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-EZ, PART I, LINE 10 - PAYMENTS TO AFFILIATES | AFFILIATE NAME: KAPPA ALPHA ORDER. AFFILIATE ADDRESS: P.O. BOX 1865 LEXINGTON, VA 24450. PURPOSE OF PAYMENT: MEMBER DUES & ASSESSMENTS. AMOUNT OF PAYMENT: 21,927. |
| FORM 990-EZ, PART I, LINE 16 - OTHER EXPENSES | DESCRIPTION: FOOD & BEVERAGE EXPENSE. AMOUNT: 41,698. DESCRIPTION: ENTERTAINMENT/SOCIAL/BANDS. AMOUNT: 15,068. DESCRIPTION: SUPPLIES EXPENSE. AMOUNT: 4,012. DESCRIPTION: CHARITY & PHILANTHROPY EXPENSES. AMOUNT: 814. DESCRIPTION: TRAVEL EXPENSES. AMOUNT: 8,383. DESCRIPTION: OMEGAFI WEBSITE. AMOUNT: 240. TOTAL TO FORM 990-EZ, LINE 16: 70,215. |
| FORM 990EZ AMENDED RETURN EXPLANATION | 2015 FORM 990EZ FOR THE YEAR ENDED 6/30/2016 IS BEING AMENDED TO CORRECT INADVERTENT ERRORS ON THE RETURN AS ORIGINALLY FILED. AMENDED PARTS INCLUDE: PART I - REVENUE, EXPENSES AND CHANGES IN NET ASSETS - CHANGES ARE AS FOLLOWS: REVENUE: MEMBERSHIP DUES AND ASSESSMENTS INCREASED $9,525 DUE TO THE INCLUSION OF ACTIVITY FROM A BANK ACCOUNT THAT WAS PREVIOUSLY OMITTED. INVESTMENT INCOME DECREASED $2. EXPENSES: GRANTS AND SIMILAR AMOUNTS PAID TO KAPPA ALPHA ORDER INCREASED $1,291 IN ORDER TO CORRECTLY REFLECT PAYMENTS TO AFFILIATE. PORFESSIONAL FEES AND OTHER PAYMENTS TO INDEPENDENT CONTRACTORS DECREASED $3,365. OTHER EXPENSES INCREASED $4,747. SEE SCHEDULE O FOR DETAIL. NET ASSETS: THE DEFICIT FOR THE YEAR DECREASED FROM (8,268) TO (2,911). NET ASSETS AT THE BEGINNING OF THE YEAR WAS ADJUSTED TO $9,669 IN ORDER TO PROPERLY REFLECT BANK STATEMENT BALANCES AND NOW AGREES TO THE PRIOR YEAR RETURN FILED WITH THE IRS. NET ASSETS AT THE END OF THE YEAR IS $6,758, AN INCREASE OF $5,148, DUE TO THE INCLUSION OF AN ADDITIONAL BANK ACCOUNT. PART II - BALANCE SHEETS BALANCE SHEET AT THE BEGINNING OF THE YEAR WAS AMENDED IN ORDER TO CORRECTLY REFLECT THE CHAPTER'S RECORDS AND AGREE TO THE PRIOR YEAR RETURN. OTHER ASSETS DECREASED $211, CASH INCREASED $2. THE NET CHANGE TO NET ASSETS IS A DECREASE OF $209. BALANCE SHEET AT THE END OF THE YEAR WAS AMENDED IN ORDER TO CORRECTLY REFLECT ALL BANK ACCOUNTS. CASH INCREASED $5,148 AND NET ASSETS INCREASED $5,148. PART V - OTHER INFORMATION QUESTION 39A - INITIATION FEES INCLUDED ON LINE 9 WAS ADJUSTED TO $5,575 IN ORDER TO CORRECTLY REFLECT INITIATION FEES PAID BY MEMBERS. QUESTION 42A - THE ORGANIZATION'S BOOKS ARE IN CARE OF WAS CHANGED TO THE INDIVIDUAL WHO WAS ELECTED AS TREASURER OF THE ORGANIZATION. |
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