| Return Reference | Explanation |
|---|---|
| FORM 990-EZ, PART I, LINE 4 - OTHER INVESTMENT INCOME | DESCRIPTION: INVESTMENT INCOME. AMOUNT: 201. |
| FORM 990-EZ, PART I, LINE 14 | DESCRIPTION: DEPRECIATION. AMOUNT: 1,967. |
| FORM 990-EZ, PART I, LINE 16 - OTHER EXPENSES | DESCRIPTION: WEBSITE MAINTENANCE. AMOUNT: 944. DESCRIPTION: BANK SERVICE CHARGES. AMOUNT: 70. DESCRIPTION: CREDIT CARD PROCESSING FEES. AMOUNT: 5,369. DESCRIPTION: INSURANCE. AMOUNT: 7,206. DESCRIPTION: DOWNHILL SKI PROGRAM. AMOUNT: 38,727. DESCRIPTION: SUMMER HIKING PROGRAM. AMOUNT: 930. DESCRIPTION: XC SKI PROGRAM. AMOUNT: 5,165. DESCRIPTION: BIKING PROGRAM. AMOUNT: 633. DESCRIPTION: SUBSIDIZED MEMBERSHIP EVENTS. AMOUNT: 35,447. DESCRIPTION: SPECIAL MEMBER TRIPS. AMOUNT: 75,222. DESCRIPTION: MEMBER NAME TAGS. AMOUNT: 1,963. DESCRIPTION: WE CARE PROGRAM. AMOUNT: 27. DESCRIPTION: SNOWSHOE PROGRAM. AMOUNT: 805. DESCRIPTION: COMPUTER SOFTWARE. AMOUNT: 430. DESCRIPTION: BUSINESS FILING FEES . AMOUNT: 10. DESCRIPTION: SAFETY EQUIPMENT. AMOUNT: 47. DESCRIPTION: POSTAGE AND DELIVERY. AMOUNT: 9. TOTAL TO FORM 990-EZ, LINE 16: 173,004. |
| FORM 990-EZ, PART II, LINE 24 - OTHER ASSETS | DESCRIPTION: PREPAID TRIP EXPENSES. BEG. OF YEAR AMOUNT: 8,050. END OF YEAR AMOUNT: 8,725. DESCRIPTION: GIFT CARD & NAME TAGS. BEG. OF YEAR AMOUNT: 1,592. END OF YEAR AMOUNT: 1,320. DESCRIPTION: RECEIVABLES. BEG. OF YEAR AMOUNT: 355. END OF YEAR AMOUNT: 677. DESCRIPTION: OTHER DEPRECIABLE ASSETS. BEG. OF YEAR AMOUNT: 11,956. END OF YEAR AMOUNT: 12,837. |
| FORM 990-EZ, PART II, LINE 26 - OTHER LIABILITIES | DESCRIPTION: MEMBER TRIP DEPOSITS HELD. BEG. OF YEAR AMOUNT: 37,264. END OF YEAR AMOUNT: 36,841. DESCRIPTION: PAYABLES. BEG. OF YEAR AMOUNT: 13,383. END OF YEAR AMOUNT: 1,737. |
| Software ID: | |
| Software Version: |