| Return Reference | Explanation |
|---|---|
| FORM 990, PAGE 6, PART VI, LINE 6 | THERE ARE 423 MEMBERS, 187 OF WHOM OWN STOCK WITH VOTING RIGHTS |
| FORM 990, PAGE 6, PART VI, LINE 7A | STOCKHOLDING MEMBERS ELECT THE BOARD OF DIRECTORS. |
| FORM 990, PAGE 6, PART VI, LINE 7B | CERTAIN DECISIONS REQUIRE A VOTE OF THE STOCKHOLDERS. |
| FORM 990, PAGE 6, PART VI, LINE 11B | A DRAFT COPY WAS REVIEWED BY THE BOARD TREASURER THEN PRESENTED, DISCUSSED AND APPROVED AT A SPECIFIED BOARD MEETING. |
| FORM 990, PAGE 6, PART VI, LINE 12C | BOARD MEMBERS ABSTAIN FROM VOTING WHEN THERE IS A CONFLICT OF INTEREST. |
| FORM 990, PAGE 6, PART VI, LINE 15A | CONTRACT APPROVED BY BOARD OF DIRECTORS FOR GENERAL MANAGER. |
| FORM 990, PAGE 6, PART VI, LINE 19 | ALL DOCUMENTS REQUIRED TO BE MADE PUBLIC ARE AVAILABLE IN THE OFFICE FOR VIEWING DURING BUSINESS HOURS, COPIES ARE AVAILABLE FOR A NOMINAL FEE. |
| FORM 990, PART IX, LINE 24E | CHEMICALS/FERTILIZER/SPRA 37,128 0 0 OTHER PAYROLL EXPENSES 35,379 0 0 CREDIT CARD FEES 35,173 0 0 MEMBER RELATIONS 29,433 0 0 PAYROLL SERVICE CHARGES 26,984 0 0 LANDSCAPING/SEED/SOD 23,152 0 0 SUPPLIES 23,014 0 0 SWIMMING POOL CHEMICALS 21,838 0 0 R & M - MAINTENANCE 18,504 0 0 R & M - SWIMMING POOL 14,258 0 0 IRRIGATION REPAIRS 14,103 0 0 OTHER MAINTENANCE COSTS 12,948 0 0 TECHNICAL SUPPORT 11,411 0 0 LICENSES & FEES 10,304 0 0 FUEL/OIL 9,858 0 0 SUPPLIES FOR BAR 9,424 0 0 HANDICAP FEES 9,103 0 0 SECURITY 8,751 0 0 GOLF SHOP SUPPLIES 8,221 0 0 EQUIPMENT RENTAL 6,950 0 0 SUPPLIES 5,854 0 0 EQUIPMENT RENTAL 4,783 0 0 JANITORIAL SERVICES 4,722 0 0 DRIVING RANGE BALLS & SUP 3,850 0 0 OTHER MEMBERSHIP EXP 3,792 0 0 BUILDING R&M - MAINTENANC 3,646 0 0 EMPLOYEE RELATIONS 3,291 0 0 PENALTIES AND LATE FEES 3,269 0 0 BLDG REPAIRS 2,351 0 0 EQUIP REPAIRS 2,169 0 0 CASH OVER & SHORT 2,045 0 0 PEST CONTROL 1,977 0 0 UNIFORMS 1,842 0 0 GOLF LESSON EXPENSE 1,741 0 0 BAD DEBTS 1,219 0 0 OTHER GOLF SHOP EXPENSES 824 0 0 SMALL TOOLS 765 0 0 TAXES/LICENSES 625 0 0 DELIVERY FEES 436 0 0 OTHER SWIMMING POOL COSTS 372 0 0 TRAVEL 314 0 0 EMPLOYEE RELATIONS 281 0 0 BANK SERVICE CHARGES 107 0 0 DUES AND SUBSCRIPTIONS 51 0 0 DISCOUNTS EARNED -1,260 0 0 TOTAL 415,002 0 0 |
| FORM 990, PART XI, LINE 9 | STOCK PURCHASE BY NEW MEMBER 0 PRIOR PERIOD ADJUSTMENT 0 |
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