Attach to Form 990 or 990-EZ.
Information about Schedule O (Form 990 or 990-EZ) and its instructions is at| Return Reference | Explanation |
|---|---|
| FORM 990, PAGE 1, BOX B | FORM 990 FOR UA LOCAL NO. 152 SAVINGS FUND HAS BEEN AMENDED. THE ORIGINAL FORM 990 WAS FILED PRIOR TO THE COMPLETION OF THE FUND'S AUDIT. THE FUND'S AUDIT WAS COMPLETED FEBRUARY 5, 2016, WITH ANY CHANGES OUTLINED BELOW: PART I: SUMMARY LINE 14, COLUMN B: 2,980,734 CHANGED TO 2,780,295 LINE 17, COLUMN B: 14,237 CHANGED TO 14,826 LINE 20, COLUMN B: 444,389 CHANGED TO 444,390 LINE 21, COLUMN B: 444,389 CHANGED TO 3,200 LINE 22, COLUMN B: 444389 CHANGED TO 441,190 PART III: STATEMENT OF PROGRAM SERVICE ACCOMPLISHMENTS LINE 4A, EXPENSES: 2,980,734 CHANGED TO 2,780,925 LINE 4E, EXPENSES: 2,980,734 CHANGED TO 2,780,925 PART IX: STATEMENT OF FUNCTIONAL EXPENSES: LINE 4, COLUMN A: 2,980,734 CHANGED TO 2,780,925 LINE 4, COLUMN B: 2,980,734 CHANGED TO 2,780,925 LINE 11A, COLUMN A: 9,371 CHANGED TO 9,617 LINE 11A, COLUMN C: 9,371 CHANGED TO 9,617 LINE 13, COLUMN A: 680 CHANGED TO 1,279 LINE 13, COLUMN C: 680 CHANGED TO 1,279 LINE 23, COLUMN A: 256 CHANGED TO 0 LINE 23, COLUMN C: 256 CHANGED TO 0 LINE 25, COLUMN B: 2,980,734 CHANGED TO 2,780,925 LINE 25, COLUMN C: 14,237 CHANGED TO 14,826 |
| FORM 990, PAGE 1, BOX B (CONTINUED) | PART X: BALANCE SHEET LINE 1, COLUMN B: 223,448 CHANGED TO 223,449 LINE 16, COLUMN B: 444,389 CHANGED TO 444,390 LINE 17, COLUMN B: 166,053 CHANGED TO 3,200 LINE 25, COLUMN B: 278,336 CHANGED TO 0 LINE 26, COLUMN B: 444,389 CHANGED TO 3,200 LINE 34, COLUMN B: 444,389 CHANGED TO 441,190 PART XII: FINANCIAL STATEMENTS AND REPORTING LINE 2B: NO CHANGED TO YES LINE 2C: NO CHANGED TO YES SCHEDULE D, PART X: OTHER LIABILITIES COMPLETELY REMOVED SCHEDULE D, PART XII: RECONCILIATION OF EXPENSES PER AUDITED FINANCIAL STATEMENTS WITH EXPENSES PER RETURN LINE 1: 2,957,974 CHANGED TO 2,994,971 LINE 3: 2,957,974 CHANGED TO 2,994,971 LINE 4B: 36,997 CHANGED TO 0 LINE 4C: 36,997 CHANGED TO 0 |
| FORM 990, PART VI, SECTION B, LINE 11 | FORM 990 IS REVIEWED BY THE BOARD OF TRUSTEES' CHAIRMAN AND SECRETARY BEFORE THEY SIGN AND FILE THE FORM 990 |
| FORM 990, PART VI, SECTION B, LINE 12C | MONITORING AND ENFORCING COMPLIANCE WITH CONFLICT OF INTEREST POLICY - TRUSTEES ATTEND MEETING ON FIDUCIARY RESPONSIBILITIES. THE BOARD OF TRUSTEES FUNCTIONS AS A WHOLE; NO INDIVIDUAL TRUSTEE CAN ACT ALONE. |
| FORM 990, PART VI, SECTION C, LINE 19 | THE FUND MAKES AVAILABLE ITS GOVERNING DOCUMENTS, CONFLICT OF INTEREST POLICY, AND FINANCIAL STATEMENTS TO THE PUBLIC UPON REQUEST |
| FORM 990, PART XI, LINE 9: | VACATION BENEFITS 241,340. |
| PART XI RECONCILIATION OF NET ASSETS: LINE 9 | EFFECTIVE JANUARY 2014, THE PLAN BEGAN DISBURSING BENEFIT PAYMENTS ON A MONTHLY BASIS RESULTING IN BENEFIT EXPENSES BEING RECORDED WHEN PAID. AS SUCH, A RECONCILIATION FOR 2015 IS NOT REQUIRED, AS THE AMOUNTS ARE NOW BOTH IN AGREEMENT. IN THE PRIOR PLAN YEAR, VACATION BENEFITS PAYABLE TO PARTICIPANTS TOTATLED $241,340. |
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