| Return Reference | Explanation |
|---|---|
| Part I, line 8 | | Other Revenues:, Amount:| Miscellaneous income-extra cash and receipts start-up cash for events, $937| |
| Part I, line 16 | | Other Expenses:, Amount:| Refunds, $395.00| Website and Software Fees and Merchant Fees, $8810.00| Office Supplies, $1465.00| Insurance expenses, $7423.00| Pool Supplies, $5811.00| Cleaning Supplies, $909.00| Lifeguard Swim Lessons Supplies, $346.00| Licenses Permits, $1202.00| Swim Team Expenses, $9109.00| Improvements, $6403.00| Lifeguard Training, $721.00| Misc-start up cash misc receipts, $1180.00| Concessions Supplies, $5182.00| Depreciation Expense, $989.00| Payroll Processing Fees, $2383.00| Sales Tax Return Tax Filing Fees, $1599.00| |
| Part I, line 20 | | Description:, Explanation:, Amount:| , Reconciliation adjustment related to historical balance sheet and net asset classifications, $-5594| |
| Part II, line 24 | | Asset Name:, BOY Amount:, EOY Amount:| Furniture & Equipment, $6874, $6875| Lifeguarding Equipment, $1528, $1187| |
| Part II, line 26 | | Liabilities Name:, BOY Amount:, EOY Amount:| Mortgages or other loans payable, $47246, $43372| |
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