Attach to Form 990 or 990-EZ.| Identifier | Return Reference | Explanation |
|---|---|---|
| YE 063013 Information for the preparation of this return was obtained | ||
| from the following sources: | ||
| 1. Post Trustee's quarterly audit reports (summarized and confirmed | ||
| where possible) | ||
| 2. Quarterly payroll reports (941) and FUTA and SUTA reports- | ||
| summarized for fiscal year reporting. These reports were prepared by | ||
| client | ||
| 3. FL Sales Tax Reports- prepared monthly (reporting canteen income) | ||
| 4. Client provided "post profit and loss" report. | ||
| 5. Transaction listing prepared by T/P and reentered by preparer- lists | ||
| deposits, checks written, and charges. Reentered to get proper breakdow | ||
| where possible, according to chart of accounts. | ||
| 6. Where items were not clear as to classification, they were entered | ||
| into an appropritate account and adjusted later by journal entry. | ||
| 7. Mortgage payable and cd cash balances at 063013 were confirmed by | ||
| T/P | ||
| 8. T/P advised that no inventory was made at year end, all purchases | ||
| were made on a cash basis. | ||
| 9. Depreciation schedule was prepared for YE 063013. | ||
| 10. Bank balances from post quarterly audit reports were accepted. | ||
| 11. Membership dues were $12.50 per member. | ||
| 12. A transaction listing of information received by TP, a general | ||
| ledger of these transactions, and a balance sheet and income statement | ||
| of this information is on file. |
| Software ID: | 12000238 |
| Software Version: |