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-EZ, PART I, LINE 4 - OTHER INVESTMENT INCOME | DESCRIPTION: INTEREST. AMOUNT: 8. |
| FORM 990-EZ, PART I, LINE 7 - SALES OF INVENTORY | INCOME: GROSS RECEIPTS: 14,369. RETURNS AND ALLOWANCES: 0. LESS COST OF GOODS SOLD: 8,354. GROSS PROFIT: 6,015. COST OF GOODS SOLD: INVENTORY AT BEGINNING OF YEAR: 4,498. MERCHANDISE PURCHASED: 9,217. COST OF LABOR: 0. MATERIALS AND SUPPLIES: 0. OTHER COSTS: 0. INVENTORY AT END OF YEAR: 5,361. COST OF GOODS SOLD: 8,354. |
| FORM 990-EZ, PART I, LINE 8 - OTHER REVENUE | DESCRIPTION: REIMBURSEMENT OF EXPENSES. AMOUNT: 5,963. |
| FORM 990-EZ, PART I, LINE 10 - PAYMENTS TO AFFILIATES | AFFILIATE NAME: NORTHPORT POINT COTTAGE OWNERS ASSOCIATION. AFFILIATE ADDRESS: 105 N. NORTHCOTT DRIVE NORTHPORT, MI 49670. PURPOSE OF PAYMENT: INSURANCE REIMBURSEMENT. AMOUNT OF PAYMENT: 1,765. |
| FORM 990-EZ, PART I, LINE 10 - PAYMENTS TO AFFILIATES | AFFILIATE NAME: NORTHPORT POINT CLUB. AFFILIATE ADDRESS: 105 N. NORTHCOTT DRIVE NORTHPORT, MI 49670. PURPOSE OF PAYMENT: SAILING MASTER WAGE REIMBURSEMENT. AMOUNT OF PAYMENT: 2,150. |
| FORM 990-EZ, PART I, LINE 10 - PAYMENTS TO AFFILIATES | AFFILIATE NAME: NORTHPORT POINT CLUB. AFFILIATE ADDRESS: 105 N. NORTHCOTT DRIVE NORTHPORT, MI 49670. PURPOSE OF PAYMENT: ASST SAILING MASTER WAGE REIMBURSEMENT. AMOUNT OF PAYMENT: 4,325. |
| FORM 990-EZ, PART I, LINE 10 - PAYMENTS TO AFFILIATES | AFFILIATE NAME: NP SERVICE COMPANY. AFFILIATE ADDRESS: 105 N. NORTHCOTT DRIVE NORTHPORT, MI 49670. PURPOSE OF PAYMENT: ADMINISTRATIVE FEE REIMBURSEMENT. AMOUNT OF PAYMENT: 956. TOTAL INCLUDED ON FORM 990-EZ, LINE 10: 9,196. |
| FORM 990-EZ, PART I, LINE 14 | DESCRIPTION: DEPRECIATION. AMOUNT: 1,906. DESCRIPTION: OTHER EXPENSES. AMOUNT: 2,029. TOTAL TO FORM 990-EZ, LINE 14: 3,935. |
| FORM 990-EZ, PART I, LINE 16 - OTHER EXPENSES | DESCRIPTION: BOAT REGISTRATION FEES. AMOUNT: 166. DESCRIPTION: DOCK INSTALLATION/REMOVAL. AMOUNT: 2,131. DESCRIPTION: GASOLINE. AMOUNT: 653. DESCRIPTION: LAUNCHING HAULING/STORAGE. AMOUNT: 9,245. DESCRIPTION: RACES AND CLINICS. AMOUNT: 271. DESCRIPTION: MISCELLANEOUS EXPENSE. AMOUNT: 931. DESCRIPTION: SUPPLIES. AMOUNT: 60. DESCRIPTION: AWARDS & MANUALS. AMOUNT: 1,454. DESCRIPTION: CERTIFICATION - STAFF. AMOUNT: 844. TOTAL TO FORM 990-EZ, LINE 16: 15,755. |
| FORM 990-EZ, PART II, LINE 24 - OTHER ASSETS | DESCRIPTION: MONEY MARKETS. BEG. OF YEAR AMOUNT: 69,078. END OF YEAR AMOUNT: 73,085. DESCRIPTION: INVENTORY. BEG. OF YEAR AMOUNT: 4,498. END OF YEAR AMOUNT: 5,361. DESCRIPTION: ACCOUNTS RECEIVABLE. BEG. OF YEAR AMOUNT: 0. END OF YEAR AMOUNT: 291. |
| FORM 990-EZ, PART II, LINE 26 - OTHER LIABILITIES | DESCRIPTION: ACCOUNTS PAYABLE. BEG. OF YEAR AMOUNT: 1,459. END OF YEAR AMOUNT: 0. DESCRIPTION: PREPAID DUES. BEG. OF YEAR AMOUNT: 0. END OF YEAR AMOUNT: 900. |
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