| Return Reference | Explanation |
|---|---|
| Description of other revenue Part I line 8 | Description AmountACCOUNTS RECEIVABLE 4,867INTEREST 3,337 |
| Description of other expenses Part I line 16 | Description AmountCHARGEBACK CHECK 234COMPUTER SUPPORT 750DUES AND SUBSCRIPTIONS 620DIRECTORS ALLOWANCE 1,500GRASS CUTTING 200INSURANCE 3,617OFFICE EXPENSE 738PAYROLL TAXES 1,731SALES TAX 764UTILITIES 4,425WATER PURCHASES 25,082WATER SUPPLIES 553CONTRACT LABOR 7,732WATER DEPOSIT REFUND 217AUDIT FEE 500ADVERTISING 364LICENSE AND PERMITS 555POSTAGE 1,463OTHER SUPPLIES 57TANK REPAIR 703 |
| Description of other assets Part II line 24 | Category Beginning of Year End of YearACCOUNTS RECEIVABLE 9,141 4,867WATER SYSTEM 300,290 313,528 |
| Description of total liabilities Part II line 26 | Category Beginning of Year End of YearMETER DEPOSITS 10,873 10,873ACCOUNTS PAYABLE 0 2,975ACCUMULATED DEPRECIATION 157,158 157,158 |
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