EFTA00725863.pdf
dataset_9 pdf 96.4 KB • Feb 3, 2026 • 2 pages
United States Virgin Islands
ECONOMIC DEVELOPMENT COMMISION ANNUAL REPORT
Fiscal/Calendar Year Ending December 31. 2009
TNIseasta AGSM Financial Trust Company. Inc.
Gross Sales (Ineligible Sales) 8 Eligible for Tax Benefits ( $ )$ 100000
Other Income (Ineligible) 8 Eligible for Tax Benefits ( $ )$ -16947243
Gross Wages Paid in the V.I. (Include vacation 8 sick pay, bonuses. overtime. etc.) $ 718715
Average No. of Employees; Full Time 8 (Part Time/Other)... 10
Average No. of Residents: Full Time 8 (Part Time/Other)... 9
Average No. of Non-Residents: Full Time 8 (Part Time/Other)..
Other Employee Costs (Unemployment 8 health insurance. pension, allowance. etc.) $ 207563
Employee Income Taxes Paid and Withheld 191454
TAXES AND DUTIES (Provide dollar amount paid, and value of exemption/refund for each tax)
Gross Receipts: Amount Paid
Dollar Value of Exemption 4000
Real Property Tax: Amount Paid
Dollar Value of Exemption
Excise Taxes: Total Paid
Dollar Value of Exemption/Refund
Income Taxes: Total Paid
Dollar Value of Exemption/Refund
Customs Duties: Total Paid
Dollar Value of Exemption/Refund
Other: Hotel room taxes paid
Other Taxes. Fee Paid to V.I. Government 1297
TOTAL TAXES PAID: 1297
TOTAL VALUE OF EXEMPTIONS AND OR REFUNDS: 4000
EXPENDITURES FOR GOODS, SERVICES, PLANT & EQUIPMENT
Eligible Supplier V.I. Suppliers Non-Local Totals
Goods and Services:
Raw materials. components
Food. beverage
Freight Charges
Insurance 2640 12124 3570 $ 18334
Legal/ Accounting 115143 382306 $ 497449
Advertising / Promotion 1798 1798
Utilities (tel.. water. elect. etc.) 35952 35952
Interest 8 Other Bank Chg.
Supplies 3709 14454 806 $ 18969
Repairs/Maintenance 1521 4215 5736
Other (List Separately) 19000 110425 395 $ 129820
Subtotal, Goods and Svcs: 26870 294111 387077 $ 708058
Capital Expenditures:
Building 8 Improvements
Leasehold Improvements
Machinery / Equipment 10455 10455
Furniture / Fixtures
Vehicles
Other (List Separately)
Subtotal, Capital Expend: 10455 10455
GRAND TOTALS 26870 304566 387077 $ 718513
CUMULATIVE CAPITAL EXPENDITURES UNDER EDC CERTIFICATE 705364
Name/Signature of Preparer: Date:
tsrateJ
Jeanne Brennan Telephone Number:
iPrO4 NaM0)
EFTA00725863
Fiscal/Calendar Year Ending December 31. 2009
Company Name: Financial Trust Company. Inc.
EXPENDITURES FOR GOODS, SERVICES, PLANT & EQUIPMENT -Other
Eligible Supplier V.I. Suppliers Non-Local Totals
Goods and Services:
Dues and subscribtions 1020 395 S 1415
Seminars and education 1328 1328
Postage and delivery 2284 S 2284
Travel and related 6518 S 6518
Meals and transportaion 4311 S 4311
EDC Fees 19000 - S 19000
Rent 93779 S 93779
Other expenses 1185 1185
Subtotal, Goods and Svcs: 19000 110425 395 $ 129820
EXPENDITURES FOR CHARITABLE CONTRIBUTIONS
V.I. Educational V.I. Charity V.I. Foundation Funding Totals
Company 25000 14580 - S 39580
Foundation 6000 6825 - S 12825
31000 21405 S 52405
EFTA00725864
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Document Metadata
- Document ID
- 3aff24e9-388a-4013-9489-e7a9f8dfc118
- Storage Key
- dataset_9/EFTA00725863.pdf
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- Created
- Feb 3, 2026