Attach to Form 990 or 990-EZ.| Identifier | Return Reference | Explanation |
|---|---|---|
| Form 990, Part VI, Line 19 | Form 990, Part VI, Line 19: Other Organization Documents Publicly Available | DOCUMENTS OTHER THAN THE FORM 990 FOR THE IMMEDIATELY PRECEDING THREE TAX YEARS ARE NOT PUBLIC. PARTICIPANTS AND BENEFICIARIES ARE ABLE TO REVIEW THE FORM 990, 5500, THE GOVERNING DOCUMENTS FOR THE TRUST AND THE PLAN OF BENEFITS MAINTAINED BY THE TRUST, AS WELL AS FINANCIAL STATEMENTS BY INSPECTION AT THE FUND OFFICE OR ARE AVAILABLE ON REQUEST. MEMBERS ARE NOTIFIED IN WRITING OF THEIR RIGHT TO RECEIVE THE ABOVE INFORMATION. |
| Form 990, Part VI, Line 12c | Form 990, Part VI, Line 12c: Explanation of Monitoring and Enforcement of Conflicts | EACH TRUSTEE COMPLETES AN ANNUAL DISCLOSURE FORM FOR POTENTIAL CONFLICTS OF INTEREST, AND IS REQUIRED TO INFORM THE TRUST OF ANY CONFLICT THAT THE TRUSTEES BELIEVE MAY HAVE ARISEN. IF THE ADMINISTRATIVE STAFF OF THE TWIN CITY PIPE TRADES SERVICE ASSOCIATION, INC. BELIEVES A CONFLICT HAS ARISEN, OR IF INFORMATION OF A POTENTIAL CONFLICT IS DISCOVERED IN ANY OTHER MANNER, THAT INFORMATION IS COMMUNICATED TO THE TRUSTEES FOR REVIEW AND ATTENTION. |
| Form 990, Part VI, Line 11b | Form 990, Part VI, Line 11b: Form 990 Review Process | THE ADMINISTRATOR AND THE TRUSTEES REVIEW THE FORM 990 AND WILL CONSULT WITH THE PREPARER REGARDING ANY ITEM THAT THEY DETERMINE TO BE INSUFFICIENT OR REQUIRING ADDITIONAL INFORMATION OR DISCUSSIONA COPY OF THE FORM 990 IS ALSO SUBMITTED TO THE PLAN'S LEGAL COUNSEL |
| Form 990, Part VI, Line 3 | Form 990, Part VI, Line 3: Description of Delegated Duties to Management Company | THE TRUST DOES NOT HAVE ANY EMPLOYEES. CLAIMS PROCESSING AND ROUTINE ADMINISTRATIVE TASKS ARE PERFORMED BY THE TWIN CITY PIPE TRADES SERVICE ASSOCIATION,INC., A TAXABLE CORPORATION ESTABLISHED BY THE TRUST AND OTHER BENEFIT FUNDS TO FACILITATE DAY TO DAY ADMINISTRATIVE FUNCTIONS. |
| Client Note 2 - PART I - LINE 12 OTHER INCOME INCOME FROM GRANTOR TRUST ( 700 TRANSFER ROAD TRUST I.D. # 41-6251939) ( -5 909 ) | ||
| Client Note 1 - PART I - LINE 8 - PAGE 1 (A) (B) (C) PROCEEDS COST GAIN/LOSSMONEY MARKET FUNDS 110 175 223 110 175 223 U.S. TREASURY OBLIGATIONS 76 431 587 75 673 086 758 501GOVERNMENT AGENCIES 5 524 048 5 542 949 (18 901)CORPORATE BONDS AND NOTES 11 059 462 11 975 331 (915 869)COMMON AND PREFERRED STOCKS 497 984 508 946 (10 962)OPTIONS/FUTURES 1 919 816 2 302 073 (382 257) TOTALS 205 608 120 206 177 608 (569 488) PART II - LINE 24 - BENEFITS PAID TO OR FOR MEMBERSMEDICAL CLAIMS 52 682 997 DISABILITY PAYMENTS 424 587DEATH BENEFITS PAID 189 000 INSURANCE PREMIUMS PAID 5 587 735TOTAL 58 884 319 PART IV - LINE 54 - INVESTMENTS BEGINNING ENDINGU.S. GOVERNMENT OBLIGATIONS 18 782 147CORPORATE BONDS AND NOTES 4 440 086 176 192COMMON AND PREFERRED STOCKS 373 021 MUTUAL FUNDS 20 979 624MONEY MARKET FUNDS 2 953 896 20 442 910OTHER INVESTMENTS 23 444TOTALS 26 572 594 41 598 726 PART VI - LINE 80 - RELATED ORGANIZATIONS EXEMPT NON-EXEMPTTWIN CITY PIPE TRADES-SERVICE ASSOCIATION INC X -PENSION TRUST X -PENSION SUPPLEMENT TRUST X -RETIREE HEALTH TRUST X700 TRANSFER ROAD TRUST (A GRANTOR TRUST) X |
| Software ID: | 12000229 |
| Software Version: | 2012v2.0 |