Attach to Form 990 or 990-EZ.| Identifier | Return Reference | Explanation |
|---|---|---|
| 01. Description of other revenue (Part I, line 8) | Description Amount STORAGE INCOME 130 REFUNDS AND REIMBURSEMENT 69 | |
| 02. Description of other expenses (Part I, line 16) | Description Amount INTEREST 6 ADVERTISING 76 OFFICE SUPPLIES 284 DEPRECIATION 4226 SELLING EXPENSE 448 | |
| 03. Other changes in net assets or fund balances (Part I, line 20) | Description Amount CLOSING CASH DONATED TO CITY 68459 | |
| 04. Description of other assets (Part II, line 24) | Beginning Category of Year End of Year PREPAID INSURANCE 2689 0 | |
| 05. Description of total liabilities (Part II, line 26) | Beginning Category of Year End of Year ACCRUED INTESEST 132 0 DAMAGE DEPOSIT PAYABLE 1067 0 LOAN BALANCE 1200 0 ACCTS PAYABLE 170 0 |
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