020
Cash and cash equivalents       $ 1,552,389       $ 3,260,135
Restricted cash, tenant security deposits 783,470 794,151
Restricted cash, escrow 71,720 321,675
Restricted cash, other 27,140 27,840
$ 2,434,719 $ 4,403,801
Schedule of Cash Flow Information

Supplemental disclosure:

July 31,
2021 2020
Cash Flow Information
Interest paid, net of capitalized interest of $115,415 (2021), and $112,074 (2020)       $ 272,070       $ 153,107
Income tax (refunded) (23,040 ) (23,041 )
           
Non-cash information
Recognition of operating lease right-of-use assets $ $ 39,464,411
Recognition of operating lease liabilities 30,222,981
Mortgage refinance 5,255,920