| Return Reference | Explanation |
|---|---|
| PART III LINE 4A | CERAMIC MATERIALS WORKSHOP, INC CASH PAYMENT $225,000 |
| PART III LINE 4B | GUADALUPE GLASS, LLC CASH PAYMENT $44,000 |
| PART III LINE 4C | CORNING MUSEUM OF GLASS CASH EXPENSE $626 |
| PART VI LINES 6, 7A, 8A | MEMBERS ELECT 6 DIRECTORS ANNUALLY AS A GOVERNING BODY |
| PART VI LINE 11 | CORPORATE DIRECTORS REVIEW THE RETURN WITH THE TREASURER |
| PART VI LINE 19 | ALL FINANCIAL STATEMENTS ARE AVAILABLE TO PUBLIC UPON REQUEST |
| PART VIII LINE 1B | MEMBERS DUES $1,050 |
| PART VIII LINE 3 | FIDELITY DIVIDENDS $4,009, INTEREST $3,574, OTHER $4,219 |
| PART VIII LINE 12 | TOTAL REVENUE $12,852 DUES, DIVIDENDS, INTEREST AND OTHER |
| PART IX LINE 1 | EXPENSES GRANTS CERAMIC MATERIALS WORKSHOP $225,000; GUADALUPE GLASS BOOK $44,000; CORNING MUSEUM $626 |
| PART IX LINE 18 | ANNUAL MEETING $26,606; OFFICERS EXPENSES $1,500; ANNUAL MTG $1,500; OTHER $350. TOTAL 29,956 |
| PART IX LINE 25 | TOTAL FUNCTIONAL EXPENSES $299,582. |
| PART X LINE 1 | BEGINNING CASH $595,319; END OF YEAR $314,181 |
| PART X LINE 16 | TOTAL ASSETS BEGINNING $595,319 END OF YEAR $314,181 |
| PART X LINE 26 | TOTAL LIABILITIES BEGINNING 0 END OF YEAR 0 |
| PART X LINES 28, 32,33 | BRGINNING $595,319 END OF YEAR $314,181 |
| PART XI LINE 1 | TOTAL REVENUE $12,852 |
| PART XI LINE 2 | TOTAL EXPENSES $299,582 |
| PART XI LINE 3 | REVENUE LESS EXPENSES $-286,730 |
| PART XI LINE 4 | NET ASSETS PR FUND BALANCES BEGINNING OF YR $595,319 |
| PART XI LINE 5 | NET REALIZED GAINS ON INVESTMENTS $5,592 MARKET FLUCTUATION |
| PART XI LINE 10 | NET ASSETS OR FUND BALANCE AT THE END OF YEAR $314,181 |
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