Attach to Form 990 or 990-EZ.
Go to www.irs.gov/Form990 for the latest information.
| Return Reference | Explanation |
|---|---|
| FORM 990, PAGE 6, PART VI, LINE 6 | LINE 6 EXPLANATION - THE MEMBERS OF THE ORGANIZATION OWN THE PRIVATE CLUB AND FACILITY. MEMBERSHIP INTERESTS ARE TRANSFERABLE WITH RESTRICTIONS. |
| FORM 990, PAGE 6, PART VI, LINE 7A | LINE 7A EXPLANATION - THE ORGANIZATION IS A PRIVATE, MEMBER ONLY CLUB. THE MEMBERS ELECT THE OFFICERS AND DIRECTORS WHO MAKE UP THE BOARD OF GOVERNORS. THE MEMBERS HAVE AN ANNUAL MEETING AND SPECIAL MEETINGS OF THE MEMBERS CAN BE CALLED BY THE BOARD OF GOVERNORS. THE MEMBERS ALSO PARTICIPATE IN A SEPARATE ANNUAL BUDGET MEETING. |
| FORM 990, PAGE 6, PART VI, LINE 11B | THE GOVERNING BODY DOES NOT REVIEW THE RETURN BEFORE FILING. THE GOVERNING BODAY REVIEWS THE FINANCIAL STATEMENTS OF THE CLUB MONTHLY AND THEN RELIES ON THE TREASURER TO REVIEW THE RETURN. THE TREASURER REVIEWS THE RETURN BEFORE FILING. |
| FORM 990, PAGE 6, PART VI, LINE 19 | THE CLUB DOES NOT MAKE ITS GOVERNING DOCUMENTS, CONFLICT OF INTEREST POLICY OR FINANCIAL STATEMENTS TO THE GENERAL PUBLIC. THESE ITEMS ARE ONLY MADE TO MEMBERS UPON REQUEST. |
| FORM 990, PART IX, LINE 24E | EQUIPMENT LEASING MAINTEN 173,032 0 0 FERTILIZER 141,176 0 0 CLUBHOUSE EXPENSES 140,828 0 0 UTILITIES - ELECTRIC/GAS 95,494 0 0 HERBICIDE 84,619 0 0 SUPPLIES 80,373 0 0 CART LEASE 70,555 0 0 CONTRACT SERVICES/RECRUIT 62,123 0 0 EQUIPMENT REPAIR 56,709 0 0 SAND, SOIL & GRAVEL 56,396 0 0 GASOLINE & LUBRICANTS 47,796 0 0 FUNGICIDE 36,646 0 0 RETIREMENT EXPENSE 35,394 0 0 MEMBERSHIP COMMISSIONS 30,956 0 0 NON INVENTORY PAPER SUPPL 27,132 0 0 DUES/SUBSCRIPTIONS/DEVELO 26,464 0 0 RANGE SUPPLIES 25,904 0 0 INCOME TAX - IRS 25,853 0 0 BOTTLED WATER 25,420 0 0 TELEPHONE 24,388 0 0 LAUNDRY/LINEN 23,749 0 0 IRRIGATION REPAIR & MAINT 23,162 0 0 NON INVENTORY ITEMS FOOD 19,079 0 0 EMPLOYEE MEALS 18,778 0 0 LANDSCAPE MAINTENANCE 18,080 0 0 UNIFORMS 18,029 0 0 MEMBER RELATIONS 17,640 0 0 CLEANING SERVICE 17,314 0 0 CREDIT CARD FEES 15,838 0 0 EMPLOYEE RELATIONS 14,924 0 0 UNEMPLOYMENT TAXES 12,449 0 0 BAD DEBT EXPENSE 12,000 0 0 LOCKER ROOM 11,956 0 0 MISCELLANEOUS 11,157 0 0 BEVERAGE TAX 10,722 0 0 VEHICLE ALLOWANCE 10,015 0 0 CART FUEL 9,552 0 0 SANITATION 8,278 0 0 INSECTICIDE 7,541 0 0 EQUIPMENT RENTAL - MAINTE 7,134 0 0 TELEPHONE WIRELESS 6,501 0 0 SEED & SOD 5,606 0 0 PROFESSIONAL FEES - ACCTG 5,400 0 0 WEATHER SYSTEM 5,044 0 0 OFFICE SUPPLIES 4,949 0 0 COMPUTER REPAIRES/UPGRADE 4,600 0 0 AMORTIZATION 4,190 0 0 SECURITY MONITORING 3,843 0 0 TOWELS 3,545 0 0 TELEPHONE SYSTEM LEASE 3,512 0 0 ONE TIME EXPENSE ST 3,276 0 0 SMALL TOOLS 3,191 0 0 PROFESSIONAL FEES - LEGAL 2,774 0 0 GREASE TRAP CLEANING 2,681 0 0 CLEANING SUPPLIES 2,662 0 0 TREE MANAGEMENT 2,367 0 0 LICENSES & PERMITS 2,204 0 0 SOIL TESTING 2,057 0 0 MEMBERSHIP EXPENSES 1,323 0 0 CHINA, GLASS & SILVER 920 0 0 CART REPAIR 640 0 0 TOURNAMENT FEES -3,182 0 0 UNRELATED -209,753 0 0 TOTAL 1,413,005 0 0 |
| FORM 990, PART XI, LINE 9 | AMOUNTS DUE MEMBERS TRANSFERRED TO EQUITY 1,618,800 |
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