Attach to Form 990 or 990-EZ.
Information about Schedule O (Form 990 or 990-EZ) and its instructions is at| Return Reference | Explanation |
|---|---|
| Form 990, Part VI, Section A, line 6 | THE CLUB IS AUTHORIZED TO ISSUE 1000 SHARES OF CLASS A VOTING CONVERTIBLE COMMON STOCK AND 1000 SHARES OF CLASS B NONVOTING COMMON STOCK. ALL SHARES ARE NO PAR VALUE COMMON STOCK. AT DECEMBER 31, 2012, 345 SHARES OF CLASS A WERE ISSUED AND OUTSTANDING, AND 18 SHARES OF CLASS A COMMON STOCK WERE HELD BY MEMBERS NO LONGER ELIGIBLE TO VOTE AS DESCRIBED IN THE CLUB'S BYLAWS. |
| Form 990, Part VI, Section A, line 7a | THE BOARD OF DIRECTORS IS ELECTED BY MEMBERS WHO OWN COMMON STOCK OF THE CLUB. |
| Form 990, Part VI, Section A, line 7b | ANY ACTION TAKEN BY THE BOARD IS SUBJECT TO MODIFICATION OR REVOCATION BY THE MEMBERSHIP. |
| Form 990, Part VI, Section B, line 11 | THE ORGANIZATION'S CONTROLLER THOROUGHLY REVIEWS 990 BEFORE IT IS PRESENTED TO THE BOARD. UPON THE CONTROLLER'S APPROVAL THE 990 IS PRESENTED AT A BOARD MEETING WHERE ALL QUESTIONS ARE ANSWERED. |
| Form 990, Part VI, Section B, line 15 | THE EXECUTIVE COMMITTEE OF THE BOARD OF DIRECTORS DETERMINES COMPENSATION BASED ON COMPARABILITY DATA. |
| Form 990, Part VI, Section C, line 18 | ORGANIZATION IS A 501C(7) AND, THEREFORE, NOT REQUIRED TO MAKE THEIR 1023, 990 AND 990Ts AVAILABLE TO THE PUBLIC. |
| Form 990, Part VI, Section C, line 19 | DOCUMENTS ARE NOT MADE AVAILABLE TO THE PUBLIC. |
| Form 990, Part IX, line 24e | WATER: Total expenses 62,817. MISCELLANEOUS: Total expenses 53,491. INTERNAL HCC FUNCTIONS: Total expenses 50,466. LINENS & UNIFORMS: Total expenses 45,094. CLEANING SERVICES: Total expenses 42,063. COMPUTER SERVICES: Total expenses 38,529. MANAGER'S EXPENSES: Total expenses 33,729. GASOLINE & OIL: Total expenses 32,007. OTHER PROFESSIONAL FEES: Total expenses 28,373. OTHER: Total expenses 27,157. PROJECTS & PROGRAMS: Total expenses 20,780. DISHES & UTENSILS: Total expenses 18,360. TROPHIES & PRIZES: Total expenses 17,038. CREDIT CARD FEES: Total expenses 13,986. POSTAGE: Total expenses 12,600. TELEPHONE: Total expenses 12,039. FLOWERS & DECORATIONS: Total expenses 11,885. MUSIC & TALENT: Total expenses 11,788. MEMBER & PUBLIC RELATIONS: Total expenses 10,808. DUES & SUBSCRIPTION: Total expenses 9,789. SECURITY: Total expenses 8,106. PRINTING & REPRODUCTION: Total expenses 4,686. RANGE PROGRAM: Total expenses 4,347. SUPERINTENDENTS EXPENSE: Total expenses 2,313. WASTE REMOVAL: Total expenses 2,123. |
| FORM 990. PART XI, LINE 2c | THE AUDIT IS REVIEWED BY THE BOARD OF DIRECTORS. |
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