| Return Reference | Explanation |
|---|---|
| Other Revenue.1 | Yard & Hall Rental $13600 |
| Other Revenue.2 | Miscellaneous Income $1893 |
| Other Revenue.3 | Newsletter Advertising $975 |
| Other Revenue.4 | Misc. Transfer Fees $650 |
| Other Revenue.5 | Settlement Payout $61 |
| Other Expenses.1001 | Advertising and Promotion $85 |
| Other Expenses.1005 | Travel $727 |
| Other Expenses.1009 | Depreciation $13439 |
| Other Expenses.1012 | Insurance $23163 |
| Other Expenses.1 | Repairs/Maintenence - Ground $13156 |
| Other Expenses.2 | Lake Maintenance $7462 |
| Other Expenses.4 | MISCELLANEOUS $4800 |
| Other Expenses.5 | Park Supplies $3297 |
| Other Expenses.6 | Ground Maintenance $2053 |
| Other Expenses.7 | Clubhouse Supplies $802 |
| Other Expenses.8 | Repairs/Maintenance - Equip $796 |
| Other Expenses.9 | EQUIPMENT RENTAL $639 |
| Other Expenses.10 | Maintenance Supplies $612 |
| Other Expenses.11 | Repairs/Maintenence - Bldg $284 |
| Other Expenses.12 | Clubhouse Maintenance $70 |
| Other Expenses.13 | DUES & SUBSCRIPTIONS $10 |
| Other Assets.1002 | Furniture and Fixtures - Beginning $586 Furniture and Fixtures - Ending $918 |
| Other Assets.1003 | Machinery and Equipment - Beginning $26024 Machinery and Equipment - Ending $19442 |
| Other Assets.1005 | Accounts Receivable - Beginning $18343 Accounts Receivable - Ending $8910 |
| Other Assets.1011 | Prepaid Expenses and Deferred Charges - Beginning $12531 Prepaid Expenses and Deferred Charges - Ending $12127 |
| Total Liabilities.1 | PAYROLL LIABILITIES - Beginning $765 PAYROLL LIABILITIES - Ending $367 |
| Software ID: | 23017517 |
| Software Version: | 2023v5.1 |