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, PAGE 6, PART VI, LINE 11B | A DRAFT COPY WAS REVIEWED BY THE BOARD TREASURER THEN PRESENTED, DISCUSSED AND APPROVED AT A SPECIFIED BOARD MEETING. |
| FORM 990, PAGE 6, PART VI, LINE 12C | BOARD MEMBERS ABSTAIN FROM VOTING WHEN THERE IS A CONFLICT OF INTEREST. |
| FORM 990, PAGE 6, PART VI, LINE 15A | CONTRACT APPROVED BY BOARD OF DIRECTORS FOR GENERAL MANAGER. |
| FORM 990, PAGE 6, PART VI, LINE 19 | ALL DOCUMENTS REQUIRED TO BE MADE PUBLIC ARE AVAILABLE IN THE OFFICE FOR VIEWING DURING BUSINESS HOURS, COPIES ARE AVAILABLE FOR A NOMINAL FEE. |
| FORM 990, PART IX, LINE 24E | UNIFORMS AND LAUNDRY 42,770 0 0 MERCHANDISE 35,477 0 0 CHEMICALS/FERTILIZER/SPRA 34,151 0 0 BUILDING MAINTENANCE 25,004 0 0 MEMBER RELATIONS 24,845 0 0 CREDIT CARD FEES 20,481 0 0 PAPER & PLASTIC GOODS 15,791 0 0 LANDSCAPING/SEED/SOD 13,927 0 0 FUEL/OIL 12,607 0 0 TRASH 10,065 0 0 OTHER MAINTENANCE COSTS 8,799 0 0 OTHER SWIMMING POOL COSTS 8,778 0 0 EQUIPMENT REPAIRS & MAINT 8,769 0 0 SUPPLIES 8,302 0 0 SUPPLIES 7,658 0 0 R & M - MAINTENANCE 6,868 0 0 DUES & SUBSCRIPTIONS 6,653 0 0 PRINTING 5,760 0 0 DRIVING RANGE BALLS & SUP 5,366 0 0 SWIMMING POOL CHEMICALS 5,212 0 0 OTHER MEMBERSHIP EXP 5,197 0 0 MISCELLANEOUS 4,933 0 0 JANITORIAL SERVICES 4,794 0 0 OTHER GOLF SHOP EXPENSES 4,778 0 0 JANITORIAL SERVICES 4,299 0 0 IRRIGATION REPAIRS 4,201 0 0 HANDICAP FEES 4,176 0 0 POSTAGE 4,148 0 0 CUSTOMER RELATIONS 3,934 0 0 SMALL TOOLS 3,921 0 0 MILEAGE REIMBURSEMENT 3,600 0 0 TAXES - OTHER 3,590 0 0 EQUIPMENT RENTAL 3,349 0 0 GOLF CART MAINT & RENTAL 3,162 0 0 GOLF SHOP SUPPLIES 3,118 0 0 KITCHEN UTENSILS 3,073 0 0 DIRT/GRAVEL/SAND/SOIL 2,900 0 0 TECHNICAL SUPPORT 2,565 0 0 EQUIPMENT REPAIRS 1,820 0 0 LICENSES & FEES 1,806 0 0 UNIFORMS 1,200 0 0 EDUCATION AND SEMINARS 1,144 0 0 SECURITY 1,075 0 0 DECORATIONS 1,062 0 0 TELEPHONE 1,050 0 0 PEST CONTROL 1,049 0 0 OTHER 959 0 0 LICENSES & FEES 750 0 0 BUILDING REPAIRS & MAINTE 593 0 0 PENALTIES AND LATE FEES 577 0 0 BANK SERVICE CHARGES 441 0 0 EQUIPMENT RENTAL 400 0 0 CUSTOMER RELATIONS 242 0 0 TELEPHONE - MOBILE 150 0 0 CASH OVER & SHORT 142 0 0 TRAVEL 141 0 0 GAS, OIL AND LUBE 66 0 0 DISCOUNTS EARNED -2,141 0 0 |
| FORM 990, PART XI, LINE 9 | REFUND OF STOCK FOR RESIGNING MEMBERS -12,100 TOTAL -12,100 |
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