Form Au-212.4 - Schedule Iv - New York State Pari-Mutuel Betting Tax Return - Outstanding Pari-Mutuel Tickets Balance Page 2

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AU-212.4 (8/04) (back)
Instructions
Current period — Enter the amount of outstanding tickets added
General information
this date.
This schedule will provide a daily reconciliation of outstanding
ticket balances. Track operators will prepare separate schedules for
Total outstanding — Add the two preceding lines and enter the
on-track races and inter-track wagering if segregated.
total.
List the name of the organization and type of racing applicable to
Paid in current period — Enter the total of outstanding tickets
outstanding ticket schedule. If on-track outstanding tickets include
cashed this date.
the uncashed tickets of an inter-track wagering participant, enter
the name of participant on the line provided. If this schedule is
Balance — Subtract the Paid in current period line from the Total
prepared by an inter-track wagering participant maintaining their
outstanding line and enter the remaining balance. This balance
own segregated outstanding ticket balances, enter the name of the
must also be entered as the Previous balance on the next
host track.
reconciliation date.
Line instructions
Remarks — Enter any explanation required.
Date — Enter the date of reconciliation.
Previous balance — Enter the balance from the last reconciliation.

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