| Return Reference | Explanation |
|---|---|
| PART 1 LINE 10 | GIFTS TO CHARITABLE $ 12060 |
| PART 1 LINE 14 | UTILITIES $21962 |
| PART 1 LINE 14 | REPAIRS AND MAIN $ 2630 |
| PART 1 LINE 16 | SUPPLIES $ 5168 |
| PART1 LINE 16 | GENERAL ADMIN $ 75 |
| PART 1 LINE 16 | INSURANCE $ 4448 |
| PART 1 LINE 16 | TRAVEL $ 3554 |
| PART 1 LINE 16 | INVESTMENT LOSS $ 4450 |
| PART 2 LINE 24 | OTHER ASSETS END OF YEAR RECIVABLE $ 665 |
| PART 2 LINE 24 | OTHER ASSETS END OF YEAR FURNITURE $3519 |
| PART 2 LINE 26 | ACCOUNT PAYABLE $2554 |
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