| Return Reference | Explanation |
|---|---|
| FORM 990, PAGE 2, PART III, LINE 4D | PROVIDE SERVICES TO MEMBERS OF COUNTRY CLUB. |
| FORM 990, PAGE 6, PART VI, LINE 11B | FORM 990 PROVIDED TO BOARD OF DIRECTORS AT REGULAR MONTHLY MEETING FOR APPROVAL. |
| FORM 990, PAGE 6, PART VI, LINE 12C | MANAGEMENT MONITORS & ENFORCES CONFLICT OF INTEREST POLICY. |
| FORM 990, PAGE 6, PART VI, LINE 15A | THE SALARY OF THE GENERAL MANAGER ALONG WITH OTHER MANAGERS IS APPROVED BY THE BOARD OF DIRECTORS. |
| FORM 990, PAGE 6, PART VI, LINE 15B | THE SALARY OF THE GENERAL MANAGER ALONG WITH OTHER MANAGERS IS APPROVED BY THE BOARD OF DIRECTORS. |
| FORM 990, PAGE 6, PART VI, LINE 19 | NO DOCUMENTS AVAILABLE TO THE PUBLIC |
| FORM 990, PART IX, LINE 24E | LINENS 26,732 0 0 COURSE EQUIP REPAIRS 26,550 0 0 REST PAPER/PLASTIC 21,159 0 0 CHEMICALS 19,911 0 0 PHONE/INTERNET 18,515 0 0 COURSE OIL/GAS 17,308 0 0 CLUB ENTERTAINMENT 16,134 0 0 REAL ESTATE TAX 15,786 0 0 CREDIT CARD FEES 15,381 0 0 CLEANING 13,907 0 0 COURSE SUPPLIES 13,552 0 0 REST EQUIPMENT REPAIRS 13,219 0 0 PROFESSIONAL FEES 13,080 0 0 REST CLEANING SUPPLIES 11,771 0 0 POOL REPAIRS 10,473 0 0 TRAVEL 9,921 0 0 TOURNAMENT FEES 9,776 0 0 FERTILIZER - GREENS 9,299 0 0 OTHER EXPENSES 8,698 0 0 CLUB SUPPLIES 7,552 0 0 CLUB REPAIRS 7,472 0 0 IRRIGATION 6,984 0 0 POOL CHEMICALS 6,924 0 0 BAD DEBTS 6,413 0 0 EQUIPMENT RENTAL 5,386 0 0 REST SUPPLIES 5,115 0 0 SEED & SOD 5,000 0 0 SAND & SOIL 4,887 0 0 HOUSE DECOR 4,842 0 0 FERTILIZER 3,588 0 0 POOL SUPPLIES 3,298 0 0 PER PROPERTY TAX 3,135 0 0 POOL EQUIP REPAIRS 3,056 0 0 SMALL TOOLS 2,567 0 0 GOLF EQUIPMENT 2,563 0 0 CHINA, SILVER, GLASS 2,373 0 0 SECURITY 2,356 0 0 LICENSES 2,354 0 0 EDUCATION 2,300 0 0 COURSE AUTO 2,117 0 0 LANDSCAPING 1,968 0 0 UNIFORMS 1,830 0 0 TRASH REMOVAL 1,684 0 0 EQUIP RENTAL 1,303 0 0 PEST CONTRL 947 0 0 DUES & SUBSCRIPT 778 0 0 MISC COURSE 668 0 0 LAUNDRY 613 0 0 RESTURANT REPAIRS 531 0 0 BANK CHARGES 504 0 0 EMPLOYEE BENEFITS 479 0 0 HOUSE AUTO 423 0 0 POOL UNIFORMS 343 0 0 FEES 292 0 0 PAPER/PLASTIC 217 0 0 BUS MEALS 182 0 0 CONTRACT LABOR 181 0 0 MEMBERSHIP ACTIVITIES 173 0 0 CLUB CLEANING SUPPLIES 145 0 0 DECOR 119 0 0 COURSE TELEPHONE 101 0 0 TRAINING 91 0 0 MEMBER RELATIONS 69 0 0 MANAGERS EXPENSES 64 0 0 BUILDING RENTAL 54 0 0 CASH OVER/SHORT 30 0 0 GAS 20 0 0 TOTAL 395,263 0 0 |
| FORM 990, PART XI, LINE 9 | PRIOR YEAR BOOK/TAX DIFFERENCES 0 |
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| Software Version: |