| Return Reference | Explanation |
|---|---|
| Description of other expenses Part I line 16 | DESCRIPTION AMOUNTBANK CHARGES 1,184SPECIAL EVENT 346DUES & LICENSES 12,060MEALS 16,573OFFICE EXPENSES 219SUPPLIES/MATERIALS 400ENDOWMENT FUND - MEMORIAL 200FORWARD JANESVILLE 355PROGRAMS 2,750ROTARY PINS & PENS 125ADVERTISING 71 |
| Other changes in net assets or fund balances Part I line 20 | DESCRIPTION AMOUNTNET UNREALIZED GAINS AND LOSSES 3,520 |
| Description of other assets Part II line 24 | CATEGORY BEGINNING OF YEAR END OF YEARACCOUNTS RECEIVABLE 4,177 5,162UNDEPOSITED FUNDS 0 157 |
| Description of total liabilities Part II line 26 | CATEGORY BEGINNING OF YEAR END OF YEARACCOUNTS PAYABLE & ACCURED EXP 52 0CRED CARD PAYABLE 1,564 2,812ESCROW ACCOUNT LIABILITY 1,600 1,600ROTARY FOUNDATION 0 105 |
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