| Return Reference | Explanation |
|---|---|
| Other Revenue.1 | OTHER INCOME $9406 |
| Other Revenue.2 | CLUB RENTALS $6100 |
| Other Revenue.3 | FEE INCOME $1668 |
| Other Revenue.4 | CLUB LUNCHEON DECORATIONS $714 |
| Other Expenses.1009 | Depreciation $3389 |
| Other Expenses.1012 | Insurance $11218 |
| Other Expenses.1 | PROGRAM EXPENSES $25602 |
| Other Expenses.2 | CLUB PROPERTIES $24294 |
| Other Expenses.3 | CHRISTMAS ON CARTER CREEK $10058 |
| Other Expenses.4 | COMPUTER/INTERNET EXPENSE $4353 |
| Other Expenses.5 | CLUB LUNCHEON DECORATIONS $2610 |
| Other Expenses.6 | PROGRAM IMPLEMENTATION $2456 |
| Other Expenses.7 | YEARBOOK $2365 |
| Other Expenses.8 | TECHNOLOGY $1898 |
| Other Expenses.9 | INTERNET $1757 |
| Other Expenses.10 | TELEPHONE $1349 |
| Other Expenses.11 | CLUB RENTAL EXPENSE $888 |
| Other Expenses.12 | MEMBERSHIP COMMITTEE $737 |
| Other Expenses.13 | OFFICERS EXPENSES $537 |
| Other Expenses.14 | BANK CHARGES $162 |
| Other Expenses.15 | MISCELLANEOUS $72 |
| Other Expenses.16 | SQUARE SERVICE FEE $12 |
| Other Assets.1002 | Furniture and Fixtures - Beginning $2748 Furniture and Fixtures - Ending $2748 |
| Total Liabilities.1 | PAYROLL LIABILITIES - Beginning $6835 PAYROLL LIABILITIES - Ending $621 |
| Total Liabilities.2 | SECURITY DEPOSITS - Beginning $545 SECURITY DEPOSITS - Ending $545 |
| Total Liabilities.3 | RENTAL DEPOSITS - Beginning $0 RENTAL DEPOSITS - Ending $1800 |
| Software ID: | 23017517 |
| Software Version: | 2023v5.1 |