Attach to Form 990 or 990-EZ.
Go to www.irs.gov/Form990 for the latest information.
| Return Reference | Explanation |
|---|---|
| Doing Business As Names | Knights of Columbus 12295 Saint Mary Magdalen Council |
| Part I, line 8 | | Other Revenues:, Amount:| Sale of used cabinets and appliances from Church Annex building remodeling $1951 Seminarian Refund Support Vocations Program RSVP. $400 Food for Families Refund Support Program $500. Total Other Revenue: $2851, $2851| |
| Part I, line 10 | | Grants And Similar Amounts Paid:, Amount:| Youth - Boy Scouts Mentor Livingston Connection Youth Services $3000 Youth - Osman Hope Orphan support and education in Honduras $800 Youth - Coats for Kids $2680 Total Youth $6480 Culture - Pregnancy Help Line Right to Life Ultrasound Initiative $2750 Total Culture $2750 Community - Intellectually Disabled Proceeds of Tootsie Roll Drive to 7 Organizations $8600 Community - Intellectually Disabled Special Olympics $1000 Community - Veterans Blue Star Service Dogs V.A. Hospital Christmas Gifts $7446 Community - Food Banks Gleaners Capuchin Kitchen Bountiful Harvest $3000 Community - Physically Disabled Lacasa Penrickton School for the Blind $1500 Community - Families in Need $3000 Community - Livingston County Catholic Charities Holy Cross Services $1750 Community- Other Women's Catholic Conference Ukraine Aid K of C 4th Degree $860 Total Community $27156 Church - Seminarian Support $2000 Church - St. Mary Magdalen Church Annex Remodeling $15726 Church - St Mary Magdalen Picnic Gifts Prizes $2148 Total Church $19874 Total Line 10 $56260, $56260| |
| Part I, line 16 | | Other Expenses:, Amount:| Office Supplies $454 Supreme Council per Capita charge $204 Michigan State Council per Capita charge $2196 Meeting food and beverages $ 357 Miscellaneous - Third degree Exemplification Supplies - PayPal fees $124 Knights of Columbus Annual Conference $1430 Total Other Expenses $4765, $4765| |
| Part I, line 20 | | Explanation:, Amount:| Loss of Account Receivable due to eight members not paying their dues. $252 Difference of checks not cleared carried over from 2021 to 2022 and 2022 to 2023 fiscal years $360 Adjust for assets from prior year $70 Total Other Assets $682, $-682| |
| Part II, line 24 | | Explanation:, BOYAmount:, EOYAmount:| Pasty freezer $1,001 Pasty freezer dolly $74 2 Tortilla presses $95 2 Kitchen Aid mixers $614, $1784, $| |
| Part II, line 26 | | Explanation:, BOYAmount:, EOYAmount:| Ended prior fiscal year 2020-2021 with a surplus of funds. In current tax filing year 2021-2022 paid out more money than was raised resulting in a deficit liability on the Council records of $7,071. Plus loss recorded on line 20 $682 Total Line 26 Column B $7,753, $, $7753| |
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