Attach to Form 990 or 990-EZ.| Identifier | Return Reference | Explanation |
|---|---|---|
| Pt VI-A, Line 6 | The organization has members with a $200.00 membership fee. | |
| Pt VI-A, Line 7a | The organization has members who elect the Board of Directors annually on the first Tuesday of March. A person may own more than one Membership but each Member shall be entitled to only one vote regardless of the number of Memberships owned. | |
| Pt VI-A, Line 7b | The members must approve certain decisions of the governing body related to rate changes, membership fees and various other decisions. | |
| Pt VI-B, Line 11a | The members are notified of the completion of the return and the availability of the return to be reviewed at 807 Fairdale Rd., Hemphill, TX 75948 | |
| Pt VI-B, Line 12c | The manager of the corporation reviews the return prepared for accuracy related to finaicial information and responses. The return is then presented to the board for review and approval during a regularly scheduled meeting. | |
| Pt VI-C, Line 19 | The organization makes the governing body documents, conflict of interest policy and financial statements available to the public upon request by allowing them to review them at 807 Fairdale Rd., Hemphill, TX between the hours of 8:00 a.m. - 4:00 p.m., Monday - Friday. | |
| Form 990EZ, Part I, Line 16 | BAD DEBTS 4935. FUEL & OIL 6251. LICENSES & TAXES 4753. SUPPLIES 5333. TRAINING & EDUCATION 1881. TRAVEL 1428. WATER PURIFICATION SUPPLIES 7357. ADVERTISING 1374. BANK CHARGES 128. DUES & SUBSCRIPTIONS 3007. EQUIPMENT INSURANCE 579. LIABILITY INSURANCE 4743. PROPERY INSURANCE 1974. WORKERS COMPENSATION INSURANCE 7262. EQUIPMENT REPAIRS & MAINTENANCE 2142. OFFICE SUPPLIES 1806. REMEMBRANCES 1804. TELEPHONE 3364. OFFICE UTILITIES 1059. INTEREST 2401. CONSULTANTS 6771. MISCELLANEOUS 2497. | |
| Form 990EZ, Part II, Line 24 | ACCOUNTS RECEIVABLE 24047. 19715. INVENTORIES FOR SALE OR USE 3629. 3629. PREPAID EXPENSES AND DEFERRED CHARGES 11156. 10203. CONSTRUCTION IN PROGRESS 1024. 1024. REPLACEMENT RESERVE ACCOUNT 32991. 41557. | |
| Form 990EZ, Part II, Line 26 | ACCOUNTS PAYABLE AND ACCRUED EXPENSES 7133. 7256. NOTES PAYABLE-SABINE STATE BANK & TRUST 94159. 0. NOTES PAYABLE-KUBOTA FINANCE 17669. 8009. | |
| Form 990, Part IX, Line 24f | LINE REPAIRS 3375. METER REPAIRS 1561. TANK REPAIRS 2302. WELL REPAIRS 1267. SUPPLIES 5333. UTILITIES 13882. WATER PURIFICATION & TESTING 7357. BANK CHARGES 128. DUES & SUBSCRIPTIONS 3007. OFFICE EQUIP. REPAIRS 2142. REMEMBRANCES 1804. MISCELLANEOUS 2497. BAD DEBTS 4935. |
| Software ID: | 10000104 |
| Software Version: |