Attach to Form 990 or 990-EZ.| Identifier | Return Reference | Explanation |
|---|---|---|
| 01. Description of other expenses (Part I, line 16) | DESCRIPTION AMOUNT DEPRECIATION FROM 4562 2717 SUPPLIES 1800 TELEPHONE 919 POSTAGE 88 BANK CHARGES 1347 CLUB FUNCTION 32324 | |
| 02. Other changes in net assets or fund balances (Part I, line 20) | DESCRIPTION AMOUNT CURRENT YEAR UNREAL GAIN FROM INVES 12040 CURRENT YEAR UNREAL LOSS FROM INVES 4648 PRIOR YEARS UNREALIZED NET LOSS 19837 | |
| 03. Description of other assets (Part II, line 24) | BEGINNING CATEGORY OF YEAR END OF YEAR INVENTORY FOR SALE OR USE 7447 7447 PREPAID EXPENSE 655 101 NET OF FIXED ASSETS 7259 42679 | |
| 04. Description of total liabilities (Part II, line 26) | BEGINNING CATEGORY OF YEAR END OF YEAR PAYROLL LIABILITIES 1109 607 |
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