| Return Reference | Explanation |
|---|---|
| Part VI Line 11 | | Explanation:| GOVERNING BODY REVIEW: FORM 990 AND ATTACHED SCHEDULES D AND O WERE REVIEWED BY THE CURRENT YEAR BOARD MEMBERS |
| Part VI Line 19 | | Explanation:| THE ORGANIZATION MADE ITS GOVERNING DOCUMENTS INTERNAL FINANCIAL STATEMENTS AND TAX RETURNS AVAILABLE TO THE PUBLIC UPON REQUEST |
| Part IX Line 24 | | Explanation:| FACILITIES 9615 MAINTENANCE 43212 SUPPLIES 19138 |
| Part IX Line 24 | | Explanation:| UTILITIES 11237 REPAIRS 13258 |
| Part IX Line 24 | | Explanation:| DUES PERMITS 4739 ACCOUNTING 4580 |
| Part IX Line 24 | | Explanation:| REFERRALS REFUNDS 2458 |
| Part IX Line 24 | | Explanation:| MISC 1288 |
| Part X Line 31 | | Explanation:| FUND BALANCE HAS BEEN ADJUSTED FOR A PRIOR PERIOD ADJUSTMENT PER PART XI LINE 8 |
| Part XI Line 8 | | Explanation:| PRIOR PERIOD ADJUSTMENT IS A WRITE OFF OF ACOUNTS PAYABLES CARRIED ON THE BALANCE SHEET SINCE 2018. THERE ARE NO RECORDS TO BACK UP THIS AMOUNT AND SINCE TAXPAYER REPORTS ON A CASH BASIS NO EXPENSES WERE DEDUCTED FOR THIS AMOUNT. TAXPAYER DOES NOT CURRENTLY HAVE YEAR END ACCOUNTS PAYABLE AS ALL EXPENSES ARE PAID AT THE END OF THE SWIM SEASON BEFORE THE CALENDAR YEAR END. AS A RESULT OF THIS WRITE OFF THE YEAR END FUND BALANCE IS ADJUSTED BY A POSITIVE 39,404 TO REFLECT A FINAL YEAR END BALANCE OF 54,434. |
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