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 ORGANIZATION HAS EQUITY MEMBERS WHO RECEIVE VOTING PRIVILEGES AND OWNERSHIP UPON PAYMENT IN FULL OF ALL MEMBERSHIP FEES. |
| FORM 990, PART VI, SECTION A, LINE 7A | EQUITY MEMBERS OF THE ORGANIZATION VOTE AND ELECT THE BOARD OF DIRECTORS. |
| FORM 990, PART VI, SECTION A, LINE 7B | MEMBERS MUST VOTE TO APPROVE MAJOR CAPITAL IMPROVEMENTS. |
| FORM 990, PART VI, SECTION A, LINE 8B | THE COMMITTEES MEET REGULARLY TO DISCUSS ISSUES. THE BOARD MEMBER CHAIRING EACH COMMITTEE REPORST AT EACH BOARD MEETING THE ISSUES AND RECOMMENDATIONS FOR THE BOARD TO CONSIDER. |
| FORM 990, PART VI, SECTION B, LINE 11 | A COPY OF THE FORM 990 IS GIVEN TO EACH BOARD MEMBER TO REVIEW BEFORE THE RETURN IS FILED. |
| FORM 990, PART VI, SECTION B, LINE 15 | AN INDEPENDENT SALARY SURVEY WAS PERFORMED FOR THE COUNTRY CLUB. THIS SURVEY, ALONG WITH COMPARATIVE CLUB DATA AND A REVIEW BY A COMPENSATION COMMITTEE ON THE BOARD WAS USED IN DEREMINING SALARY LEVELS FOR KEY EMPLOYEES. |
| FORM 990, PART VI, SECTION C, LINE 19 | FINANCIALS AND GOVERNING DOCUMENTS ARE MADE AVAILABLE "UPON REQUEST" TO THE PUBLIC. |
| FORM 990, PART IX, LINE 24E | RENTALS 207,668. REPAIRS AND MAINTENANCE 207,247. CHEMICALS AND FERTILIZERS 140,014. MEMBER RELATIONS 81,659. CONTRACT LABOR 78,752. LAUNDRY SERVICES 75,328. MISCELLANEOUS 68,046. GROUND MAINTENANCE 63,283. AUTO EXPENSE 61,376. ENTERTAINERS AND MUSICIANS 49,610. OUTSIDE SERVICES 35,229. FLOWERS AND DECORATIONS 30,738. UNIFORMS 30,720. COMMISSIONS 30,301. MANAGEMENT EXPENSEE 28,574. SWIM TEAM EXPENSE 26,084. EMPLOYMENT SERVICES 24,427. PRINTING EXPENSE 24,210. POSTAGE AND FREIGHT 23,731. TELEPHONE 22,013. RENTALS 14,722. BOARD & COMMITTEE EXPENSE 14,376. SUPPLIES 11,798. DUES AND SUBSCRIPTIONS 9,497. TENNIS EXPENSE 8,456. DUES AND SUBSCRIPTIONS 6,013. TAXES, PERMITS, AND LICENSES 5,653. TAXES, PERMITS, AND LICENSES 5,355. BANK CHARGES 5,033. PRINTING EXPENSE 4,744. CABLE SERVICE 3,836. MEMBER RECRUITMENT 3,268. CONSULTING FEES 2,700. SECURITY 2,323. MISCELLANEOUS 1,835. REPAIRS AND MAINTENANCE 1,546. |
| FORM 990, PART XI, LINE 9: | INTEREST RATE SWAP 44,547. NEW MEMBERSHIP 353,277. PAYMENTS TO RESIGNING MEMBERS 298,000. ROUNDING -3. |
| FORM 990, PART XII, LINE 2C: | DURING THE YEAR THE FINANCE COMMITTEE ASSUMED RESPONSIBILITY FOR OVERSIGHT OF THE AUDIT. |
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