US Internal Revenue Service: p4162
US Internal Revenue Service: p4162
US Internal Revenue Service: p4162
And
IRS
Department of the Treasury
Internal Revenue Service
www.irs.gov
Publication 4162 (Rev. 2006)
Catalog Number 36146V
WHO MUST TEST?..............................................................................................3
WHY TEST? .........................................................................................................3
WHAT IS TESTED? .............................................................................................3
FORMATTING THE ENTITIES .........................................................................4
POPULATING DATA IN THE TEST CASES .......................................................4
PASSWORDS ......................................................................................................4
WHEN TO TEST...................................................................................................4
TESTING GUIDELINES FOR SOFTWARE DEVELOPERS ................................4
FEDERAL/STATE TESTING FOR FORMS 1120/1120S .....................................4
ELECTRONIC SIGNATURES ..............................................................................5
REVIEWING ACK FILES AND CORRECTING TESTS .......................................6
FINAL TRANSMISSION.......................................................................................6
COMMUNICATIONS TEST FOR THE e-file SYSTEM ........................................7
USING YOUR OWN TEST ...................................................................................7
EXHIBITS LISTINGS............................................................................................7
EXHIBIT 1 POSTAL SERVICE STATE ABBREVIATIONS AND ZIP CODES ....8
EXHIBIT 2 FOREIGN COUNTRY CODE TABLE...............................................10
EXHIBIT 3 VALID EIN AND NAME CONTROL TABLE ...................................14
EXHIBIT 4 TAX YEAR 2006 1120/1120S TEST SCENARIOS ..........................17
EXHIBIT 5 TAX YEAR 2006 7004 TEST SCENARIOS .....................................21
TAX YEAR 2006 1120/1120S TEST SCENARIOS ............................................17
TAX YEAR 2006 7004 TEST SCENARIOS .......................................................19
TAX YEAR 2006 1120/1120S TEST SCENARIO DATA....................................27
TAX YEAR 2006 7004 TEST SCENARIO DATA ...............................................45
2
1120/1120S ASSURANCE TESTING TAX YEAR 2006
(INCLUDING 7004)
For Large Taxpayers: Refer to the LMSB website below for additional
information.
(http://www.irs.gov/businesses/corporations/article/0,,id=146959,00.html
The transmitter must also register the system(s) that will be used to conduct
business with MeF to obtain a systemID. If a transmitter and system(s) are not
registered, the transmitter cannot access MeF for Fed/State processing.
WHY TEST?
The purpose of testing prior to live processing is to ensure that:
1. Filers transmit in the correct format and meet the Internal Revenue Service
(IRS) Modernized e-File (MeF) electronic filing specifications;
2. Returns have few validation or math errors;
3. IRS can receive and process the electronic returns;
4. Filers understand and are familiar with the mechanics of electronic filing.
WHAT IS TESTED?
The test package for the 2006 Assurance Testing System (ATS) consists of ten
(10) return scenarios for Forms 1120/1120S and five (5) for Form 7004. Software
Developers, who support clients that may file the new Form 1120L and 1120PC
returns as subsidiaries, need to develop their own test scenarios containing
these forms and submit them for testing. The e-Help Desk will also verify these
scenarios.
The test returns include a limited number of forms and schedules that are
accepted for electronic filing. Every conceivable condition cannot be represented
3
in the Test; therefore, once you pass the tests, you may want to test any
additional conditions you feel are appropriate as long as you use the predefined
EINs, Name Controls, Tax Period and Form types as outlined in Exhibits 4 and 5.
The scenarios provide the information needed to prepare the selected forms and
schedules. You must correctly prepare and compute these returns before
transmitting the tests. The IRS strongly recommends each return be run against
a parser prior to being transmitted to the IRS. The IRS will run each return
against a parser.
Also included are five (5) test scenarios for the Form 7004, Application for
Automatic 6- Month Extension of Time to File Certain Business Income Tax,
Information, and Other Returns that need to be completed and submitted for
approval. We have included additional EINs to accommodate all other form types
listed on the 7004 for which an extension can be filed. You may use these EINs
for testing if you want other form types.
Below are some XML resources regarding XML schemas and software tools and
parsers (these resources are provided for information only—the IRS is not
endorsing any product). You may chose any third party parser toolkit or use your
own.
• W3C XML Home Page: http://www.w3.org/XML/
• W3C XML Schema Home Page: http://www.w3.org/XML/Schema
• XML Spy: http://www.xmlspy.com/
• Apache Xerces parser toolkit: http://xml.apache.org/
• Microsoft Core XML Services: Download details: MSXML 4.0 Service Pack 2
(Microsoft XML Core Services)
http://msdn.microsoft.com/XML/XMLDownloads/
Test Scenario
Help For All, Inc.
31 Any Street
Anytown, MD 20901
XML Format
Help For All Inc (BusinessNameLine1Type)
31 Any St (StreetAddressType)
Anytown (CityType)
MD (StateType)
20901 (ZipCodeType)
PASSWORDS
New or revised applicants who will be transmitting to the IRS will receive an
eight-digit alphanumeric password that will be used for testing and production.
This password will be mailed to the applicants with instructions on how to
acknowledge receipt in order to activate. You will change your password then
you log in for the first time after your password has been received. It will be valid
at the beginning of ATS, which will begin October 30, 2006. If testing will be done
through the Internet, applicants will choose their passwords during On-Line
Registration.
WHEN TO TEST
When you are ready to test call the e-Help Desk at 1-866-255-0654. They will
assist you in all preparations necessary to begin testing that includes assigning
you a Software ID to use when submitting your returns.
ELECTRONIC SIGNATURES
Tax Professionals who file 1120/1120S have two options of filing a totally
paperless return for their clients using the Practitioner PIN method or the
Scanned Form 8453 method. The selected signature option must be identified in
the Return Header. Tax Professionals who file 7004 have one option of filing
using the Practitioner PIN method. MeF validates that a signature is present for
each return. If the taxpayer uses a PIN to sign the return, all appropriate PIN
information must be present in the return header. If the taxpayer elects to sign a
Form 8453x, the scanned 8453x must be attached to the return. If the electronic
return does not contain the required signatures, it will be rejected. Large
taxpayers filing their own return must use the Scanned 8453x option.
5
• Practitioner PIN
The Practitioner PIN option can only be used if the taxpayer uses an ERO.
It cannot be used if a taxpayer is filing through an On-Line Provider. If the
signature option of “PIN Number” is chosen, the taxpayer and ERO will be
required to sign the return with a personal identification number (PIN). The
Practitioner PIN option consists of two PINs – one for the taxpayer and
one for the Practitioner.
1. Taxpayer PIN – The taxpayer chooses the PIN that they wish to use
to sign their return. The Taxpayer’s PIN must be 5 numeric
characters and cannot contain all zeros.
The taxpayer must decide whether they want to enter their own PIN or
whether they authorize the ERO to enter the PIN they choose as their
signature. This authorization is made on Form 8879-C or 8879-S.
The following fields are required for the Practitioner PIN method or the
return will be rejected.
• Practitioner PIN
• PIN Entered By Indicator
• Name of Officer
• Title of Officer
• Taxpayer PIN
• Date Signed
Please note that the Modernized e-File (MeF) Assurance Testing System (ATS)
is not configured exactly the same as the MeF Production system. Therefore,
6
a tester should not expect the same response time when testing in the ATS
environment versus the Production environment (especially
regarding performance or load testing -- this includes testing a single extremely
large return in one transmission, a lot of large returns in one transmission, or a
large number of concurrent transmissions.
If you will be transmitting through the Internet, you will need to perform the
communications test through the Internet.
If you will be transmitting through A2A, you will need to perform the
communications test through A2A. If you will be transmitting through all portals,
EMS, Internet, and A2A, communications tests must be performed through all
systems.
Large Taxpayer’s filing their own returns must perform a communications test
through the Internet Filing Application (IFA) prior to submitting their return to
production if this is the first year they are participating in corporate e-file. When
registering and applying as a Large Taxpayer always request a “Test ETIN” and
a “Production ETIN” so that you can test from year to year. Refer to the IRS e-file
for Large Taxpayers Filing their Own Corporate Income Tax Return posted on
the irs.gov website at
http://www/irs.gov/businesses/corporations/article/0,,id=146959,00.html for more
information.
7
A Software Developer, who will not transmit, need not perform a
communications test.
Please contact the 1120 mailbox at [email protected] for any comments or updates
needed to this document
EXHIBITS
The following exhibits are provided at the end of this document:
EXHIBIT 1
VALID ZIP CODES
Alabama AL 350nn-369nn
Alaska AK 995nn-999nn
Arizona AZ 850nn-865nn
Arkansas AR 716nn-729nn, 75502
California CA 900nn-908nn, 910nn-961nn
Colorado CO 800nn-816nn
Connecticut CT 060nn-069nn
Delaware DE 197nn-199nn
District of Columbia DC 200nn-205nn
Florida FL 320nn-339nn, 341nn, 342nn,
8
344nn, 346nn, 347nn, 349nn
Georgia GA 300nn-319nn, 39815, 39834, 399nn
Hawaii HI 967nn, 968nn
Idaho ID 832nn-838nn
Illinois IL 600nn-629nn
Indiana IN 460nn-479nn
Iowa IA 500nn-528nn
Kansas KS 660nn-679nn
Kentucky KY 400nn-427nn, 45275
Louisiana LA 700nn-714nn, 71749
Maine ME 03801, 039nn-049nn
Maryland MD 20331, 206nn-219nn
Massachusetts MA 010nn-027nn, 055nn
Michigan MI 480nn-499nn
Minnesota MN 550nn-567nn
Mississippi MS 386nn-397nn
Missouri MO 630nn-658nn
Montana MT 590nn-599nn
Nebraska NE 680nn-693nn
Nevada NV 889nn-898nn
New Hampshire NH 030nn-038nn
New Jersey NJ 070nn-089nn
New Mexico NM 870nn-884nn
New York NY 004nn, 005nn, 06390, 100nn-149nn
North Carolina NC 270nn-289nn
North Dakota ND 580nn-588nn
Ohio OH 430nn-459nn
Oklahoma OK 730nn-732nn, 734nn-749nn
Oregon OR 970nn-979nn
Pennsylvania PA 150nn-196nn
Rhode Island RI 028nn, 029nn
South Carolina SC 290nn-299nn
South Dakota SD 570nn-577nn
Tennessee TN 370nn-385nn
Texas TX 733nn, 73949, 750nn-799nn
Utah UT 840nn-847nn
Vermont VT 050nn-054nn, 056nn-059nn
Virginia VA 20041,201nn, 20301,20370,
220nn-246nn
Washington WA 980nn-986nn, 988nn-994nn
West Virginia WV 247nn-268nn
Wisconsin WI 49936, 530nn-549nn
Wyoming WY 820nn-831nn
9
STANDARD POSTAL SERVICE STATE ABBREVIATIONS AND ZIP CODES FOR
U.S.POSSESSIONS
Form 1120 and 1120S returns with addresses in the American Possessions are
considered to have domestic addresses for processing purposes. The corporate return
filer address (1120/1120S) must contain a state abbreviation to be treated as (and
processed in Philadelphia) an American Possession.
10
EXHIBIT 2
FOREIGN COUNTRY CODES
13
EXHIBIT 2
FOREIGN COUNTRY CODES
(Continued)
14
EXHIBIT 3
VALID EINS AND NAME CONTROLS
Table 1
15
EXHIBIT 3
VALID EINS AND NAME CONTROLS
(Continued)
Table 2
Form 7004
16
EXHIBIT 3
VALID EINS AND NAME CONTROLS
(Continued)
Table 3
Other Forms
EIN Name Control
11-0000011 ELEC
001-06-0001 DESI
001-06-0002 BOOK
001-06-0003 CALV
001-06-0004 HOBB
001-06-0005 SALE
001-06-0006 ORTI
001-06-0007 TAXM
001-06-0008 EXEM
001-06-0009 CLEA
001-06-0010 STAI
001-06-0013 LIFT
001-06-0014 TRIM
001-06-0016 DOE
001-06-0017 DOE
001-06-0018 DOE
001-06-0019 FUEL
999-06-0016 DOE
999-06-0017 DOE
999-06-0018 DOE
999-06-0002 BOOK
999-06-0041 DUDO
999-06-0005 SALE
999-06-0042 WIND
17
EXHIBIT 4
TAX YEAR 2006 1120/1120S TEST SCENARIOS
1. 1120, Sch M-3, 4626, Sch D, 3800, 4562, 5884, 6765, 8594, 8861, 8881,
8882, 8453-C
ItemizedOtherIncomeSchedule
ItemizedOtherDeductionsSchedule
ItemizedAdditionalSection263AcostsSchedule
ItemizedOtherCostsSchedule
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentsSchedule
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedOtherLiabilitiesSchedule
ItemizedOtherIncreasesSchedule
ItemizedOtherDecreasesSchedule
OtherExpensesDeductionItemsWithDifferencesSchedule
2. 1120, Sch M-3, Sch N, 851, Sch D, 1122, 4562, 4626, 4797, 5471(3),
5471 Sch J(3), 5471 Sch M(2), 5471 Sch O (1), 8827, 8050
ItemizedOtherIncomeSchedule
ItemizedOtherDeductionsSchedule
ItemizedAdditionalSection263ACostsSchedule
ItemizedOtherCostsSchedule
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentsSchedule
ItemizedOtherAssetsSchedule
ItemizedOtherDeductionsSchedule2
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedOtherLiabilitiesSchedule
ItemizedScheduleofOtherIncreases
PartnershipInterestSchedule
OtherIncomeLossItemsWithDifferencesSchedule
OtherExpenseDeductionItemsWithDifferencesSchedule
OtherIncomeLossItemsWithDifferencesSchedule
OtherExpenseDeductionItemsWithDifferencesSchedule
18
EXHIBIT 4
TAX YEAR 2006 1120/1120S TEST SCENARIOS
(Continued)
ItemizedOtherCostsSchedule
AnyoneOwned50PctOfCorpVotingStockStatement
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedIncomeNotRecordedOnBooksSchedule
ItemizedOtherDecreasesSchedule
ItemizedOtherIncomeSchedule2
ItemizedOtherDeductionsSchedule
ItemizedOtherCostsSchedule
AnyoneOwned50PctOf”CorpVotingStockStatement
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherAssetsSchedule
ExchangeRateSchedule (2)
5. 1120, Sch N, Sch M-3, 926, 1118, 1118 Sch J, 5471, 5471 Sch J, 5471
Sch M, 5471 Sch O, 8832, 8858
ItemizedOtherIncomeSchedule
Owned50PercentVotingStockOfDomesticCorpStatement
AnyoneOwned50PctOfCorpVotingStockStatement
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentsSchedule
ItemizedOtherDeductionsSchedule2
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentSchedule
ItemizedOtherCurrentLiabilitiesStmt
OtherLiabilitiesStatement
EarningsAndProfitsOtherAdjStmt
OtherIncomeLossItemsWithDifferencesSchedule
OtherExpenseDeductionItemsWithDifferencesSchedule
19
EXHIBIT 4
TAX YEAR 2006 1120/1120S TEST SCENARIOS
(Continued)
ItemizedOtherIncomeLossSchedule2
ItemizedOtherDeductionsSchedule2
ItemizedOtherCostsSchedule
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentSchedule
ItemizedOtherAssetsSchedule
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedIncomeNotRecordedonBooksSchedule2
ItemizedDeductionsNotChargedAgainstBooksSchedule2
AccumulatedAdjustmentsAccountOtherAdditionsSchedule
AccumulatedAdjustmentsAccountOtherReductionsSchedule
DispositionOfPropWithSect179DeductionsStatement (2)
ItemizedOtherDeductionsSchedule2
ItemizedOtherCostsSchedule
ItemizedOtherDeductionsSchedule3
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherAssetsSchedule
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedExpensesRecordedOnBooksSchedule2
AccumulatedAdjustmentsAccountOtherAdditionsSchedule
AccumulatedAdjustmentsAccountOtherReductionsSchedule
8. 1120S, Sch D (1120S), 4562, 4797, 8082, 8283, 8825, 8881, Sch K-1 (2)
ItemizedOtherIncomeSchedule2
ItemizedOtherDeductionsSchedule2(1)
ItemizedOtherCostsSchedule
CharitableContributionSchedule
ItemizedOtherCreditsSchedule
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedIncomeNotRecordedOnBooksSchedule2
ItemizedExpensesRecordedOnBooksSchedule2
ItemizedDeductionsNotChargedAgainstBooksSchedule2
FairMarketValueStatement
QualifiedConservationContributionStmt.
20
DispositionOfPropWithSect179DeductionsStatement (2)
9. 1120S, Sch M-3, Sch N (1120), 4562, 5471, Sch J (5471), Sch M (5471),
5472, 8916-A (Attach in PDF until schema is published), Sch K-1
ItemizedOtherIncomeSchedule2
ItemizedOtherDeductionSchedule2 (2)
ItemizedOtherCostsSchedule
CharitableContributionSchedule
ItemizedOtherDeductionsSchedule3
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentsSchedule
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedOtherLiabilitiesSchedule
USDividendsNotEliminatedInTaxConsolidationSchedule
PartnershipInterestSchedule
OtherExpenseDeductionItemsWithDifferencesSchedule
10. 1120S, Sch M-3 (1120S), 4562, 4797, 8865, Sch O (8865), Sch K-1
(8865), Sch K-1, 8916-A (Attach in PDF until schema is published)
ItemizedOtherIncomeSchedule2
ItemizedOtherDeductionSchedule2
ItemizedOtherCostsSchedule
CharitableContributionsSchedule
ItemizedOtherDeductionsSchedule3
ItemizedOtherCurrentAssetsSchedule(2)
ItemizedOtherInvestmentsSchedule
ItemizedOtherAssetsSchedule(2)
ItemizedOtherCurrentLiabilitiesSchedule(2)
ItemizedOtherLiabilitiesSchedule(2)
PartnershipInterestSchedule(2)
OtherExpenseDeductionItemsWithDifferencesSchedule
ItemizedOtherIncomeLossSchedule
ItemizedOtherIncreasesSchedule2
21
EXHIBIT 5
TAX YEAR 2006
7004 TEST SCENARIOS
1. Form: 1120S
2. Form 1120
3. Form 1120-FSC
22
EXHIBIT 5
TAX YEAR 2006
7004 TEST SCENARIOS
(Continued)
4. Form 1065
5. Form 1120C
Form 990C
---------------------------------------------------------------------------------------------------------------------
Form 1120
---------------------------------------------------------------------------------------------------------------------
23
Name Control: FRUI
Form 1120A
Form 1120F
Second Foreign Corporation 11-0000042
7 Pickle Circus
Londontown, England
24
Form 1120ND
25
Form 706-GS(D)
26
Form 8804
27
Help For All, Inc. 11-0000001
TEST SCENARIO 1
FORMS REQUIRED: 1120, Sch M-3, 4626, Sch D, 3800, 4562, 5884, 6765, 8594, 8861, 8881,
8882, 8453-C
ATTACHMENTS:
ItemizedOtherIncomeSchedule
ItemizedOtherDeductionsSchedule
ItemizedAdditionalSection263ACostsSchedule
ItemizedOtherCostsSchedule
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentsSchedule
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedOtherLiabilitiesSchedule
ItemizedOtherIncreasesSchedule
ItemizedOtherDecreasesSchedule
OtherExpensesDeductionItemsWithDifferencesSchedule
HEADER INFO:
MultipleSoftwarePackagesUsed: Yes or No
DateSigned: 01/25/07
Attachment 3, Form 1120, Page 2, Sch A, Line 4, Additional section 263A costs
(ItemizedAdditionalSection263ACostsSchedule)
29
Help For All, Inc. 11-0000001
Attachment 7, Form 1120, Page 4, Sch L, Line 18, Other current liabilities
(ItemizedOtherCurrentLiabilitiesSchedule)
Beginning Ending
Beginning Ending
Attachment 10, Form 1120, Page 4, Sch M-2, Line 6, Other decreases
(ItemizedOtherDecreasesSchedule)
30
Help For All, Inc. 11-0000001
Attachment 11, Schedule M-3 (Form 1120), Page 3, Part III, Line 35, Other Expense Items
with Differences
(OtherExpensesDeductionItemsWithDifferencesSchedule)
a b c d
Deduction
Expense per Temporary Permanent per
Income Stmt Difference Difference Tax Return
31
Help For All, Inc. 11-0000001
33
Help For All, Inc. 11-0000001
36
Help For All, Inc. 11-0000001
38
Help For All, Inc. 11-0000001
39
Help For All, Inc. 11-0000001
40
Help For All, Inc. 11-0000001
41
Help For All, Inc. 11-0000001
43
Help For All, Inc. 11-0000001
44
Help For All, Inc. 11-0000001
45
Help For All, Inc. 11-0000001
46
Help For All, Inc. 11-0000001
47
Help For All, Inc. 11-0000001
48
Help For All, Inc. 11-0000001
49
Help For All, Inc. 11-0000001
50
Help For All, Inc. 11-0000001
51
Help For All, Inc. 11-0000001
Form 8881 Test 1 Credit for Small Employer Pension Plan Startup 2006
Costs
Name: Help For All, Inc.
EIN: 11-0000001
Line Description Line Amount Write-in / Literal / Attachments
Part I Current Year Credit
1 Qualified startup cost during TY 1,000
2 Enter ½ of line 1 500
F8881 credits from pass-thru
3 entities
4 Add lines 2 and 3 500
5 Current year credit 500
52
Help For All, Inc. 11-0000001
53
Help For All, Inc. 11-0000001
54
Hide ‘N Such, Inc. 11-0000002
TEST SCENARIO 2
FORMS REQUIRED: 1120, Sch O (1120), Sch M-3 (1120) (4) Sch N, 851, Sch D (4), 1122, 4562 (4), 4626,
4797 (3), 5471 (3), 5471 Sch J (3), 5471 Sch M (2), 5471 Sch O, 8827, 8050
ATTACHMENTS:
ItemizedOtherIncomeSchedule
ItemizedOtherDeductionsSchedule
ItemizedAdditionalSection263ACostsSchedule
ItemizedOtherCostsSchedule
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentsSchedule
ItemizedOtherAssetsSchedule
ItemizedOtherDeductionsSchedule2
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedOtherLiabilitiesSchedule
ItemizedOtherIncreasesSchedule
PartnershipInterestSchedule
OtherIncomeLossItemsWithDifferencesSchedule
OtherExpenseDeductionItemsWithDifferencesSchedule
OtherIncomeLossItemsWithDifferencesSchedule
OtherExpenseDeductionItemsWithDifferencesSchedule
Category3FilerStatement
HEADER INFO:
MultipleSoftwarePackagesUsed: Yes or No
55
Hide ‘N Such, Inc. 11-0000002
1120 Page 1
Consolidated Hide 'N The Greek Acme
Schedules Total Such, Inc.. Playhouse Foods Corp
56
Hide ‘N Such, Inc. 11-0000002
NOTE: PLEASE DO NOT ENTER THE ZEROS INTO THE ELEMENTS IN THE SCHEMA. THIS
IS JUST TO SHOW YOU THE CONSOLIDATION
57
Hide ‘N Such, Inc. 11-0000002
domestic corporation
4. Certain Prefd stock of public
util at 42% 0 0 0 0
5. Certain prefd stock of public
util at 48% 0 0 0 0
6. Less than 20% owned
foreign corps at 70% 0 0 0 0
7. 20% or more owned foreign
corps at 80% 0 0 0 0
8. Wholly owned foreign
subsidiaries sec 245b 0 0 0 0
10. Domes. Corps received by
small bus. Investment 0 0 0 0
11. Certain FSC's subject to
100% Sec 245c1 0 0 0 0
12. Affiliated Groups subject to
100% Sec 263a3 0 0 0 0
13. Other dividends from
foreign corporations 0 0 0
14. Income from controlled
foreign corps sub-part F 2,304,041 2,304,041 0 0
15. Foreign Dividend Gross-up
Sec. 78 0 0 0
16. IC-DISC or former disc
dividends sec 246d 0 0 0 0
17. Other dividends 0 0 0 0
19. TOTAL Dividends 2,304,041 2,304,041 0 0
Schedule C-Special
Deductions Col C
1. Less than 20% owned
domestic corps at 70% 0 0 0 0
2. 20% or more owned
domestic corps at 80% 0 0 0 0
3. Debt financed stock of
domestic corporation 0 0 0 0
4. Certain Prefd stock of public
util at 42% 0 0 0 0
5. Certain prefd stock of public
util at 48% 0 0 0 0
6. Less than 20% owned
foreign corps at 70% 0 0 0 0
7. 20% or more owned foreign
corps at 80% 0 0 0 0
8. Wholly owned foreign
subsidiaries sec 245b 0 0 0 0
9. TOTAL Add lines 1-8 0 0 0 0
10. Domes. Corps received by
small bus. Investment 0 0 0 0
11. Certain FSC's subject to
100% Sec 245c1 0 0 0 0
12. Affiliated Groups subject to
100% Sec 263a3 0 0 0 0
17. Other dividends 0 0 0 0
18. Deduction for certain Pfd
stock of pub utility 0 0 0 0
20. TOTAL Special Deductions 0 0 0 0
58
Hide ‘N Such, Inc. 11-0000002
ASSETS
Case & Cash Accounts 1,400,129 1,007,632 1,000 391,497
Trade Notes & Accts Rec 67,505,582 61,338,984 42,165 6,124,433
Less allow for bad debts -3,565,083 -3,456,187 0 -108,896
Inventories 96,446,105 91,068,584 54,176 5,323,345
Other Current Assets 58,184,400 43,419,099 1,522,051 13,243,250
Other Investments 391,810,173 215,395,809 2,629,421 173,784,943
Depreciable assets 165,666,792 149,325,880 4,019,637 12,321,275
Less accumulated
depreciation -114,027,850 -107,763,377 -3,867,420 -2,397,053
Depletable assets
Less accumulated depletion
Land 3,046,857 2,866,974 179,883 0
Intangible assets 9,649,921 217,580 0 9,432,341
Less accumulated
amortization -5,122,236 -217,580 0 -4,904,656
Other assets 25,320,662 147,597,496 28,107,508 -150,384,342
TOTAL 696,315,452 600,800,894 32,688,421 62,826,137
59
Hide ‘N Such, Inc. 11-0000002
ASSETS
Case & Cash Accounts -1,084,483 -656,358 212,850 -640,975
Trade Notes & Accts Rec 88,009,947 77,847,052 259,054 9,903,841
Less allow for bad debts -3,429,116 -3,257,116 -25,000 -147,000
Inventories 131,237,456 122,533,781 60,505 8,643,170
Other Current Assets 17,472,554 43,204,385 91,179 -25,823,010
Other Investments 500,835,921 238,370,653 9,960,169 252,505,099
Depreciable assets 191,729,290 171,069,482 4,020,785 16,639,023
Less accumulated
depreciation -117,663,548 -110,024,100 -3,875,213 -3,764,235
Depletable assets
Less accumulated depletion
Land 3,058,582 2,878,699 179,883 0
Intangible assets 17,146,830 6,776,830 0 10,370,000
Less accumulated
amortization -6,175,345 -713,960 0 -5,461,385
Other assets 39,650,087 206,170,017 36,839,838 -203,359,768
Total 860,788,175 754,199,365 47,724,050 58,864,760
60
Hide ‘N Such, Inc. 11-0000002
61
Hide ‘N Such, Inc. 11-0000002
62
Hide ‘N Such, Inc. 11-0000002
63
Hide ‘N Such, Inc. 11-0000002
Line Amount
16 Managerial Services 1,448,935
Attachment 12 Form 5471 attachment, Sch F, Line 12, Other Assets ((ItemizedOtherAssetsSchedule)
Foreign Corporation #1
Line Amount
12a Intercompany Receivable 17,793,000
12b Intercompany Receivable 17,793,000
Line Amount
12a Intercompany Receivable 4,000,000
12b Intercompany Receivable 4,000,000
64
Hide ‘N Such, Inc. 11-0000002
Attachment 14, Schedule M-3 (Consolidated), Part II, Line 9, Income (Loss) from US Partnership
(PartnershipInterestSchedule)
65
Hide ‘N Such, Inc. 11-0000002
TOTAL ACME
Income Loss Per Income Statement 59,338,000
Temporary Difference (8,920,870)
Permanent Difference 0
Income Loss Per Tax Return 50,417,130
Attachment 15, Schedule M-3 (Consolidated), Part II, Line 25, Other Income (Loss) with Differences
(OtherIncomeLossItemsWithDifferencesSchedule)
Attachment 16, Schedule M-3 (Consolidated), Part III, Line 35, Other Expenses with Differences
(OtherExpenseDeductionItemsWithDifferencesSchedule)
Attachment 17, Schedule M-3 (Hide ‘N Such, Inc), Part II, Line 25, Other Income (Loss) with Differences
(OtherIncomeLossItemsWithDifferencesSchedule)
66
Hide ‘N Such, Inc. 11-0000002
Attachment 18, Schedule M-3 (Hide ‘N Such, Inc), Part III, Line 35, Other Expenses with Differences
(OtherExpenseDeductionItemsWithDifferencesSchedule)
Temporary Permanent
Per Books Differences Differences Per Return
Attachment 19, Schedule M-3 (Acme Foods), Part II, Line 25, Other Income (Loss) with Differences
(OtherIncomeLossItemsWithDifferencesSchedule)
Attachment 20, Schedule M-3 (Acme Foods), Part III, Line 35, Other Expenses with Differences
(OtherExpenseDeductionItemsWithDifferencesSchedule)
Attachment 21, Schedule M-3 (Greek Playhouse), Part II, Line 25, Other Income (Loss) with Differences
(OtherIncomeLossItemsWithDifferencesSchedule)
67
Hide ‘N Such, Inc. 11-0000002
Attachment 22, Schedule M-3 (Greek Playhouse), Part III, Line 35, Other Expenses with Differences
(OtherExpenseDeductionItemsWithDifferencesSchedule)
Attachment 23, Form 5471 (Foreign Corp #3), Box B, Category of filer checkboxes
(Category3FilerStatement)
Amount of indebtedness Foreign Corporation #3 has no indebtedness with any related party
Type of indebtedness New acquisition
Name Hide’N Such Foods, Inc.
Address 32 Any Street, Anytown, TX 78621
Identifying Number 11-0000002
Number of shares 640
68
Hide ‘N Such, Inc. 11-0000002
69
Hide ‘N Such, Inc. 11-0000002
70
Hide ‘N Such, Inc. 11-0000002
71
Hide ‘N Such, Inc. 11-0000002
72
Hide ‘N Such, Inc. 11-0000002
73
Hide ‘N Such, Inc. 11-0000002
74
Hide ‘N Such, Inc. 11-0000002
75
Hide ‘N Such, Inc. 11-0000002
76
Hide ‘N Such, Inc. 11-0000002
77
Hide ‘N Such, Inc. 11-0000002
78
Hide ‘N Such, Inc. 11-0000002
79
Hide ‘N Such, Inc. 11-0000002
80
Hide ‘N Such, Inc. 11-0000002
81
Hide ‘N Such, Inc. 11-0000002
82
Hide ‘N Such, Inc. 11-0000002
83
Hide ‘N Such, Inc. 11-0000002
84
Hide ‘N Such, Inc. 11-0000002
85
Hide ‘N Such, Inc. 11-0000002
86
Hide ‘N Such, Inc. 11-0000002
87
Hide ‘N Such, Inc. 11-0000002
88
Hide ‘N Such, Inc. 11-0000002
89
Hide ‘N Such, Inc. 11-0000002
90
Hide ‘N Such, Inc. 11-0000002
91
Hide ‘N Such, Inc. 11-0000002
92
Hide ‘N Such, Inc. 11-0000002
93
Hide ‘N Such, Inc. 11-0000002
94
Hide ‘N Such, Inc. 11-0000002
95
Hide ‘N Such, Inc. 11-0000002
96
Hide ‘N Such, Inc. 11-0000002
97
Hide ‘N Such, Inc. 11-0000002
98
Hide ‘N Such, Inc. 11-0000002
99
Hide ‘N Such, Inc. 11-0000002
100
Hide ‘N Such, Inc. 11-0000002
101
Hide ‘N Such, Inc. 11-0000002
102
Hide ‘N Such, Inc. 11-0000002
103
Hide ‘N Such, Inc. 11-0000002
104
Hide ‘N Such, Inc. 11-0000002
105
Hide ‘N Such, Inc. 11-0000002
106
Hide ‘N Such, Inc. 11-0000002
107
Hide ‘N Such, Inc. 11-0000002
108
Hide ‘N Such, Inc. 11-0000002
109
Hide ‘N Such, Inc. 11-0000002
110
Hide ‘N Such, Inc. 11-0000002
111
Hide ‘N Such, Inc. 11-0000002
112
Hide ‘N Such, Inc. 11-0000002
113
Hide ‘N Such, Inc. 11-0000002
114
Hide ‘N Such, Inc. 11-0000002
115
Hide ‘N Such, Inc. 11-0000002
116
Hide ‘N Such, Inc. 11-0000002
117
Hide ‘N Such, Inc. 11-0000002
118
Hide ‘N Such, Inc. 11-0000002
119
Hide ‘N Such, Inc. 11-0000002
120
Hide ‘N Such, Inc. 11-0000002
121
Hide ‘N Such, Inc. 11-0000002
122
Hide ‘N Such, Inc. 11-0000002
123
Hide ‘N Such, Inc. 11-0000002
124
Hide ‘N Such, Inc. 11-0000002
125
Hide ‘N Such, Inc. 11-0000002
126
Hide ‘N Such, Inc. 11-0000002
127
Hide ‘N Such, Inc. 11-0000002
128
Hide ‘N Such, Inc. 11-0000002
129
Hide ‘N Such, Inc. 11-0000002
130
Hide ‘N Such, Inc. 11-0000002
131
Hide ‘N Such, Inc. 11-0000002
132
Hide ‘N Such, Inc. 11-0000002
133
Hide ‘N Such, Inc. 11-0000002
134
Hide ‘N Such, Inc. 11-0000002
135
Hide ‘N Such, Inc. 11-0000002
136
Hide ‘N Such, Inc. 11-0000002
137
Hide ‘N Such, Inc. 11-0000002
138
Hide ‘N Such, Inc. 11-0000002
Hide ‘N Such,
Inc
Shareholder
Company #1
139
Hide ‘N Such, Inc. 11-0000002
140
Anywhere Telecommunications, Inc. 11-0000003
TEST SCENARIO 3
FORMS REQUIRED: 1120, Sch D, 4626, 4797, 4562, 6198, 8275, 8453-C
ATTACHMENTS:
ItemizedOtherCostsSchedule
AnyoneOwned50PctOfCorpVotingStockStatement
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedIncomeNotRecordedOnBooksSchedule
ItemizedOtherDecreasesSchedule
HEADER INFO:
MultipleSoftwarePackagesUsed: Yes or No
141
Anywhere Telecommunications, Inc. 11-0000003
Attachment 2, Form 1120, Page 3, Sch K, Line 5, 50% or More of Voting Stock
(AnyoneOwned50PctOfCorpVotingStockStatement)
Name: Counselor #1
Employer ID: 11-0000014
Attachment 3, Form 1120, Page 4, Sch L, Line 18, Other Current Liabilities
(ItemizedOtherCurrentLiabilitiesSchedule)
Beginning Ending
Accrued Benefits 146,300 2,844
Miscellaneous 1,173,504 1,253,703
Total 1,319,804 1,256,547
Attachment 4, Form 1120, Page 4, Sch M-1, Line 4, Itemized Schedule of Income Not
Recorded on Books
(ItemizedIncomeNotRecordedOnBooksSchedule)
142
Anywhere Telecommunications, Inc. 11-0000003
143
Anywhere Telecommunications, Inc. 11-0000003
144
Anywhere Telecommunications, Inc. 11-0000003
145
Anywhere Telecommunications, Inc. 11-0000003
146
Anywhere Telecommunications, Inc. 11-0000003
147
Anywhere Telecommunications, Inc. 11-0000003
148
Anywhere Telecommunications, Inc. 11-0000003
149
Anywhere Telecommunications, Inc. 11-0000003
150
Anywhere Telecommunications, Inc. 11-0000003
42 Amort of costs
during 2006 TY
43 Amort of costs
before 2006 TY
44 Total
151
Anywhere Telecommunications, Inc. 11-0000003
152
Anywhere Telecommunications, Inc. 11-0000003
153
Anywhere Telecommunications, Inc. 11-0000003
154
Anywhere Telecommunications, Inc. 11-0000003
155
Anywhere Telecommunications, Inc. 11-0000003
156
Anywhere Telecommunications, Inc. 11-0000003
157
Mail Order Trinkets, Inc. 11-0000004
TEST SCENARIO 4
ATTACHMENTS:
ItemizedOtherIncomeSchedule
ItemizedOtherDeductionsSchedule
ItemizedOtherCostsSchedule
AnyoneOwned50PctOf”CorpVotingStockStatement
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherAssetsSchedule
ExchangeRateSchedule (2)
HEADER INFO:
MultipleSoftwarePackagesUsed: Yes or No
158
Mail Order Trinkets, Inc. 11-0000004
Total 156,105
Total 422,389
Attachment 4, Form 1120, Page 3, Sch K, Line 5, 50% or More of Voting Stock
(AnyoneOwned50PctOfCorpVotingStockStatement)
Beginning Ending
Advance Payment on Novelty Sales 103,040 0
Total 103,040 0
159
Mail Order Trinkets, Inc. 11-0000004
Beginning Ending
Novelty Reserves 7,174 6,895
Total 7,174 6,895
160
Mail Order Trinkets, Inc. 11-0000004
161
Mail Order Trinkets, Inc. 11-0000004
162
Mail Order Trinkets, Inc. 11-0000004
163
Mail Order Trinkets, Inc. 11-0000004
164
Mail Order Trinkets, Inc. 11-0000004
165
Mail Order Trinkets, Inc. 11-0000004
166
Mail Order Trinkets, Inc. 11-0000004
167
Mail Order Trinkets, Inc. 11-0000004
42 Amort of costs
during 2006 TY
43 Amort of costs
before 2006 TY
44 Total
168
Mail Order Trinkets, Inc. 11-0000004
169
Mail Order Trinkets, Inc. 11-0000004
170
Mail Order Trinkets, Inc. 11-0000004
171
Mail Order Trinkets, Inc. 11-0000004
172
Mail Order Trinkets, Inc. 11-0000004
173
Mail Order Trinkets, Inc. 11-0000004
174
Mail Order Trinkets, Inc. 11-0000004
175
International Finance Incorporated 11-0000005
TEST SCENARIO 5
FORMS REQUIRED: 1120, Sch N (1120), Schedule M-3 (1120) 926, 1118, 1118 Sch J,
5471, 5471 Sch J, 5471 Sch M, 5471 Sch O, 8832, 8858
ATTACHMENTS:
ItemizedOtherIncomeSchedule
Owned50PercentVotingStockOfDomesticCorpStatement
AnyoneOwned50PctOfCorpVotingStockStatement
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentsSchedule
ItemizedOtherDeductionsSchedule2
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentSchedule
ItemizedOtherCurrentLiabilitiesStmt
OtherLiabilitiesStatement
EarningsAndProfitsOtherAdjStmt
OtherIncomeLossItemsWithDifferencesSchedule
OtherExpenseDeductionItemsWithDifferencesSchedule
Post1986UndistributedEarningsSchedule
Category3FilerStatement
HEADER INFO:
MultipleSoftwarePackagesUsed: Yes or No
176
International Finance Incorporated 11-0000005
177
International Finance Incorporated 11-0000005
Beginning Ending
Investments in Subsidiaries 139,197,191 250,072,971
Attachment 6, Form M-3, Line 26, Other Income (Loss) Items With Differences
(OtherIncomeLossItemsWithDifferencesSchedule)
Attachment 7, Form M-3, Part III, Line 35, Other Expense/Deduction Items With
Differences
(OtherExpenseDeductionItemsWithDifferencesSchedule)
Beginning Ending
178
International Finance Incorporated 11-0000005
Attachment 11, Form 5471, Sch F, Line 15, Other current liabilities
(ItemizedOtherCurrentLiabilitiesSchedule)
Attachment 14, Form 1118, Sch C, Col 4, Post 1986 Undistributed Earnings
(Post1986UndistributedEarningsSchedule)
Post 1986 E&P Beginning Current E&P Post 1986 E&P Ending
Amount of indebtedness 0
Type of indebtedness New acquisition
Name Foreign Finance Corporation
Address 75 Any Street, Austin, TX 78737
Identifying Number none
Number of shares 1,000
179
International Finance Incorporated 11-0000005
180
International Finance Incorporated 11-0000005
181
International Finance Incorporated 11-0000005
182
International Finance Incorporated 11-0000005
183
International Finance Incorporated 11-0000005
184
International Finance Incorporated 11-0000005
185
International Finance Incorporated 11-0000005
186
International Finance Incorporated 11-0000005
187
International Finance Incorporated 11-0000005
188
International Finance Incorporated 11-0000005
189
International Finance Incorporated 11-0000005
190
International Finance Incorporated 11-0000005
191
International Finance Incorporated 11-0000005
192
International Finance Incorporated 11-0000005
193
International Finance Incorporated 11-0000005
194
International Finance Incorporated 11-0000005
195
International Finance Incorporated 11-0000005
196
International Finance Incorporated 11-0000005
197
International Finance Incorporated 11-0000005
198
International Finance Incorporated 11-0000005
199
International Finance Incorporated 11-0000005
200
International Finance Incorporated 11-0000005
201
International Finance Incorporated 11-0000005
202
International Finance Incorporated 11-0000005
203
International Finance Incorporated 11-0000005
204
International Finance Incorporated 11-0000005
205
International Finance Incorporated 11-0000005
206
International Finance Incorporated 11-0000005
207
International Finance Incorporated 11-0000005
208
International Finance Incorporated 11-0000005
209
International Finance Incorporated 11-0000005
210
International Finance Incorporated 11-0000005
211
International Finance Incorporated 11-0000005
212
International Finance Incorporated 11-0000005
213
International Finance Incorporated 11-0000005
214
International Finance Incorporated 11-0000005
215
International Finance Incorporated 11-0000005
216
International Finance Incorporated 11-0000005
217
International Finance Incorporated 11-0000005
218
International Finance Incorporated 11-0000005
219
International Finance Incorporated 11-0000005
220
International Finance Incorporated 11-0000005
221
International Finance Incorporated 11-0000005
222
International Finance Incorporated 11-0000005
223
International Finance Incorporated 11-0000005
224
International Finance Incorporated 11-0000005
225
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
TEST SCENARIO 6
ATTACHMENTS:
ItemizedOtherIncomeSchedule2
ItemizedOtherDeductionsSchedule2
ItemizedOtherCostsSchedule
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentSchedule
ItemizedOtherAssetsSchedule
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedIncomeNotRecordedonBooksSchedule2
ItemizedDeductionsNotChargedAgainstBooksSchedule2
AccumulatedAdjustmentsAccountOtherAdditionsSchedule
AccumulatedAdjustmentsAccountOtherReductionsSchedule
DispositionOfPropWithSect179DeductionsStatement (2)
HEADER INFO:
MultipleSoftwarePackagesUsed: No
226
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
Total (element not in schema do not need to input ... info purposes only) 53,856
Subcontractors 334,099
Total (element not in schema do not need to input ... info purposes only) 334,099
Attachment 4, Form 1120S, Page 4, Sch L Balance Sheets per Books, Line 6(d): Other current assets at
end of tax year (ItemizedOtherCurrentAssetsSchedule)
Total (element not in schema do not need to input ... info purposes only) 277,976
Attachment 5, Form 1120S, Page 4, Sch L Balance Sheets per Books, Line 9(b): Other investments at
beginning of tax year (ItemizedOtherInvestmentsSchedule)
227
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
Attachment 6, Form 1120S, Page 4, Sch L Balance Sheets per Books, Line 14 (b/d): Other assets at
beginning of tax year (ItemizedOtherAssetsSchedule)
Total (element not in schema do not need to input ... info purposes only) 913
Attachment 7, Form 1120S, Page 4, Sch L Balance Sheets per Books, Line
18(b) & (d): Other current Liabilities at beginning and end of tax year
(ItemizedOtherCurrentLiabilitiesSchedule)
Beginning End
Spec House Loans 232,240
Payroll Tax Liabilities 2,975 4,533
Credit Card Liability 6,661 15,043
Total (element not in schema, do not need to input ... info purposes only) 9,636 251,816
Attachment 8, Form 1120S, Page 5, Sch M-1, Line 2: Total Income Not Recorded on Books
(ItemizedIncomeNotRecordedOnBooksSchedule2)
Attachment 9, Form 1120S, Page 5, Sch M-1, Line 6, Total deductions (depreciation and itemized
deductions) on this return not charged against book income this year
(ItemizedDeductionsNotChargedAgainstBooksSchedule2)
Miscellaneous 6,768
Total (element not in schema do not need to input ... info purposes only) 6,768
Attachment 10, Form 1120S, Page 5, Sch M-2, Line 3:Other Additions, (Total of all other additions)
(AccumulatedAdjustmentsAccountOtherAdditionsSchedule)
Total (element not in schema do not need to input ... info purposes only) 2,800
Attachment 11, Form1120S, Page 5, Sch M-2, Line 5, Total of itemized other reductions
(AccumulatedAdjustmentsAccountOtherReductionsSchedule)
Total (element not in schema do not need to input ... info purposes only) 18,031
Attachment 12, Schedule K-1 (999-06-0005) Page 10, Line 17: Other Information
(DispositionOf PropWithSect179DeductionsStatement)
228
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
Attachment 13, Schedule K-1 (999-06-0001) Page 11, Line 17: Other Information
(DispositionOfPropWithSect179DeductionsStatement)
229
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
Form 1120S Test 6 U.S. Income Tax Return for an S Corporation 2006
Calendar Year 2006 or tax year beginning , 2006, ending , 2006
A Effective date of S Election 01/01/1990
B Business code 325100
Name and Address: Great Atomic Pyrotechnics & Designs, Inc. 36 Any Street, Boomtown, CA 90062
C EIN 11-0000006
D Date of incorporated 08/01/2002
E Total assets 498,034
F Check applicable boxes
G Number of Shareholders 2
H Sched M-3 attached
Line Description Line Amount / Info Write-in Literal/Attachments
1a Gross Receipts or sales 1,124,560
1b Less returns and allowances
1c Balance 1,124,560
2 Cost of goods sold (Sch A, line 8) 669,365
3 Gross profit. Subtract line 2 from line 1c 455,195
4 Net gain (loss) 5,179
5 Other Income (loss) 4,860 See Attachment 1
6 Total income (loss). Add lines 3 thru 5 465,234
7 Compensation of officers 34,973
8 Salaries / wages (less employment crdts) 100,531
9 Repairs and maintenance
10 Bad debts
11 Rents 156,855
12 Taxes and licenses 13,685
13 Interest 13,220
14 Depreciation (attach Form 4562) 1,019
15 Depletion (Do not deduct oil/gas depletion)
16 Advertising 4,093
17 Pension, profit-sharing, etc., plans
18 Employee benefit programs
19 Other deductions (attach schedule) 53,856 See Attachment 2
20 Total deductions ( add amounts shown
far right for lines 7 - 19 378,232
21 Ordinary business income (loss)
Subtract line 20 from line 6 87,002
22a Tax: Excess net passive income tax
22b Tax from Schedule D
22c Add lines 22a and 22b
23a Payments:
23b Tax deposit with Form 7004
23c Credit for Federal tax paid on fuels
23d Credit for Federal telephone excise tax
23e Add lines 23a through 23d
24 Estimated tax penalty
25 Tax Due
26 Overpayment
27 Credit elected to 2007 Refund
May IRS discuss? Yes
Preparer's SSN or PTIN: 999-06-0007
Preparer Firm's name/address: Electronic Tax
Filers, Inc
230
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
Form 1120S Test 6 U.S. Income Tax Return for an S Corporation 2006
100 Efile Drive,
Anytown, TX 78621
Preparer's EIN: 11-0000011
Preparer's Phone no.: 512-555-1212
Schedule A
Cost of Goods Sold
1 Inventory at beginning of year
2 Purchases 335,266
3 Cost of labor
4 Additional section 263A cost
5 Other costs 334,099 See Attachment 3
6 Total 669,365
7 Inventory at the end of year
8 Cost of goods sold 669,365
9a (i) Cost as described in Reg. Sec. 1.471-3 Unchecked
9a (ii) Lower of cost or market
9a (iii) Other
9b Write-down of sub goods
9c LIFO adopted this TY
9d % LIFO closing inventory
9e Rules of Sec 263A apply? No
9f Change in determining quantities, cost,
valuations? No
Schedule B Other Information
1(a) Cash
1(b) Accrual
1(c) Other Hybrid
2(a) Business Activity Construction
2(b) Product or Service Pyrotechnics
3 Corp own 50% or more? No
4 Member of controlled group No
5 Required to file F8264
6 Issued publicly offered debt instruments
7 C corporation before elected
8 Accumulated earnings/profits close of yr Unchecked
9 Total receipts less than $250,000? No
Schedule K Shareholders’ Shares of Income, Deductions, Credits, etc.
1 Ordinary business income (loss) 87,002
2 Net rental real estate income (loss) 0
3a Other gross rental income (loss)
3b Expenses from other rental activities
3c Other net rental income (loss)
4 Interest income
5a Ordinary dividends
5b Qualified dividends
6 Royalties
7 Net short-term capital gain (loss)
8a Net long-term capital gain (loss)
8b Collectibles (28%) gain (loss)
8c Un-recaptured section 1250 gain
9 Net section 1231 gain (loss)
10 Other income (loss)
11 Section 179 deduction 17,545
12a Contributions
231
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
Form 1120S Test 6 U.S. Income Tax Return for an S Corporation 2006
12b Investment interest expense
12c(1) Section 59(e)(2) expenses – Type
12c(2) Section 59(e)(2) expenses – Amount
Line Description Line Amount / Info Write-in Literal/Attachments
12d Other deductions -Type
12d Other deductions 0
13a Low-income housing credit {sec 42(j)(5)}
13b Low-income housing credit (other)
13c Qualified rehabilitation expenses
13d Other rental real estate credits
13e Other rental credits
13f Credit for alcohol used as fuel
13g Other credits and credit recapture
14a Name of country or U.S. possession
14b Gross income from all sources
14c Gross income at shareholder level
14d Passive
14e Listed categories
14f General limitation
14g Interest expense
14h Other
14i Passive
14j Listed categories
14k General limitation
14l Foreign taxes aid Paid
Accured
14m Reduction in taxes available for credit
14n Other Foreign tax Information
15a Post-1986 depreciation adjustment (354)
15b Adjusted gain or loss
15c Depletion
15d Oil, gas, and geothermal properties-
gross income
15e Oil, gas, and geothermal properties-
deductions
15f Other AMT items
16a Tax-exempt interest income 486
16b Other tax-exempt interest income
16c Nondeductible expenses 486
16d Property distributions 35,987
16e Repayment of loans from shareholders
17a Investment income
17b Investment expenses
17c Dividend distributions paid /accum E&P
17d Other items and amounts
18 Income/loss reconciliation 69,457
232
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
233
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
Schedule M-1 Reconciliation of Income (Loss) per Books With Income (Loss) per Return
1 Net Income 73,340
2 Income included on Sch K 2,885 See Attachment 8
3 Expenses recorded on books 486
3a Depreciation
3b Travel & entertainment 486
4 Add lines 1 – 3 76,711
5 Income recorded on books
5a Tax-exempt interest 486
6 Deductions included on Sch K 6,768 See Attachment 9
6a Depreciation 6,082
7 Add lines 5 & 6 7,254
8 Income (loss)(Sch K-1) 69,457
Schedule M-2 Analysis Accumulated Adjustments Account, Other Adjustments Account
(a) (b) (c) Write-in / Literal
Accumulated Other Shareholder
adjustments adjustments undistributed
account account taxable income
1 Bal at begin of tax year 30,238
2 Ordinary income 87,002
3 Other additions 2,800 486 See Attachment 10
4 Loss from Pg 1, Ln 21
5 Other reductions (18,031) See Attachment 11
6 Combine lines 1 – 5 102,009 486
7 Distributions other than
dividends distributions 35,987
8 Balance at end of TY 66,022 486
234
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
235
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
236
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
42 Amort of costs
before 2004 TY
43 Amort of costs
before 2005 TY 18
44 Total 18
237
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
239
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
240
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
241
Great Atomic Pyrotechnics & Designs, Inc. 11-0000006
Form 8453-S Test 6 U.S. S Corporation Income Tax Declaration for an 2006
IRS e-file Return
Name: Great Atomic
Buildings & Designs,
Inc.
EIN: 11-0000006
Part I Tax Return Information
242
WorkNAllDay, Inc. 11-0000007
TEST SCENARIO 7
ATTACHMENTS:
ItemizedOtherDeductionsSchedule2
ItemizedOtherCostsSchedule
ItemizedOtherDeductionsSchedule3
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherAssetsSchedule
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedExpensesRecordedOnBooksSchedule2
AccumulatedAdjustmentsAccountOtherAdditionsSchedule
AccumulatedAdjustmentsAccountOtherReductionsSchedule
HEADER INFO:
MultipleSoftwarePackagesUsed: No
243
WorkNAllDay, Inc. 11-0000007
DateSigned: 01/25/07
Authorized Third Party: Yes
Total (element not in schema do not need to input ... info purposes only) 367,327
Total (element not in schema do not need to input ... info purposes only)
8,627,996
Attachment 4, Form 1120S, Page 3, Sch L Balance Sheets per Books, Line 6(b) & (d): Other current
assets at end of tax year (ItemizedOtherCurrentAssetsSchedule)
Beginning Ending
Notes Receivable 1,800
Escrow 9,900 4,900
Accrued Interest Receivable 8,351 45,791
Work In Process 38,003
Attachment 5, Form 1120S, Page 4, Sch L Balance Sheets per Books, Line 14(b): Other assets at
beginning of tax year (ItemizedOtherAssetsSchedule)
Attachment 6, 1120S, Page 4, Sch L Balance Sheets per Books,18(b) & (d): Other current Liabilities at
beginning and end of tax year (ItemizedOtherCurrentLiabilitiesSchedule)
Beginning Ending
Billings in Excess 19,400
Union Benefits Payable 231
Accrued Pension Contribution 400
Payroll Taxes Payable 2,316 760
Accrued Workers Compensation (11,758) 10,388
Accrued Payroll 12,473 21,701
Attachment 7, Form 1120S, Page 4, Schedule M-1, Line 3b, Total expenses not deducted recorded on
books this year (ItemizedExpensesRecordedOnBooksSchedule2)
Attachment 8, Form 1120S, Page 4, Sch M-2, Line 3: Other Additions, (Total of all other additions)
(AccumulatedAdjustmentsAccountOtherAdditionsSchedule)
245
WorkNAllDay, Inc. 11-0000007
Total (element not in schema do not need to input ... info purposes only) 149,796
Attachment 9, Form1120S, Page 4, Sch M-2, Line 5: Total of itemized other reductions
(AccumulatedAdjustmentsAccountOtherReductionsSchedule)
246
WorkNAllDay, Inc. 11-0000007
Form 1120S Test 7 U.S. Income Tax Return for an S Corporation 2006
Calendar Year 2006 or tax year beginning , 2006, ending , 2006
A Effective date of S Election 03-08-1992
B Business code 321900
Name and Address: WorkNAllDay, Inc., 37 Any Street, Anytown, NC 28041 0280
C EIN 11-0000007
D Date of incorporated 03-08-1992
E Total assets 3,605,885
F Check applicable boxes
G Number of Shareholders 2
H Schedule M-3 attached
1a Gross Receipts or sales 11,468,259
1b Less returns and allowances
1c Balance 11,468,259
2 Cost of goods sold (Sch A, line 8) 10,061,879
3 Gross profit. Subtract line 2 from line 1c 1,506,380
4 Net gain (loss) 14,433
5 Other Income (loss)
6 Total income(loss). Add lines 3 thru 5 1,420,813
7 Compensation of officers 161,698
8 Salaries/wages (less employ. credits) 196,941
9 Repairs and maintenance 17,760
10 Bad debts
11 Rents 160,574
12 Taxes and licenses 36,594
13 Interest 26,103
14 Depreciation (attach Form 4562) 6,726
15 Depletion ( Do not deduct oil/gas depletion)
16 Advertising 8,257
17 Pension, profit-sharing, etc., plans 14,715
18 Employee benefit programs
19 Other deductions 367,327 See Attachment 1
20 Total deductions (add lines 7 – 19) 996,695
21 Business income/loss line 6 minus line 20 424,118
22a Tax: Excess net passive income tax
22b Tax from Schedule D
22c Add lines 22a and 22b
23a Payments:
23b Tax deposit with Form 7004
23c Credit for Federal tax paid on fuels
23d Credit for Federal telephone excise tax
23e Add lines 23a through 23d
24 Estimated tax penalty
25 Tax Due.
26 Overpayment
27 Credit Elect to 2007 Refund
May IRS discuss? Yes
Preparer's SSN or PTIN: 999-06-007
Preparer Firm's name/address: Electronic Tax Filers, Inc
100 Efile Drive, Anytown, TX 78621
Preparer's EIN: 11-0000011
Preparer's Phone no.: 512-555-1212
247
WorkNAllDay, Inc. 11-0000007
Form 1120S Test 7 U.S. Income Tax Return for an S Corporation 2006
Schedule A Cost of Goods
Line Description Line Amount Write-in / Literal
1 Inventory at the beginning of year
2 Purchases 890,846
3 Cost of labor 543,037
4 Additional section 263A cost
5 Other cost 8,627,996 See Attachment 2
6 Total 10,061,879
7 Inventory at the end of year
8 Cost of goods sold 10,061,879
9a (i) Cost as described in Reg. sec.1.471-3 Checked
9a (ii) Lower of cost or market
9a (iii) Other
9b Write-down of sub goods
9c LIFO adopted this TY
9d % LIFO closing inventory
9e Rules of Sec 263A apply? No
9f Change in determining quantities, cost,
valuations? No
Schedule B Other Information
1(a) Cash
1(b) Accrual Checked
1(c) Other
2(a) Business Activity Manufacturing
2(b) Product or Service Building Supplies
3 Corp own 50% or more? No
4 Member of controlled grp No
5 Required to file F8264
6 Publicly issued debt instruments
7 C corp before elected
8 Accumu earnings/profits close of yr
9 Total receipts less than $250,000? No
Schedule K Shareholders’ Shares of Income, Deductions, Credits, etc.
1 Ordinary business income (loss) 424,118
2 Net rental real estate income (loss)
3a Other gross rental income (loss)
3b Expenses from other rental activities
3c Other net rental income (loss)
4 Interest income 71,147
5a Ordinary dividends
5b Qualified dividends
6 Royalties
7 Net short-term capital gain (loss) 78,649
8a Net long-term capital gain (loss)
8b Collectibles (28%) gain (loss)
8c Un-recaptured section 1250 gain
9 Net section 1231 gain (loss)
10 Other income (loss)
11 Section 179 deduction 62,935
12a Contributions
12b Investment interest expense
12c(1) Section 59(e)(2) expenses – Type
12c(2) Section 59(e)(2) expenses – Amount
248
WorkNAllDay, Inc. 11-0000007
Form 1120S Test 7 U.S. Income Tax Return for an S Corporation 2006
12d Other deductions - Type R
12d Other deductions - Amount 502,369
13a Low-income housing credit (sec.42(j)(5)
13b Low-income housing credit (other)
13c Qualified rehabilitation expenses
13d Other rental real estate credits
13e Other rental credits
13f Credit for alcohol used as fuel
13g Other credits and credit recapture
14a Name of country or U.S. possession
14b Gross income from all sources
14c Gross income sourced at shareholdr level
14d Passive
14e Listed categories
14f General limitation
14g Interest expense
14h Other
14i Passive
14j Listed categories
14k General limitation
14l Foreign taxes Paid
Accrued
14m Reduction in taxes available for credit
14n Other Foreign tax Information
15a Post-1986 depreciation adjustment -2,011
15b Adjusted gain or loss -14,733
15c Depletion
15d Oil, gas, and geothermal properties-gross
income
15e Oil, gas, and geothermal properties-
deductions
15f Other AMT items
16a Tax Exempt Interest Income
16b Other tax-exempt interest income
16c Nondeductible expenses 19,452
16d Property distributions 174,200
16e Repayment of loans from shldrs
17a Investment income 71,147
17b Investment expenses
17c Dividend distributions paid from accumu
E&P
17d Other items and amounts
18 Income/loss reconciliation 8,610
Schedule L Balance Sheets per Books
Beginning of tax year End of tax year Write-in / Literal
(a) (b) (c) (d)
1 Cash 435,384 1,311,478
2a Trade notes 3,304,878 946,715
2b Less allowance 3,304,878 946,715
3 Inventories
4 U.S. govt oblig
5 Tax exempt securities
6 Other current assets 56,254 52,491 See Attachment 4
249
WorkNAllDay, Inc. 11-0000007
Form 1120S Test 7 U.S. Income Tax Return for an S Corporation 2006
7 Loans to shareholders
8 Mortgage/real estate loan 800,000 1,235,158
9 Other Investments
10a Bldgs/other deprec
assets 424,249 397,401
11b Less accumu. depletion 374,043 50,206 337,358 60,043
12 Land
13a Intangible assets
13b Less accumu. amort.
14 Other assets 41,754 See Attachment 5
15 Total assets 4,688,476 3,605,885
16 Accounts payable 2,837,445 1,435,888
17 Mortgages, notes, bonds
payable < 1yr
18 Other current liabilities 22,831 33,080 See Attachment 6
19 Loans from sharholdrs
20 Mortgages, notes, bonds
payable > 1yr 25,000 25,000
21 Other Liabilities
22 Capital Stock 10,000 10,000
23 Additional paid/in capital
24 Retained earnings 1,793,200 2,101,917
25 Adj to sharholdrs equity
26 Less cost of treasury stk
27 Total liabilities &
sharholdrs equity 4,688,476 3,605,885
Schedule M-1 Reconciliation of Income (Loss) per Books with Income (Loss) per Return
1 Net Income (10,842)
2 Income included on Sch K
3 Expenses recorded on books 19,452 See Attachment 7
3a Depreciation
250
WorkNAllDay, Inc. 11-0000007
Form 1120S Test 7 U.S. Income Tax Return for an S Corporation 2006
8 Balance at end of TY 1,588,667
251
WorkNAllDay, Inc. 11-0000007
252
WorkNAllDay, Inc. 11-0000007
254
WorkNAllDay, Inc. 11-0000007
42 Amort of costs
during 2006 TY
43 Amort of costs
before 2006 TY
44 Total
255
WorkNAllDay, Inc. 11-0000007
258
WorkNAllDay, Inc. 11-0000007
259
WorkNAllDay, Inc. 11-0000007
260
WorkNAllDay, Inc. 11-0000007
261
WorkNAllDay, Inc. 11-0000007
262
Goldplated Detailing Service, Inc. 11-0000008
TEST SCENARIO 8
FORMS REQUIRED: 1120S, Sch D (1120S), 4562, 4797, 8082, 8283, 8825, 8881, Sch K-1 (2)
ATTACHMENTS:
ItemizedOtherIncomeSchedule2
Section59e2ExpenditureStatement
ItemizedOtherCostsSchedule
CharitableContributionSchedule
ItemizedOtherCreditsSchedule
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedIncomeNotRecordedOnBooksSchedule2
ItemizedExpensesRecordedOnBooksSchedule2
ItemizedDeductionsNotChargedAgainstBooksSchedule2
FairMarketValueStatement
DispositionOfPropWithSect179DeductionsStatement (2)
HEADER INFO:
MultipleSoftwarePackagesUsed: No
263
IRS Payment: N/A
Miscellaneous (3,272,375)
Total (3,272,375)
Description: It is expected that the taxpayer filing this form will provide the appropriate information.
Amount: 5,931
Name: Goldplated Detailing Service, Inc.
Code: A
Attachment 5, Form 1120S, Page 3, Sch K, Line 12c Section 59(e)(2) expenditures
(Section59e2ExpenditureStatement)
Attachment 6, Form 1120S, Sch K, Line 13g: Other credits and credit recapture
(ItemizedOtherCreditsSchedule)
Attachment 7, Form 1120S, Page 4, Sch L, Line 6 b/d: Other current assets
(ItemizedOtherCurrentAssetsSchedule)
Beginning Ending
264
Prepaid Expenses 17,828 33,681
Unbilled Revenue 612,886 1,724,222
Intercompany Advances 225,293 24,896
Other ______0 2,637,012
Attachment 8, Form 1127S, Page 4, Sch L Balance Sheets per Books, Line 18(b): Other current
Liabilities at beginning and end of tax year (ItemizedOtherCurrentLiabilitiesSchedule)
Beginning Ending
Deferred Comp. 205,651
Payroll Taxes Payable 16,716
Due to Broker 726,483
Deferred Revenue 244,803
Pension (1,534,505)
Insurance 576,980
Accrued Expenses 1,029,197 55,162
Attachment 9, Form 1128S, Page 4, Sch M-1, Line 2, Total Income Not Recorded on Books
(ItemizedIncomeNotRecordedOnBooksSchedule2)
Total 946,363
Attachment 10, Form 1120S, Page 4, Sch M-1, Line 3: Expenses Recorded on Books, But Not
Deducted
on Return (ItemizedExpensesRecordedOnBooksSchedule2)
Total 445,360
Attachment 11, Form 1120S, Page 4, Sch M-1, Line 6, Deductions on Return Not Charged Against Book
Income (ItemizedDeductionsNotChargedAgainstBooksSchedule2)
265
Attachment 13, Schedule K-1 (999-06-0010) Line 17: Other Information
(DispositionOfPropWithSect179DeductionsStatement)
266
Form 1120S Test 8 U.S. Income Tax Return for an S Corporation 2006
Calendar Year 2006 or tax year beginning , 2006, ending , 2006
A Effective date of S Election 08/20/1986
B Business code 811190
Name and Address: Goldplated Detailing Service, Inc., 38 Any Street, Anytown, MI 49261
C EIN 11-0000008
D Date of incorporated 08/27/1985
E Total assets 6,688,675
F Check applicable boxes
G Number of Shareholders 2
H Schedule M-3 attached
Line Description Line Amount Write-in / Literal
1a Gross Receipts or sales 13,724,661
1b Less returns and allowances
1c Balance 13,724,661
2 Cost of goods sold (Sch A, line 8) 10,400,672
3 Gross profit. Subtract line 2 from line 1c 3,323,989
4 Net gain (loss)
5 Other Income (loss) (3,272,375) See Attachment 1
6 Total income (loss). Add lines 3 - 5 51,614
7 Compensation of officers 600,394
8 Salaries and wages (less employment credits) 790,556
9 Repairs and maintenance 186,826
10 Bad debts
11 Rents 138,516
12 Taxes and licenses 162,254
13 Interest 2,547
14 Depreciation (attach Form 4562) 142,900
15 Depletion (Do not deduct oil / gas depletion)
16 Advertising
17 Pension, profit-sharing, etc., plans 800,000
18 Employee benefit programs 250,000
19 Other deductions (attach schedule) 2,000,000 See Attachment 2
20 Total deductions ( add lines 7 – 19) 5,073,993
21 Ordinary business income (loss) Subtract line
20 from line 6 (5,022,379)
22a Tax: Excess net passive income tax
22b Tax from Schedule D
22c Add lines 22a and 22b
23a Payments:
23b Tax deposit with Form 7004
23c Credit for Federal tax paid on fuels
23d Credit for Federal telephone excise tax
23e Add lines 23a through 23d
24 Estimated tax penalty
25 Tax Due.
26 Overpayment
27 Credit elected to 2007 Refund
267
Line Description Line Amount Write-in / Literal
May IRS discuss? Yes
Preparer's SSN or PTIN: 999-06-0007
Preparer Firm's name/address: Electronic Tax Filers,
Inc
100 Efile Drive,
Anytown, TX 78621
Preparer's EIN: 11-0000011
Preparer's Phone no.: 512-555-1212
Schedule A Cost of Goods Sold
1 Inventory at beginning of year 92,281
2 Purchases 8,753,370
3 Cost of labor 1,001,648
4 Additional section 263A cost
5 Other costs 698,745 See Attachment 3
6 Total 10,546,044
7 Inventory at the end of yr 145,372
8 Cost of goods sold 10,400,672
9a (i) Cost described in Reg Sec1.471-3
9a (ii) Lower of cost or market Checked
9a (iii) Other
9b Writedown of sub goods
9c LIFO adopted this TY
9d % LIFO closing inventory
9e Rules of Sec 263A apply? No
9f Change in determining quantities,
cost, valuations? No
Schedule B Other Information
1(a) Cash
1(b) Accrual Checked
1(c) Other
2(a) Business Activity Auto Maintenance
2(b) Product or Service Car Wash/Detailing
3 Corp own 50% or more? No
4 Member of controlled grp No
5 Required to file F8264
6 Issued publicly offered debt
instruments
7 C corp before elected
8 Accum. earnings/profits close of yr
9 Total receipts less than $ 250,000? No
Schedule K Shareholders’ Shares of Income, Deductions, Credits, etc.
1 Ordinary business income (loss) (5,022,379)
2 Net rental real estate income (loss) 63,932
3a Other gross rental income (loss)
3b Expenses other rental activities
3c Other net rental income (loss)
4 Interest income 2,510,363
5a Ordinary dividends
5b Qualified dividends 761,005
6 Royalties
Line Description Line Amount Write-in / Literal
7 Net short-term capital gain (loss) (259,012)
8a Net long-term capital gain (loss) 5,842,563
268
8b Collectibles (28%) gain (loss)
8c Un-recaptured section 1250 gain
9 Net section 1231 gain(loss) (500)
10 Other income (loss)
11 Section 179 deduction
12a Contributions 5,931 See Attachment 4
12b Investment interest exp
12c (1) Section 59(e)(2) expenses – Type Portfolio
12c (2) Section 59(e)(2) expenses – Amt 377,465 See Attachment 5
12d Other deductions - Type
12d Other deductions – Amount
13a Low-income housing credit (sec 42(j)(5)
13b Low-income housing credit (other)
13c Qualified rehabilitation expenses
13d Other rental real estate credits
13e Other rental credits
13f Credit for alcohol used as fuel
13g Other credits and credit recapture 500 See Attachment 6
14a Country Name or U.S. possession
14b Gross income all sources
14c Gross income sourced at shareholder
level
14d Passive
14e Listed categories
14f General limitation
14g Interest expense
14h Other
14i Passive
14j Listed categories
14k General limitation
14l Foreign taxes Paid
Accrued
14m Reduction in taxes
14n Other Foreign tax Information
15a Post-1986 depreciation adjustment (50,466)
15b Adjusted gain or loss
15c Depletion
15d Oil, gas, and geothermal properties-
gross income
15e Oil, gas, and geothermal properties-
deductions
15f Other AMT items
16a Tax-exempt interest income
16b Other tax-exempt interest income
16c Nondeductible expenses 18,005
16d Property distributions 5,500,000
16e Repayment of loans from sharhldrs
17a Investment income 3,271,368
17b Investment expenses 377,465
17c Dividend distributions paid from accum
E&P
17d Other items and amts
18 Income/loss reconciliation 3,512,576
Schedule L Balance Sheets per Books
Beginning of tax year End of tax year Write-in /
269
Literal
(a) (b) (c) (d)
1 Cash 211,035 84,106
2a Trade notes 744,659 852,560
2b Less allowance 744,659 852,560
3 Inventories 92,281 145,372
4 U.S. govt oblig
5 Tax-exempt secs
6 Other current
assets 856,007 4,419,811 Attachment 7
7 Loan to shlders
8 Mortgage & real
estate loan
9 Other investmnts
10a Bldgs & other
deprec assets 3,235,804 3,410,332
10b Less accumu-
lated deprc 2,039,227 1,196,577 2,261,506 1,148,826
11a Depletable asst
11b Less accumu-
lated depletion
12 Land
13a Intangible assets 80,000 80,000
13b Less accum
amortization 39,000 41,000 42,000 38,000
14 Other assets
15 Total assets 3,411,559 6,688,675
16 Accts payable 442,820 418,547
17 Mortgages,
notes, bonds
payable < 1yr
18 Other current
liabilities 465,978 854,509 Attachment 8
19 Loans from
sharhldrs
20 Mortgages,
notes, bonds
payable > 1yr
21 Other liabilities
22 Capital stock 8,866 8,866
23 Additional paid –
in capital 848,000 848,000
24 Retained
earnings 2,243,245 5,426,103
25 Adjustments to
shareholders
equity
26 Less cost of
treasury stock (867,350) (867,350)
27 Total liabilities &
shareholders
equity 3,141,559 6,688,675
Schedule M-1 Reconciliation of Income (Loss) per Books With Income (Loss) per Return
Line Description Line Amount Write-in / Literal
1 Net Income 3,390,661
2 Income included on Sch K 946,363 Attachment 9
270
3 Expenses recorded on
books 445,360 Attachment 10
3a Depreciation 80,275
3b Travel & entertainment 18,005
4 Add lines 1 – 3 4,880,664
5 Income recorded on
books
5a Tax-exempt interest
6 Deductions included on
Sch K 1,368,088 Attachment 11
6a Depreciation
7 Add lines 5 and 6 1,368,088
8 Income (loss) Sch K 3,512,576
Schedule M-2 Analysis of Accumulated Adjustments Account, Other Adjustments Account
(a) (b) (c)
Accumulated Other Shareholder Write-in /
adjustments adjustments undistributed Literal
account account taxable income
1 Balance at beginning of
tax year 104,845,406
2 Ordinary income
3 Other additions 9,177,863
4 Loss from pg 1, line 21 (5,022,379)
5 Other reductions (660,913)
6 Combine lines 1 – 5 108,339,977
7 Distributions other than
dividends distributions 5,500,000
8 Balance at end of TY 102,839,977
271
Sch D (1120S) Test 8 Capital Gains and Losses and Built-in Gains 2006
Name: Goldplated Detailing Service, Inc.
EIN: 11-0000008
Part I Short-Term Capital Gains & Losses Write-in / Literals
1(a) Description of Property 1000 sh USAFILE
1(b) Date acquired various
1(c) Date sold various
1(d) Sales price 702,615
1(e) Cost or other basis 28,965
1(f) Gain or loss 673,650
1(a) Description of Property 5000 sh USACorp
1(b) Date acquired various
1(c) Date sold various
1(d) Sales price 565,424
1(e) Cost or other basis 590,375
1(f) Gain or loss (24,951)
1(a) Description of Property 4500 sh USATAX
1(b) Date acquired various
1(c) Date sold various
1(d) Sales price 2,468,135
1(e) Cost or other basis 3,375,336
1(f) Gain or loss (907,201)
1(a) Description of Property 5000 sh USAUSA
1(b) Date acquired various
1(c) Date sold various
1(d) Sales price 467,283
1(e) Cost or other basis 467,793
1(f) Gain or loss (510)
2 Short-term capital gain from
installment sales
3 Short-term capital gain from
like-kind exchanges
4 Combine lines 1 – 3
5 Tax on short-term capital gain
6 Net short-term capital gain (259,012)
Part II Long-Term Capital Gains & Losses
7(a) Description of property 1000 sh FEDFILE
7(b) Date acquired various
7(c) Date sold various
7(d) Sales price 3,254,620
7(e) Cost or other basis 1,378,896
7(f) Gain or loss 1,875,724
7(a) Description of Property 5000 sh FEDCORP
7(b) Date acquired various
7(c) Date sold various
7(d) Sales price 877,431
7(e) Cost or other basis 964,060
7(f) Gain or loss (86,629)
7(a) Description of Property 1050 sh FEDFILE
7(b) Date acquired various
7(c) Date sold various
7(d) Sales price 234,621
7(e) Cost or other basis 169,742
272
Sch D (1120S) Test 8 Capital Gains and Losses and Built-in Gains 2006
7(f) Gain or loss 64,879
7(a) Description of Property 5000 sh FEDTAX
7(b) Date acquired various
7(c) Date sold various
7(d) Sales price 5,227,388
7(e) Cost or other basis 1,238,799
7(f) Gain or loss 3,988,589
8 Long-term capital gain from
installment sales
9 Long-term capital gain from
like-kind exchanges
10 Capital gain distributions
11 Combine lines 7 - 10 5,842,563
12 Tax long-term capital gain
13 Net long-term capital gain 5,842,563
Part III Built-in Gains Tax
14 Excess recognized built-in
gains
15 Taxable income
16 Net recognized built-in gain
17 Section1374(b)(2)
deductable
18 Subtract line 17 from line
16
19 Enter 35% of line 18
20 Section 1374(b) (3)
business credit
21 Tax
273
Form 4562 Test 8 Depreciation and Amortization 2006
Name: Goldplated Detailing Service, Inc.
Business or Activity: Car Washing
EIN: 11-0000008
Line Description Line Amount Write-in / Literal
Part I Election to Expense Certain Property Under Section 179
1 Maximum amount $108,000
2 Total cost of section 179 prop
3 Threshold cost of section 179 prop $430,000
4 Reduction in limitation
5 Dollar limitation for TY
6(a) Description of Property
6(b) Cost
6(c) Elected cost
7 Listed property
8 Total elected cost of sec 179 prop
9 Tentative deduction
10 Carryover of disallowed deduction
11 Business income limitation
12 Section 179 expense deduction
13 Carryover of disallowed deduction
Part II Special Depreciation Allowance and Other Depreciation
14 Special depreciation allowed
15 Property subject to sec168(f)(1) election
16 Other depreciation
Part III MACRS Depreciation
17 MACRS deductions 131,212
18 Assets placed in service (Sec Yes
168(i)(4) election) No
Section B – Assets Placed in Service During 2005 Tax Year Using the General Depreciation System
(a) (b) (c) (d) (f) (g)
Classification of Month & Basis for Recovery (e) Method Deprc Write-in /
property Year deprec period Convention deduct Literal
274
Part V Listed Property
Section A – Depreciation and Other Information
24a Evidence?
24b Evidence written?
25 Special depreciation allowance
26(a) Type of property
26(b) Date in service
26(c) Business investment %
26(d) Cost or other basis
26(e) Basis for depreciation
26(f) Recovery period
26(g) Method/Convention
26(h) Depreciation deduction
26(i) Election Sec 179 cost
27(a) Type of property
27(b) Date in service
27(c) Business investment %
27(d) Cost or other basis
27(e) Basis for depreciation
27(f) Recovery period
27(g) Method/Convention
27(h) Depreciation deduction
27(i) Election Sec 179 cost
28 Add column (h), lines 25 - 27
29 Add column (i), line 26
Section B – Information on Use of Vehicles
30(a) Total bus/invest miles driven
31(a) Total commuting miles driven
32(a) Tot other personal miles driven
33(a) Total miles driven
34 Vehicle available for personal use?
35 Vehicle used > 5% ?
36 Another vehicle avail for personal use?
Section C – Questions for Employers Who Provide Vehicles for Use by Their Employees
37 Maint written policy prohibits commu?
38 Maint written policy prohibits pers use
39 Vehicles treated as personal use?
40 Provide > 5 vehicle?
41 Qualified auto demonstration use?
Part VI Amortization
(a) (b) (c) (d) (e) (f) Write-in / Literal /
Depreciation of Date Amort Code Amort Amort for Attachments
costs amort amount section period or this Yr
begins percent
42 Amort of costs
during 2004 TY
43 Amort of costs
before 2004 TY
44 Total
275
Form 4797 Test 8 Sales of Business Property 2006
Name: Goldplated Detailing Service, Inc.
EIN: 11-0000008
Line Description Line Amount Info Write-in / Literal
1 Gross proceeds sales/ exchange
Part I Sales or Exchanges of Property Used in a Trade or Business
2(a) Description of property HD Vacuum Cleaner
2(b) Date acquired 03/30/01
2(c) Date sold 12/10/06
2(d) Gross sales price 4,000
2(e) Depreciation allowed 3,500
2(f) Cost or other basis 8,000
2(g) Gain or (loss) (500)
3 Gain fm F4684
4 Sec 1231 gain fm F6252
5 Sec 1231 gain fm F8824
6 Gain fm casualty or theft
7 Combine lines 2 to 6 (500)
8 Non-recaptured net sec 1231 loss
9 Subtract line 8 from line 7
Part II Ordinary Gains and Losses
10(a) Description of property
10(b) Date acquired
10(c) Date sold
10(d) Gross sales price
10(e) Depreciation allowed
10(f) Cost or other basis
10(g) Gain or loss
11 Loss fm line 7
12 Gain fm line 7
13 Gain fm line 31
14 Net gain F4684
15 Ordinary gain F6252
16 Ordinary gain F8824
17 Combine lines 10 to16
18a Part of loss F4684
18b Re-determined gain/loss line 17
Part III Gain for Disposition of Property Under Sections 1245, 1250, 1252, 1254 and 1255
19(a) Description of property
19(b) Date acquired
19(c) Date sold
20 Gross sales price
21 Cost or other basis
22 Depreciation allowed
23 Adjusted basis
24 Total gain
25a Depreciation allowed
25b Smaller of lines 24 and 25a
26a Additional depreciation after 1975
26b Applicable %
26c Subtract line 26a from line 24
26d Additional depreciation after 1969
276
Form 4797 Test 8 Sales of Business Property 2006
26e Smaller of lines 26c and 26c
26f Sec 291 amount
26g Add lines 26b,26e and 26f
27a Soil, water, land
277
Line Description Line Amount Info Write-in / Literal
27b Line 27 multiplied by applicable %
27c Smaller of lines 24 and 27b
28a Intangible drilling
28b Smaller of lines 24 and 28a
29a Applicable % of payment
excluded
29b Smaller of lines 24 and 29a
30 Total gain all property
31 Add property columns A – D
32 Subtract line 31 from line 30
Part IV Recapture Amounts Under Sections 179 and 280F(b)(2)
33(a) Sec 179 expense deduction –
Sec 179
33(b) Sec 179 expense deduction –
Sec 280F(b)
34(a) Recomputed deprc – Sec 179
34(b) Recomputed deprc-Sec280F(b)
35(a) Recapture amount – Sec 179
35(b) Recapture amount – Sec 280F(b)
278
Form 8082 Test 8 Notice of Inconsistent Treatment or
Administrative Adjustment Request (AAR)
Name: Goldplated Detailing Service, Inc.
Identifying number: 11-0000008
Part I General Information
Line Description Line Amount / Info Write-in / Literal
(a) Notice of inconsistent
1 Check boxes that apply treatment
2 If TMP, req substituted return treatment “No” checkbox checked
3 Type of pass-thru entity checkboxes (a) Partnership checked
4 Identifying number of pass-thru entity 11-0000024
Cleaner Solutions, 125
Any Street, Anytown, MI
5 Name, address, Zip of pass-thru entity 49261
6 Tax shelter registration number
7 IRS Center where pass-thru entity filed OSPC
8 Tax year of pass-thru entity 1/1/2006 to 12/31/2006
9 Your tax year 1/1/2006 to 12/31/2006
Part II Inconsistent or Administrative Adjustment Request (AAR) Items
(a) (b) (c) (d) (e)
Desc of AAR Inconsistency Amount Amount Difference
items in or AAR to shown on reporting between (c) Write-in /
correct Sch K-1 and (d) Literal
Schedule K- Amount of
10 1, Line 1 item checked 163,932 63, 932 100,000
Part III Explanation – Enter the Part II item number before each explanation
Part II, item 10 - It appears that a typographical error was made on the Schedule K-1 received from
Cleaner Solutions. We know that the correct figure is $63,932 not $163,932 but the partnership has
not filed an amended return.
279
Form 8283 Test 8 Noncash Charitable Contributions
Name: Goldplated Detailing Service, Inc.
Identifying number: 11-0000008
Section A Part I Information on Donated Property
Line Description Line Amount / Info Write-in / Literal
Association for Cleaner
Cars, 54 Any Street,
1(a)A Name, address of donee organization Anytown, FL 32210
Industrial size brushless
1(b)A Description of donated property & waterless car waxer
1(c)A Date of the contribution 07/04/2006
1(d)A Date acquired by donor 07/1995
1(e)A How acquired by donor Purchase
1(f)A Donor’s cost or adjusted basis 5,000
1(g)A Fair market value 6,500
1(h)A Method used to determine the FMV Industry Price See Attachment 12
Section A Part II Other Information
2a Enter letter fm Part I that IDs property
2b Total amount claimed as a deduction
Name, address of each organization
2c contribution was made in a prior year
2d Place where tangible property located
2e Name of person w/ possession of prop
3a Restriction on donee’s right to use prop
3b Gave right to income from property
3c Restriction limiting donated property
Section B Part I Information on Donated Property
4 Type of property checkboxes
5(a)A Description of donated property
5(b)A Tangible property – brief summary
5(c)A Appraised fair market value
5(d)A Date acquired by donor
5(e)A How acquired by donor
5(f)A Donor’s cost or adjusted basis
5(g)A Bargain sales amount received
5(h)A Amount claimed as a deduction
5(i)A Average trading price of securities
Section B Part II Taxpayer (Donor) Statement
Identifying letter and description
Section B Part III Declaration of Appraiser
Business address
Identifying number
Section B Part IV Donee Acknowledgment
Date charitable org received property
Org intend to use prop for unrelated use
Name of charitable organization (donee)
Address of charitable organization
EIN
280
8825 Rental Real Estate Income and Expenses of 2006
a Partnership or an S Corporation
Name: Goldplated Detailing Service, Inc.
EIN: 11-0000008
Line Description Line Amount / Info Write-in / Literal
1A Kind & location of each property
2A Gross rents
3A Advertising
4A Auto and travel
5A Cleaning and maintenance
6A Commissions
7A Insurance
8A Legal and other professional fees
9A Interest
10A Repairs
11A Taxes
12A Utilities
13A Wages and salaries
14A Depreciation
15A Other
16A Total expense for each property
17 Total gross rents
18 Total expenses
19 Net gain (loss) fm F4797)
Net income (loss) from rental real
20a estate activities 63,932
20b(1) Name Cleaner Solutions
20b(2) EIN 11-0000024
21 Net rental real estate income 63,932
281
8881 Test 8 Credit for Small Employer Pension Plan Startup 2006
Costs
Name: Goldplated Detailing Service, Inc.
EIN: 11-0000008
Line Description Line Amount Info Write-in / Literal
Part I Current Year Credit
1 Qualified startup cost during TY 1,000
2 Enter ½ of line 1 500
Credits from small employer
3 pension plan startup costs 0
4 Add lines 2 and 3 500
5 Current year credit 500
282
Sch K-1 (Form 1120S) Shareholder's Share of Income, Deductions, Credits, 2006
Test 8 etc.
Tax year beginning January 1, 2006 ending December 31, 2006
Final K-1
Amended K
Part I Information About the Corporation
Line Description Line Amount Info Write-in / Literal
A Corporation's employer 11-0000008
identification number
B Corporation's name, address, Goldplated Detailing Service, Inc.,
city, state, Zip code 38 Any Street, Anytown, MI 49261
C IRS Center where corporation OSPC
filed return
D Tax shelter registration #, if any
E Check if Form 8271 is attached
Part II Information About the Shareholder
F Shareholder's Identification 999-06-0010
number
G Shareholder's name, address, Tajh Mahal Shadrock SHAD
city, state and ZIP code 53 Any Street
Anytown CO 81601
H Shareholder's percentage of
stock ownership for tax year 50.000
Part III Shareholder's Share of Current Year Income, Deductions, Credits, or Other Items
Line Description Line Amount Info Write-in / Literal /
Attachments
1 Ordinary business income (loss) (2,511,190)
2 Net rental real estate income (loss) 31,966
3 Other net rental income (loss)
4 Interest income 1,255,182
5a Ordinary dividends 380,502
5b Qualified dividends 380,502
6 Royalties
7 Net short-term capital gain (loss) (129,506)
8a Net long-term capital gain (loss) 2,921,282
8b Collectibles (28%) gain (loss)
8c Un-recaptured section 1250 gain
9 Net section 1231 gain (loss) (250)
10 Other income (loss)
11 Section 179 deduction
12 Other deductions A 466
C 2,500
J 188,732
13 Credits & credit recapture P 250
14 Foreign transactions
15 Alternative minimum tax (AMT) items A (25,233)
16 Items affecting shareholder basis C 9,002
D 2,750,000
17 Other Information A 1,635,684
B 188,733 Attachment 13
283
Sch K-1 (Form 1120S) Shareholder's Share of Income, Deductions, Credits, 2006
Test 8 etc.
Tax year beginning January 1, 2006 ending December 31, 2006
Final K-1
Amended K
Part I Information About the Corporation
Line Description Line Amount Info Write-in / Literal
A Corporation's employer identification number 11-0000008
B Corporation's name, address, city, state, and Goldplated Detailing
Zip code Service, Inc., 38 Any
Street, Anytown, MI
49261
C IRS Center where corporation filed return OSPC
D Tax shelter registration number, if any
E Check if Form 8271 is attached
Part II Information About the Shareholder
F Shareholder's Identification number 999-06-0009
G Shareholder's name, address, city, state and Waxer A. Cleanowski CLEA
ZIP code 52 Any Street
Anytown MO 64113
H Shareholder's percentage of stock ownership
for tax year 50.000
Part III Shareholder's Share of Current Year Income, Deductions, Credits, or Other Items
Line Description Line Amount Info Write-in / Literal
1 Ordinary business income (loss) (2,511,189)
2 Net rental real estate income (loss) 31,966
3 Other net rental income (loss)
4 Interest income 1,255,181
5a Ordinary dividends 380,503
5b Qualified dividends 380,503
6 Royalties
7 Net short-term capital gain (loss) (129,506)
8a Net long-term capital gain (loss) 2,921,281
8b Collectibles (28%) gain (loss)
8c Un-recaptured section 1250 gain
9 Net section 1231 gain (loss) (250)
10 Other income (loss)
11 Section 179 deduction
12 Other deductions A 465
C 2,500
J 188,733
13 Credits & credit recapture U
P 250
14 Foreign transactions
15 Alternative minimum tax (AMT) items A (25,233)
16 Items affecting shareholder basis C 9,003
D 2,750,000
17 Other Information A 1,635,684
B 188,733 See Attachment 14
284
Tree Fixr Upper, Inc. 11-0000009
TEST SCENARIO 9
FORMS REQUIRED: 1120S, Sch M-3, Sch N (1120), 4562, 5471, Sch J (5471), Sch M (5471),
5472, 8916-A (Attach in PDF until schema is published), Sch K-1
ATTACHMENTS:
ItemizedOtherIncomeSchedule2
ItemizedOtherDeductionSchedule2
ItemizedOtherCostsSchedule
CharitableContributionSchedule
ItemizedOtherDeductionsSchedule3
ItemizedOtherCurrentAssetsSchedule
ItemizedOtherInvestmentsSchedule
ItemizedOtherCurrentLiabilitiesSchedule
ItemizedOtherLiabilitiesSchedule
USDividendsNotEliminatedInTaxConsolidationSchedule
PartnershipInterestSchedule
OtherExpenseDeductionItemsWithDifferencesSchedule
HEADER INFO:
MultipleSoftwarePackagesUsed: Yes or No
285
Tree Fixr Upper, Inc. 11-0000009
DateSigned: 01/25/07
Total 420,200
Total (element not in schema do not need to input ... info purposes only) 20,140,029
Total (element not in schema do not need to input ... info purposes only) 1,599,276,464
Code: R
Amount: 500,000
Attachment 6, Page 4, Sch L Balance Sheets per Books, Line 6 (b & d): Other current assets at end of
tax year (ItemizedOtherCurrentAssetsSchedule)
Beginning Ending
Prepaids & Deposits 2,700,000 2,300,000
Total (element not in schema do not need to input ... info purposes only) 2,700,000 2,300,000
Attachment 7, Page 4, Sch L Balance Sheets per Books, Line 9 (b & d): Other investments at beginning
of tax year (ItemizedOtherInvestmentsSchedule)
Beginning Ending
ABC LLC 125,000 125,000
TAX PAD’NERS 80,000 120,000
Life Insurance – Cash Surrender Value 975,400 355,484
Total (element not in schema do not need to input ... info purposes only) 1,180,400 600,484
Total (element not in schema do not need to input ... info purposes only) 10,500,600 23,100,999
Beginning Ending
Deferred Compensation 1,700,900
Total (element not in schema do not need to input ... info purposes only) 1,700,900
Attachment 10, Page 5, Sch M- 3, Part II, Line 6(a) & (d), U.S Dividends not eliminated in tax
Consolidation (USDividendsNotEliminatedInTaxConsolidateionSchedule)
287
Tree Fixr Upper, Inc. 11-0000009
Class of Columns
Name EIN Stock a b c d
Attachment 12, Page 7, Sch M- 3, Part III, Line 29 (d): Other expense/deduction items with differences
(OtherExpenseDeductionItemsWithDifferencesSchedule)
Description Columns
a b c d
Accrued Legal Fees 396,300 980,050 1,376,350
288
Tree Fixr Upper, Inc. 11-0000009
Form 1120S Test 9 U.S. Income Tax Return for an S Corporation 2006
Calendar Year 2006 or tax year beginning , 2006, ending , 20
A Effective date of S Election 05/31/1999
B Business code 541320
Name and Address: Tree Fixr Upper, Inc., 39 Any Street, Anytown, OK 74002
C EIN 11-0000009
D Date of incorporated 11/19/1957
E Total assets 560,500,183
F Check applicable boxes
G Number of Shareholders 1
H Required Sched M-3 attached Checked
Line Description Line Amount / Info Write-in Literal/Attachments
1a Gross Receipts or sales 1,900,670,400
1b Less returns and allowances
1c Balance 1,900,670,400
2 Cost of goods sold (Sch A, line 8) 1,860,100,750
3 Gross profit. Subtract line 2 from line 1c 40,569,650
4 Net gain (loss)
5 Other Income (loss) 420,200 Attachment 1
6 Total income (loss). Add lines 3 - 5 40,989,850
7 Compensation of officers 8,500,400
8 Salaries / wages (less employment credits) 6,372,055
9 Repairs and maintenance 500,101
10 Bad debts
11 Rents 6,650,188
12 Taxes and licenses 13,980,990
13 Interest 120,100
14 Depreciation (attach Form 4562) 26,234
15 Depletion (Do not deduct oil/gas depletion)
16 Advertising 890,700
17 Pension, profit-sharing, etc., plans 1,300,000
18 Employee benefit programs
19 Other deductions (attach schedule) 20,140,029 Attachment 2
20 Total deductions (add amounts shown far
right for lines 7 – 19) 58,480,797
21 Ordinary business income (loss) Subtract
line 20 from line 6 (17,490,947)
22a Tax: Excess net passive income tax
22b Tax from Schedule D
22c Add lines 22a and 22b
23a Payments:
23b Tax deposit with Form 7004
23c Credit for Federal tax paid on fuels
23d Add lines 23a through 23c
23e Add lines 23a through 23d
24 Estimated tax penalty
25 Tax Due.
26 Overpayment
27 Credit elected to 2007 Refund
May IRS discuss? Yes
Preparer's SSN or PTIN: 999-06-0007
289
Tree Fixr Upper, Inc. 11-0000009
Form 1120S Test 9 U.S. Income Tax Return for an S Corporation 2006
100 Efile Drive,
Anytown, TX 78621
Preparer's EIN: 11-0000011
Preparer's Phone no.: 512-555-1212
Schedule A Cost of Goods Sold
1 Inventory at beginning of year 92,101,022
2 Purchases 1,024,169
3 Cost of labor 258,879,395
4 Additional section 263A cost
5 Other costs 1,599,276,464 Attachment 3
6 Total 1,951,281,050
7 Inventory at the end of year 91,180,300
8 Cost of goods sold 1,860,100,750
9a (i) Cost as described in Reg. Sec. 1.471-3
9a (ii) Lower of cost or market Checked
9a (iii) Other
9b Write-down of sub goods
9c LIFO adopted this TY
9d % LIFO closing inventory
9e Rules of Sec 263A apply? No
9f Change in determining quantities, cost,
valuations? No
Schedule B Other Information
1(a) Cash
1(b) Accrual Checked
1(c) Other
2(a) Business Activity Architecture
2(b) Commercial
Product or Service Landscaping
3 Corp own 50% or more? No
4 Member of controlled group No
5 Required to file F8264
6 Issued publicly offered debt instruments
7 C corporation before elected
8 Accumulated earnings/profits close of yr
9 Total receipts less than $250,000? No
Schedule K Shareholders’ Shares of Income, Deductions, Credits, etc.
1 Ordinary business income (loss) (17,490,947)
2 Net rental real estate income (loss)
3a Other gross rental income (loss)
3b Expenses from other rental activities
3c Other net rental income (loss)
4 Interest income 2,500,000
5a Ordinary dividends
5b Qualified dividends 2,480,000
6 Royalties
7 Net short-term capital gain (loss)
8a Net long-term capital gain (loss)
8b Collectibles (28%) gain (loss)
8c Un-recaptured section 1250 gain
9 Net section 1231 gain (loss)
10 Other income (loss)
11 Section 179 deduction
12a Contributions 500,000 Attachment 4
290
Tree Fixr Upper, Inc. 11-0000009
Form 1120S Test 9 U.S. Income Tax Return for an S Corporation 2006
12b Investment interest expense 340
12c(1) Section 59(e)(2) expenses – Type
12c(2) Section 59(e)(2) expenses – Amount
12d Other deductions -Type R
12d Other deductions 320,210 Attachment 5
13a Low-income housing credit {sec 42(j)(5)}
13b Low-income housing credit (other)
13c Qualified rehabilitation expenses
13d Other rental real estate credits
13e Other rental credits
13f Credit for alcohol used as fuel
13g Other credits and credit recapture
14a Name of country or U.S. possession
14b Gross income from all sources
14c Gross income at shareholder level
14d Passive
14e Listed categories
14f General limitation
14g Interest expense
14h Other
14i Passive
14j Listed categories
14k General limitation
14l Foreign taxes aid Paid
Accured
14m Reduction in taxes available for credit
14n Other Foreign tax Information 168,150
15a Post-1986 depreciation adjustment (165,700)
15c Depletion
15d Oil, gas, and geothermal properties-gross
income
15e Oil, gas, and geothermal properties-
deductions
15f Other AMT items
16a Tax-exempt interest income
16b Other tax-exempt interest income
16c Nondeductible expenses 491,410
16d Property distributions
16e Repayment of loans from shareholders
17a Investment income 4,980,000
17b Investment expenses
17c Dividend distributions paid from accum E&P
17d Other items and amounts
18 Income/loss reconciliation (13,331,497)
Schedule L Balance Sheets per Books
Beginning of tax year End of tax year Write-in / Literal
(a) (b) (c) (d)
1 Cash 61,000,300 125,954,114
2a Trade notes 88,799,978 310,294,485
2b Less allowance 88,799,978 310,294,485
3 Inventories 92,101,022 91,180,300
4 U.S. govt oblig
5 Tax-exempt sec.
6 Othr curr assets 2,700,000 2,300,000 Attachment 6
291
Tree Fixr Upper, Inc. 11-0000009
Form 1120S Test 9 U.S. Income Tax Return for an S Corporation 2006
7 Loans to sharhldrs
8 Mortgage & real
estate loan
9 Othr invest 1,180,400 600,484 Attachment 7
10a Bldgs & othr deprec
assets 40,270,500 40,270,500
10b Less accum deprec 12,250,400 28,020,100 12,300,600 27,969,900
11a Depletable assets
11b Less accum depeltn
12 Land 2,200,900
13a Intang assets
13b Less accum amortiz
14 Other assets
15 Total assets 273,801,800 560,500,183
16 Accts payable 170,700,400 449,809,280
17 Mortgages, notes,
bonds payable < 1yr 200,800 500,000
18 Othr curr liabililties 10,500,600 23,100,999 Attachment 8
19 Loans frm sharhldrs
20 Morrtgages, notes,
bonds payable > 1yr 18,660,600 18,300,300
21 Other liabilities 1,700,900 Attachment 9
22 Capital stock 2,000,700 2,300,130
23 Additional paid –in
capital 3,005,550 6,120,200
24 Retained earnings 68,733,150 58,668,374
25 Adj to shareholders
equity
26 Less cost of
treasury stock
27 Total liabilities &
sharhldrs equity 273,801,800 560,500,183
Schedule Reconciliation of Income (Loss) per Books with Income (Loss) per Return
M-1
1 Net Income
2 Income included on Sch K
3 Expenses recorded on books
3a Depreciation
3b Travel &
entertainment
4 Add lines 1 – 3
5 Income recorded on books
5a Tax-exempt interest
6 Deductions included on Sch K
6a Depreciation
7 Add lines 5 & 6
8 Income (loss)
292
Tree Fixr Upper, Inc. 11-0000009
293
Tree Fixr Upper, Inc. 11-0000009
Form Schedule M-3 Net Income (Loss) Reconciliation for Corporations 2006
(1120S) Test 9 With Total Assets of $10 Million or More
Name: Tree Fixr Upper, Inc.
EIN: 11-0000009
Part I Financial Information and Net Income (Loss) Reconciliation
Line Description Line Amount / Information Write-in / Literal
1a Prepare certified audited income stmt? Yes
1b Prepare income stmt?
2 Income statement period 01/01/2006 12/31/2006
3a Income statement re-stated? No
3b Income stmt restated for 5 periods? No
4 Worldwide consol net income (14,802,957)
5a Net income non-includible foreign
5b Net loss non-includible foreign 200
6a Net income non-includible US
6b Net loss from non-includible US
7a Net income from non-includible Other
7b Net loss non-includible Other
8 Adjust to eliminations of transact
9 Adjust to reconcile income stmt
10 Other adjust to reconcile
11 Net income (loss) per stmt (14,802,757)
Part II Reconciliation of Net Income (Loss) per Income Statement of Includible Corporations With
Taxable Income per Return
Form Schedule M-3 Net Income (Loss) Reconciliation for Corporations 2006
(1120S) Test 9 With Total Assets of $10 Million or More
20 Org issue disc
Incom stmt gain/
21a loss on sale
21b Gross cap gain
21c Gross cap loss
21d Net gain/loss
21e Abandonment
21f Worthless stck
21g Othr gain/loss
22 Othr incm (loss)
23 Tot incm (loss) (1,855,440,760) (200) (1,855,440,760)
24 Tot expns/ded (5,889,300) 980,050 491,410 (4,417,840)
Othr incm (loss)
25 w/ no diff 1,846,527,303 1,846,527,303
26 Reconcil (14,802,757) 980,050 491,210 (13,331,497)
Part III Reconciliation of Net Income (Loss) per Income Statement of Includible Corporations With
Taxable Income per Return – Expense/Deduction Items
(a) (d)
Income (loss) Income
per Income (b) (c) (loss) per
Stmt Temp Perm Tax Write-in /
Difference Difference Return Literal
US curr incm tax
1 expense
US defer incmn
2 tax expns
State local curr
3 incm tax expns
State local defer
4 incm tax expns
Forgn curr incm
5 tax expense
Forgn deferred
6 incm tax expns
Equity-based
7 compensation
8 Meals Entrtmnt
9 Fines penalties 336,410 (336,410) 0
10 Judgements
Pension profit
11 shar 1,300,000 1,300,000
12 Othr post retrmnt
13 Deferred comp 2,590,000 (1,960,100) 629,900
Charitable
contribution
14 cash/tang 500,000 500,000
Charitable
contribution
15 intangible prop
CY acquis or
reorg investmt
16 banking fees
CY acquist/reorg
17 legal/acct fees
295
Tree Fixr Upper, Inc. 11-0000009
Form Schedule M-3 Net Income (Loss) Reconciliation for Corporations 2006
(1120S) Test 9 With Total Assets of $10 Million or More
CY acquis othr
18 costs
19 Amort of gdwill
20 Amort of acquis
21 Other amortizat
22 Sec 198 environ
Depletion Oil &
23a Gas
Depletion Othr
23a Oil & Gas
24 Depreciation 26,234 26,234
25 Bad debt expns
Interest
26 Expense 120,440 120,440
27 Corp-own life ins 619,916 (155,000) 464,916
28 Purch vs lease
29 Other expns/ded 396,300 980,050 1,376,350 Attachment 12
Total expense/
30 deduction items 5,889,300 (980,050) (491,410) 4,417,840
296
Tree Fixr Upper, Inc. 11-0000009
297
Tree Fixr Upper, Inc. 11-0000009
42
43 Amort of costs
before 2004 TY
44 Total
299
Tree Fixr Upper, Inc. 11-0000009
300
Tree Fixr Upper, Inc. 11-0000009
302
Tree Fixr Upper, Inc. 11-0000009
303
Tree Fixr Upper, Inc. 11-0000009
304
Tree Fixr Upper, Inc. 11-0000009
305
Tree Fixr Upper, Inc. 11-0000009
306
Tree Fixr Upper, Inc. 11-0000009
307
Tree Fixr Upper, Inc. 11-0000009
Sch K-1 (Form Shareholder's Share of Income, Deductions, Credits, etc. 2006
1120S) Test 9
Tax year beginning January 1, 2006 ending December 31, 2006
Final K-1
Amended K
Part I Information About the Corporation
A Corporation's employer identification number 11-0000009
B Corporation's name, address, city, state, and Tree Fixr Upper, Inc.
Zip code 39 Any Street
Anytown, OK 74002
C IRS Center where corporation filed return OSPC
D Tax shelter registration number, if any
E Check if Form 8271 is attached
Part II Information About the Shareholder
F Shareholder's Identification number 999-06-0014
G Shareholder's name, address, city, state and Rose B. Trim
ZIP code 57 Any Street,
Anytown, PA 17201 ROSE
H Shareholder's percentage of stock ownership
for tax year 100.000
Part III Shareholder's Share of Current Year Income, Deductions, Credits, or Other Items
Line Description Line Amount / Write-in / Literal /
Information Attachments
1 Ordinary business income (loss) (17,490,947)
2 Net rental real estate income (loss)
3 Other net rental income (loss)
4 Interest income 2,500,000
5a Ordinary dividends 2,480,000
5b Qualified dividends 2,480,000
6 Royalties
7 Net short-term capital gain (loss)
8a Net long-term capital gain (loss)
8b Collectibles (28%) gain (loss)
8c Un-recaptured section 1250 gain
9 Net section 1231 gain (loss)
10 Other income (loss)
11 Section 179 deduction
12 Other deductions A 500,000
R 320,210
G 340
13 Credits & credit recapture
14 Foreign transactions
15 Alternative minimum tax (AMT) items A 168,150
B (165,700)
16 Items affecting shareholder basis C 491,410
17 Other Information A 4,980,000
308
Pack For You Incorporated 11-0000010
TEST SCENARIO 10
FORMS REQUIRED: 1120S, Sch M-3 (1120S), 4562, 4797, 8865, Sch O (8865), Sch K-1 (8865), Sch K-
1, 8916-A (Attach in PDF until schema is published)
ATTACHMENTS:
ItemizedOtherIncomeSchedule2
ItemizedOtherDeductionSchedule2
ItemizedOtherCostsSchedule
CharitableContributionsSchedule
ItemizedOtherDeductionsSchedule3
ItemizedOtherCurrentAssetsSchedule(2)
ItemizedOtherInvestmentsSchedule
ItemizedOtherAssetsSchedule(2)
ItemizedOtherCurrentLiabilitiesSchedule(2)
ItemizedOtherLiabilitiesSchedule(2)
PartnershipInterestSchedule(2)
OtherExpenseDeductionItemsWithDifferencesSchedule
ItemizedOtherIncomeLossSchedule
ItemizedOtherIncreasesSchedule2
NO ENTRY FIELDS:
HEADER INFO:
MultipleSoftwarePackagesUsed: Yes or No
309
Pack For You Incorporated 11-0000010
DateSigned: 01/25/07
IRS PAYMENT:N/A
Total (element not in schema do not need to input ... info purposes only) 97,001,030
Depreciation 97,613,964
Allocation of Cost of Goods Sold 270,480
Cost of Service 132,770,633
Total (element not in schema do not need to input ... info purposes only) 230,655,077
Amount: 150,260
310
Pack For You Incorporated 11-0000010
Amount: 9,099,724
Code: R
Attachment 6, Form 1120S, Page 3, Sch L, Line 6 (b/d): Other current assets
(ItemizedOtherCurrentAssetsSchedule)
Beginning Ending
Pre-paid & Deposits 582,977,903 164,993,893
Attachment 8, Form 1120S, Page 4, Sch L, Line 14 (b/d): Other Assets (ItemizedOtherAssetsSchedule)
Beginning Ending
Mortgages and Notes Receivable 79,840,873 11,630,971
Capital Leases 3,841,803
Prepaid Commissions 80,500,600 16,100,999
Total (element not in schema do not need to input ... info purposes only) 164,183,276 27,731,970
Attachment 9, Form 1120S, Page 4, Sch L, Line 18(b/d): Other Current Liabilities
(ItemizedOtherCurrentLiabilitiesSchedule)
Beginning Ending
Accrued Expenses 1,360,057,720 932,691,230
Total (element not in schema do not need to input ... info purposes only)1,360,057,720 932,691,230
Attachment 10, Form 1120S, Page 4, Sch L, Line 21: Other Liabilities (ItemizedOtherLiabilitiesSchedule)
Beginning Ending
Deferred Compensation 357,533,671 77,986,049
Total 357,533,671 77,986,049
Attachment 11, Page 5, Schedule M-3, Part II, Line 7: Income (Loss) from U.S. Partnerships
(PartnershipInterestSchedule(1))
Attachment 12, Page 5, Schedule M-3, Part II, Line 8: Income (Loss) from Foreign
(PartnershipInterestSchedule (2))
Sharing % Sharing % a b c d
Attachment 14, Page 12, Form 8865, Sch B, Line 7: Itemized Other Income Loss Schedule
(ItemizedOtherIncomeLossSchedule)
Attachment 15, Form 8865, Page 14, Sch L, Line 6(b):Other current assets
(ItemizedOtherCurrentAssetsSchedule)
Beginning Ending
Pre-paid & Deposits 1,083,000
Total 1,083,000
Attachment 16, Form 8865, Page 14, Sch L, Line 13(b) & (d): Other Assets
(ItemizedOtherAssetsSchedule)
Beginning Ending
Prepaid Commissions 2,262,195 3,868,628
Total 2,262,195 3,868,628
Attachment 17, Form 8865, Page 14, Sch L, Line 17(b) & (d): Other Current Liabilities
(ItemizedOtherCurrentLiabilitiesSchedule)
Beginning Ending
Accrued Expenses 3,704,000 3,892,000
Total 3,704,000 3,892,000
Attachment 18, Form 8865, Page 14, Sch L, Line 20(b) & (d): Other Liabilities
(ItemizedOtherLiabilitiesSchedule)
Beginning Ending
Loans From Pack & Move Inc. 10,642,318
Deferred Compensation 5,610,000 4,878,682
Total 5,610,000 15,521,000
Attachment 19, Form 8865, Page 15, Sch M-2, Line 4: Other Increases
(ItemizedOtherIncreasesSchedule2)
Total 1,612,000
312
Pack For You Incorporated 11-0000010
Form 1120S Test 10 U.S. Income Tax Return for an S Corporation 2006
Calendar Year 2005 or tax year beginning April 1 , 2006, ending March 31 , 2007
A Effective date of S Election 05/29/1992
B Business code 488990
Name and Address: Pack For You, 40 Any Street, Anytown, IA 52544
C EIN 11-0000010
D Date of incorporated 02/12/1989
E Total assets 930,600,500
F Check applicable boxes
G Number of Shareholders 1
H Required Sched M-3 attached Checked
Line Description Line Amount / Info Write-in Literal/Attachments
1a Gross Receipts or sales 710,300,800
1b Less returns and allowances 20,100,300
1c Balance 690,200,500
2 Cost of goods sold (Sch A, line 8) 483,305,500
3 Gross profit. Subtract line 2 from line 1c 206,895,000
4 Net gain (loss) (2,000)
5 Other Income (loss) 84,820,790 Attachment 1
6 Total income (loss). Add lines 3 through 5 291,713,790
7 Compensation of officers 2,970,600
8 Salaries/wages (less employment credits) 24,250,860
9 Repairs and maintenance 24,696
10 Bad debts 12,652
11 Rents 1,050,744
12 Taxes and licenses 7,742,830
13 Interest 87,656,234
14c Subtract line 14b from 14a 11,132,439
15 Depletion (Do not deduct oil/gas depletion) 2,461,590
16 Advertising 8,007,828
17 Pension, profit-sharing, etc., plans 7,989,977
18 Employee benefit programs 6,002,121
19 Other deductions (attach schedule) 97,001,030 Attachment 2
20 Total deductions ( add amounts shown far
right for lines 7 through 19 256,303,601
21 Ordinary business income (loss) Subtract
line 20 from line 6 35,410,189
22a Tax: Excess net passive income tax
22b Tax from Schedule D
22c Add lines 22a and 22b
23a Payments:
23b Tax deposit with Form 7004
23c Credit for Federal tax paid on fuels
23d Add lines 23a through 23c
23e Add lines 23a through 23d
24 Estimated tax penalty
25 Tax Due.
26 Overpayment
27 Credit elected to 2007 Refund
Line Description Line Amount / Info Write-in Literal/Attachments
May IRS discuss this return? Yes
Preparer's SSN or PTIN: 999-06-0007
Preparer Firm's name/address: Electronic Tax
313
Pack For You Incorporated 11-0000010
Form 1120S Test 10 U.S. Income Tax Return for an S Corporation 2006
Filers, Inc
100 Efile Drive,
Anytown, TX 78621
Preparer's EIN: 11-0000011
Preparer's Phone no.: 512-555-1212
Schedule A
Cost of Goods Sold
1 Inventory at beginning of year 42,121,005
2 Purchases 220,583,445
3 Cost of labor 50,950,284
4 Additional section 263A cost
5 Other costs 230,655,077 Attachment 3
6 Total 544,309,811
7 Inventory at the end of year 61,004,311
8 Cost of goods sold 483,305,500
9a (i) Cost as described in Reg. Sec. 1.471-3 Checked
9a (ii) Lower of cost or market
9a (iii) Other
9b Write-down of sub goods
9c LIFO adopted this TY
9d % LIFO closing inventory
9e Rules of Sec 263A apply? No
9f Change in determining quantities,
cost, valuations? No
Schedule B Other Information
1(a) Cash
1(b) Accrual Checked
1(c) Other
2(a) Business Activity Transportation
2(b) Product or Service Moving Service
3 Corp own 50% or more? No
4 Member of controlled group No
5 Required to file F8264
6 Issued publicly offered debt instruments
7 C corporation before elected
8 Accumulated earnings/profits close of yr
9 Total receipts less than $250,000? No
Schedule K Shareholders’ Shares of Income, Deductions, Credits, etc.
1 Ordinary business income (loss) 35,410,189
2 Net rental real estate income (loss)
3a Other gross rental income (loss)
3b Expenses from other rental activities
3c Other net rental income (loss)
4 Interest income 319,441
5a Ordinary dividends
5b Qualified dividends
6 Royalties
7 Net short-term capital gain (loss)
8a Net long-term capital gain (loss)
8b Collectibles (28%) gain (loss)
8c Un-recaptured section 1250 gain
9 Net section 1231 gain (loss)
10 Other income (loss)
11 Section 179 deduction
12a Contributions 150,260 Attachment 4
314
Pack For You Incorporated 11-0000010
Form 1120S Test 10 U.S. Income Tax Return for an S Corporation 2006
12b Investment interest expense
12c(1) Section 59(e)(2) expenses – Type
12c(2) Section 59(e)(2) expenses – Amount
12d(1) Other deductions Trade/Business Activity 484110
12d(2) Other deductions Description Deductions from ABC LLC
12d(3) Other deductions -Amount 9,099,724
12d(4) Other deductions - Code R Attachment 5
13a Low-income housing credit {sec 42(j)(5)}
13b Low-income housing credit (other)
13c Qualified rehabilitation expenses
13d Other rental real estate credits
13e Other rental credits
13f Credit for alcohol used as fuel
13g Other credits and credit recapture
14a Name of country or U.S. possession
14b Gross income from all sources
14c Gross income at shareholder level
14d Passive
14e Listed categories
14f General limitation
14g Interest expense
14h Other
14i Passive
14j Listed categories
14k General limitation
14l Foreign taxes paid Paid
Accrued
14m Reduction in taxes available for credit
14n Other Foreign tax Information
15a Post-1986 depreciation adjustment
15c Depletion
15d Oil, gas, and geothermal properties-gross
income
15e Oil, gas, and geothermal properties-
deductions
15f Other AMT items
16a Tax-exempt interest income
16b Other tax-exempt interest income
16c Nondeductible expenses
16d Property distributions
16e Repayment of loans from shareholders
17a Investment income 319,441
17b Investment expenses
17c Dividend distributions paid from accum
E&P
17d Other items and amounts
18 Income/loss reconciliation 26,479,646
Schedule L Balance Sheets per Books
Beginning of tax year End of tax year Write-in /
Literal
(a) (b) (c)
1 Cash 5,480,500 5,921,010
2a Trade notes 71,930,887 41,002,012
2b Less allowance 872,090 71,058,797 993,893 40,008,119
315
Pack For You Incorporated 11-0000010
Form 1120S Test 10 U.S. Income Tax Return for an S Corporation 2006
3 Inventories 42,121,005 61,004,311
4 U.S. govt oblig
5 Tax-exmpt sec.
6 Othr curr assets 582,977,903 164,993,893 Attachment 6
7 Loans to sharhldrs
8 Mortgage & real
estate loan
9 Othr invest 439,992,899 160,067,000 Attachment 7
10a Bldgs & othr
deprec assets 334,387,346 528,834,349
10b Less accum
deprec 82,253,997 252,133,349 108,128,046 420,706,303
11a Depletable
assets
11b Less accum
depeltn
12 Land 50,619,988 50,167,894
13a Intang assets
13b Less accum
amortiz
14 Other assets 164,183,276 27,731,970 Attachment 8
15 Total assets 1,608,567,717 930,600,500
16 Accts payable 54,918,743 68,013,537
17 Mortgages,
notes, bonds
payable < 1yr
18 Othr curr
liabililties 1,360,057,720 932,691,230 Attachment 9
19 Loans frm
sharhldrs
20 Mortgages,
notes, bonds
payable > 1yr
21 Other liabilities 357,533,671 77,986,049 Attachment 10
22 Capital stock 404,000 404,000
23 Additional paid –
in capital 2,123,100 2,123,100
24 Retained
earnings (166,469,517) (150,617,416)
25 Adj to sharhldrs
equity
26 Less cost of
treasury stock
27 Total liabilities &
sharhldrs equity 1,608,567,717 930,600,500
Schedule M-1 Reconciliation of Income (Loss) per Books With Income (Loss) per Return
1 Net Income
2 Income included on Sch K
3 Expenses recorded on books
3a Depreciation
3b Travel & entertainment
4 Add lines 1 – 3
5 Income recorded on books
5a Tax-exempt interest
6 Deductions included on Sch K
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Pack For You Incorporated 11-0000010
Form 1120S Test 10 U.S. Income Tax Return for an S Corporation 2006
6a Depreciation
7 Add lines 5 & 6
8 Income (loss)(Sch K-1)
Schedule M-2 Analysis of Accumulated Adjustments Account, Other Adjustments Account
(a) (b) Other (c)Shareholder Write-in /
Accumulated adjustments undistributed Literal /
adjustments account taxable income Attachments
account
1 Bal begin of tax year (156,210,894)
2 Ordinary income 35,410,189
3 Other additions 319,441
4 Loss from Pg 1, Line 21
5 Other reductions (9,249,984)
6 Combine lines 1 – 5 (129,731,248)
7 Distributions other than
dividends distributions
8 Bal end of tax year (129,731,248)
317
Pack For You Incorporated 11-0000010
Form Schedule M-3 (1120S) Net Income (Loss) Reconciliation for Corporations 2006
Test 10 With Total Assets of $10 Million or More
Name: Pack For You, 40 Any Street, Anytown, IA 52544
EIN: 11-0000010
Part I Financial Information and Net Income (Loss) Reconciliation
Line Description Line Amount / Write-in / Literal
Information
Prepare certified audited income
1a stmt? Yes
1b Prepare income stmt?
2 Income statement period 04/01/07 03/31/08
3a Income statement re-stated? No
3b Income stmt restated for 5 prds? No
4 Worldwide consol net income 15,852,101
5a Net income non-includble forgn
5b Net loss non-includble forgn
6a Net income non-includble US
6b Net loss frm non-includble US
7a Net income frm non-includble Othr
7b Net loss non-includble Othr
8 Adj to eliminations of transact
9 Adj to reconcile incm stmt
10 Othr adj to reconcile
11 Net income (loss) per stmt 15,852,101
Part II Reconciliation of Net Income (Loss) per Income Statement of Includible Corporations With
Taxable Income per Return
Form Schedule M-3 (1120S) Net Income (Loss) Reconciliation for Corporations 2006
Test 10 With Total Assets of $10 Million or More
revenue
19 Income recogn
20 Org issue disc
Income stmt gain/ loss
21a on sale (2,000) (2,000)
21b Gross cap gain
21c Gross cap loss
21d Net gain/loss (2,000) (2,000)
21e Abandonment
21f Worthless stck
21g Other gain/loss
22 Other incm (loss)
23 Tot incm (loss) (512,354,712) 7,979,829 (504,374,883)
24 Tot expns/ded (113,590,868) 2,647,716 (110,943,152)
Othr incm (loss) w/ no
25 difference 641,797,681 641,797,681
26 Reconcil 15,852,101 10,627,545 26,479,676
Part III Reconciliation of Net Income (Loss) per Income Statement of Includible Corporations With
Taxable Income per Return – Expense/Deduction Items
(a) (d)
Income (loss) (b) (c Income
per Income Temp Perm (loss) per Write-in /
Stmt Difference Difference Tax Return Literal
US curr incm tax
1 expense
US defer incmn tax
2 expns
State local curr
3 incm tax expns
State local defer
4 incm tax expns
Forgn curr incm tax
5 expense
Forgn deferred
6 incm tax expns
Equity-based
7 compensation
8 Meals Entrtmnt
9 Fines penalties
10 Judgements
11 Pension profit-sh 7,989,977 7,989,977
12 Othr post retrmnt
13 Deferred comp 1,540,000 1,540,000
Charitable
contribution
14 cash/tangibles 150,260 150,260
Charitable
contribution
15 intangible prop
CY acquis or reorg
investmt banking
16 fees
CY acquist/reorg
17 legal/acct fees
CY acquis other
18 costs
19 Amort of gdwill
319
Pack For You Incorporated 11-0000010
Form Schedule M-3 (1120S) Net Income (Loss) Reconciliation for Corporations 2006
Test 10 With Total Assets of $10 Million or More
20 Amort of acquis
21 Other amortizat
22 Sec 198 environ
23a Depletion Oil/Gas
Depletion Othr Oil
23b & Gas 2,461,590 2,461,590
24 Depreciation 11,132,439 11,132,439
25 Bad debt expns 12,652 12,652
26 Interest Expense 87,656,234 87,656,234
27 Corp-own life ins
28 Purch vs lease
29 Other expns/ded 2,647,716 0 (2,647,716) 0 Attachment 13
Total expense/
30 deduction items 113,590,868 (2,647,716) 110,943,152
320
Pack For You Incorporated 11-0000010
321
Pack For You Incorporated 11-0000010
42 Amort of costs
during 2004 TY
43 Amort of costs
before 2004 TY
44 Total
322
Pack For You Incorporated 11-0000010
324
Pack For You Incorporated 11-0000010
Form 8865 Test 10 Return of U.S. Persons with Respect to Certain 2006
Foreign Partnerships
Tax year beginning 04/01 , 2006, ending 03/31 , 2007
Name: Pack For You Incorporated
EIN: 11-0000010
Address:
Line Description Line Amount / Information Write-in / Literal /
Attachments
A Category of filer 1 is checked
B Filer’s TY beginning and ending 04/01/2006 03/31/2007
Filer’s share of liabilities – Non-
C recourse
Filer’s share of liabilities – Qualified
C non-recourse 4,800,000
C Filer’s share of liabilities - Other
D Name, Address, EIN
E(1) Name Ralph R. Lift
56 Any Street, Anytown,
E(2) Address VA 22195
E(3) Identifying number 999-06-0013
E(4) Check applicable box Category 1 is checked
Hank R. Truck
Name and address of foreign 1 Foreign Plaza
F1 partnership AnyProvince, Japan
F2 EIN if any
F3 Country under laws organized
F4 Date of organization 08/30/1966
F5 Principal place of business JA
F6 Principal business activity code 488990
F7 Principal business activity Freight Company
F8a Functional currency Japanese Yen
F8b Exchange rate .7990
G1 Name, Address, EIN
G2 Foreign partnership must file
G3 Name, address of foreign agent
Name, address of person w/
G4 custody of books and location
G5 Special allocation made No is checked
G6 Number of F8858 1
G7 How is partnership classified Partnership
G8 Owned separate units No is checked
G9 Meet both requirements No is checked
Preparer's SSN or PTIN: 999-06-007
Preparer Firm's name/address: Electronic Tax Filers, Inc
Preparer's EIN: 11-0000011
Preparer's Phone no.: 512-555-1212
Schedule A Constructive Ownership of Partnership Interest
Check boxes that apply ( a, b) Checkbox “a” is checked
Name
Address
Identifying number
Foreign person
Direct partner
Schedule A-1 Certain Partners of Foreign Partnership
325
Pack For You Incorporated 11-0000010
Form 8865 Test 10 Return of U.S. Persons with Respect to Certain 2006
Foreign Partnerships
Name
Address
Identifying number
Foreign person No is checked
Any Other Foreign person as a
direct partner
Schedule A-2 Affiliation Schedule
Name
Address
EIN
Total ordinary income
Foreign partnership
Schedule B
1a Gross receipts 1,700,722
1b Less return and allowances
1c Net gross receipts or sales 1,700,722
2 Cost of good sold
3 Gross profit 1,700,722
4 Ordinary income
5 Net farm profit
6 Net gain (loss)
7 Other income 12,900 Attachment 14
8 Total income 1,713,622
9 Salaries and wages
10 Guaranteed payments to prtnrs
11 Repairs and maintenance 14,013,622
12 Bad debts
13 Rent
14 Taxes and licenses
15 Interest
16a Depreciation
16b Less depreciation
16c Net depreciation
17 Depletion
18 Retirement plans
19 Employee benefits programs
20 Other deductions
21 Total deductions 14,013,622
22 Ordinary business income (12,300,000)
Schedule D Capital Gains and Losses
Part I Short-Term Capital Gains and Lasses - Assets Held One Year or Less
1(a) Description of property
1(b) Date acquired
1(c) Date sold
1(d) Sales price
1(e) Cost or other basis
1(f) Gain or loss
2 Short-term capital gain fm F6252
3 Short-term capital gain fm F8824
4 Prntshp share of short-term gain
5 Net short-term gain
Part II Long-Term Capital Gains and Lasses - Assets Held More Than One Year
6(a) Description of property
326
Pack For You Incorporated 11-0000010
Form 8865 Test 10 Return of U.S. Persons with Respect to Certain 2006
Foreign Partnerships
6(b) Date acquired
6(c) Date sold
6(d) Sales price
6(e) Cost or other basis
6(f) Gain or loss
7 Long-term capital gain fm F6252
8 Long-term capital gain fm F8824
9 Prntshp share of long-term gain
10 Capital gain distribution
11 Net long-term gain
Schedule K Partners Distributive Share Items
Line Description Line Amount / Information Write-in / Literal
1 Ordinary business income (loss) (12,300,000)
2 Net rental real estate income
3a Other gross rental income (loss)
3b Expenses fm other rent activities
3c Other net rental income (loss)
4 Guaranteed payments
5 Interest income 12,900
6a Ordinary dividends
6b Qualified dividends
7 Royalties
8 Net short-term capital gain
9a Net long-term capital gain
9b Collectibles
9c Un-recaptured section 1250 gain
10 Net section 1231 gain
11 Other income
12 Sec 179 deduction
13a Contributions
13b Investment income exp
13c1 Sec 59(e) type
13c2 Sec 59(e) amount
13d Other deductibles
14a Net earnings
14b Gross farm income
14c Gross non farm income
15a Low-income housing credit
15b Low-income other
15c Qualified rehab expenditures
15d Other rental real estate credit
15e Other rental credits
15f Other credits and recapture
16a Name of country
16b Gross income all sources
16c Gross income sources
16d Passive
16e Listed categories
16f General limitation
16g Interest expense
16h Other
16i Passive
16j Listed categories
327
Pack For You Incorporated 11-0000010
Form 8865 Test 10 Return of U.S. Persons with Respect to Certain 2006
Foreign Partnerships
16k General limitation
16l Total foreign tax
16m Reduction in taxes
16n Other foreign tax
17a Post-1986 depreciation
17b Adjusted gain/loss
17c Depletion
17d Oil, gas and geothermal - gross
17e Oil, gas and geothermal - ded
17f Other AMT items
18a Tax-exempt income
18b Other tax-exempt income
18c Nondeductible expense
19a Distribution of cash
19b Distribution of other property
20a Investment income 12,900
20b Investment expenses
20c Other items and amounts
Schedule L Balance Sheets per Books (Not required if Q G9, page 1, is answered "Yes.")
Beginning of tax End of tax year Write-in /
year Literal
(a) (b) (c) (d)
1 Cash 2,419,805 5,781,372
2a Trade notes 14,000
2b Less allowance 14,000
3 Inventories
4 U.S. govt oblig
5 Tax-exempt securities
6 Other current assts 1,083,000 Attachment 15
7 Mortgage & real estate
loan
8 Other investments
9a Bldgs/othr deprec assts
9b Less accumlatd deprec
10a Depletable assts
10b Less accumlatd dpleton
11 Land
12a Intangible assets
12b Less accum amortiz
13 Other assets 2,262,195 3,868,628 Attachment 16
14 Total assets 5,765,000 9,664,000
15 Accounts payable
16 Mortgages, notes,
bonds payable < 1yr
17 Other current
liabilities 3,704,000 3,892,000 Attachment 17
18 All non-recourse
loans
19 Mortgages, notes,
bonds payable > 1yr
20 Other liabilities 5,610,000 15,521,000 Attachment 18
21 Partner Capital stock (3,549,000) (9,749,000)
22 Total liability/cap 5,765,000 9,664,000
328
Pack For You Incorporated 11-0000010
Form 8865 Test 10 Return of U.S. Persons with Respect to Certain 2006
Foreign Partnerships
Schedule M Balance Sheets for Interest Allocation
(a) (b) Write-in / Literal
Begin of Tax Year End of Tax Year Attachments
1 Total U.S. assets 1,608,567,717 930,600,500
2 Total foreign assets
2a Passive income category
2b Listed categories
2c Gen limitation income category 5,765,000 99,664,000
Schedule M-1 Reconciliation of Income (Loss) per Books With Income (Loss) per Return
1 Net Income (7,812,000)
2 Income included on Sch K
3 Guaranteed payments
4 Expenses recorded on books
4a Depreciation
4b Travel & entertainment
5 Add lines 1 through 4
6 Income recorded on books
6a Tax-exempt interest
7 Deductions included on Sch K
7a Depreciation
8 Add lines 6 & 7
9 Income/ (loss) Subtract line 8 - 5 (7,812,000)
Schedule M-2 Analysis of Partners Capital Accounts
1 Balance at beg of year (3,549,000)
2a Capital contrib. – Cash
2b Capital contrib. – Prop
3 Net Income (loss) per book
4 Other increases – itemized 1,612,000 Attachment 19
5 Add lines 1 through 4 (1,937,000)
6a Distributions – Cash
6b Distributions – Property 7,812,000
7 Other decreases – itemized
8 Add lines 6 and 7 7,812,000
9 Balance at end of year (9,749,000)
Schedule N Transactions Between Controlled Foreign Partnership and Partners
(a) (b) (c) (d)
US person Domestic Foreign corp 10% direct
filing return corp control controlled interest Write-in/Literal
1 Sales of invent
2 Sales of property rghts
3 Comp rcvd for tech,
mgmt services
4 Comm receivd
5 Rents/royal/fees receivd
(a) (b) (c) (d)
US person Domestic Foreign corp 10% direct
filing return corp control controlled interest Write-in/Literal
6 Distribution receivd
7 Interest receivd
8 Other
9 Add lines 1 through 9
10 Purchase of invent
11 Purch tangible proprty
329
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Form 8865 Test 10 Return of U.S. Persons with Respect to Certain 2006
Foreign Partnerships
12 Purch prop rights
13 Compens paid
14 Commiss paid
15 Rent,royal paid
16 Distribution pd
17 Interest paid
18 Other
19 Add lines 10 through 18
20 Amounts borrowed 10,642,318
21 Amounts loaned
330
Pack For You Incorporated 11-0000010
331
Pack For You Incorporated 11-0000010
Sch K-1 (Form Partner's Share of Income, Deductions, Credits, etc. 2006
8865) Test 10
Calendar year 2006, or tax year beginning 04/1, 2006 ending 03/31, 2007
Final K-1
Amended K
Part I Information About the Partnership
Line Description Line Amount Write-in / Literal /
Attachments
A Partnership's employer identification number 11-0000022
B Partnership's name, address, city, state, and Hank R. Truck
Zip code 1 Foreign Plaza
AnyProvince, Japan
Part II Information About the Partner
C Partner's identifying number 11-0000010
D Partner's name, address, city, state and ZIP Pack For You
code Incorporated
40 Any Street
Anytown, IA 52544
E Partner's share of profit, loss, capital and Beginning Ending
deductions:
Profit 100% 100%
Loss 100% 100%
Capital 100% 100%
Deductions 100% 100%
F Partner's capital account analysis
Beginning capital account
Capital contributed during the year
Current year increase (decrease)
Withdrawals & Distributions
Ending capital account
Tax basis
GAAP
Section 704(b) book
Other (explain)
Part III Partner's Share of Current Year Income, Deductions, Credits, or Other Items
1 Ordinary business income (loss) (12,300,000)
2 Net rental real estate income (loss)
3 Other net rental income (loss)
4 Guaranteed payments
5 Interest income 12,900
6a Ordinary dividends
6b Qualified dividends
7 Royalties
8 Net short-term capital gain (loss)
9a Net long-term capital gain (loss)
9b Collectibles (28%) gain (loss)
9c Un-recaptured section 1250 gain
10 Net section 1231 gain (loss)
11 Other income (loss)
12 Section 179 deduction
13 Other deductions
14 Self-employment earning (loss)
332
Pack For You Incorporated 11-0000010
333
Pack For You Incorporated 11-0000010
334
Pack For You Incorporated 11-0000010
335
RamcFile, Inc. 11-0000030
TEST SCENARIO 1
HEADER INFO:
TEST SCENARIO 2
ATTACHMENTS: ConsolidatedGroupMembersSch
HEADER INFO:
IRS PAYMENT:
RTN: 012345672
ACCT #: 1234000000
TYPE OF ACCOUNT: Checking
AMOUNT OF PAYMENT: 4,400
REQUESTED PAYMENT DATE: January 15, 2008
TAXPAYER DAYTIME PHONE NUMBER: 512-555-1111
TEST SCENARIO 3
HEADER INFO:
341
FOREIGNCO Group 11-0000033
342
Flower Store One 11-0000049
TEST SCENARIO 4
HEADER INFO:
343
Flower Store One 11-0000049
344
RedesignComp, Inc. 11-0000050
TEST SCENARIO 5
HEADER INFO:
345
RedesignComp, Inc. 11-0000050
346