| Return Reference | Explanation |
|---|---|
| FORM 990-EZ, PART I, LINE 4 - OTHER INVESTMENT INCOME | DESCRIPTION: INTEREST. AMOUNT: 126. |
| FORM 990-EZ, PART I, LINE 8 - OTHER REVENUE | DESCRIPTION: CHAPTER REVENUE - OTHER. AMOUNT: 7,075. |
| FORM 990-EZ, PART I, LINE 16 - OTHER EXPENSES | DESCRIPTION: CAMPUS ACTIVITIES EXPENSES. AMOUNT: 689. DESCRIPTION: CHAPTER EXPENSE - BILL HIGHWAY AND CC FEES. AMOUNT: 5,805. DESCRIPTION: CHAPTER EXPENSE - INTIATION FEE. AMOUNT: 12,484. DESCRIPTION: CHAPTER EXPENSE - NATL DUES. AMOUNT: 4,220. DESCRIPTION: CHAPTER EXPENSE - NATL INITIATION/BADGE FEES. AMOUNT: 21,400. DESCRIPTION: CHAPTER EXPENSE - NATL MEETING. AMOUNT: 9,181. DESCRIPTION: CHAPTER EXPENSE - OTHER EXPENSES. AMOUNT: 5,312. DESCRIPTION: CHAPTER PRESIDENT - NATIONAL LEADERSHIP CONSULTING. AMOUNT: 649. DESCRIPTION: CHAPTER PRESIDENT - ADMINISTRATIVE. AMOUNT: 359. DESCRIPTION: CHAPTER PRESIDENT - COMPOSITE. AMOUNT: 3,203. DESCRIPTION: CHAPTER TREASURER - ACCOUNTANT. AMOUNT: 1,430. DESCRIPTION: CHAPTER TREASURER - SUPPLIES. AMOUNT: 12. DESCRIPTION: CHAPTER VP EXPENSES - AWARDS. AMOUNT: 914. DESCRIPTION: COMMUNITY SERVICE DIRECTOR EXPENSES. AMOUNT: 1,365. DESCRIPTION: FACILITY MANAGER EXPENSES. AMOUNT: 12. DESCRIPTION: MARKETING DIRECTOR EXPENSES. AMOUNT: 23,332. DESCRIPTION: MEMBER EDUCATOR EXPENSES - BID DAY/INITIATION. AMOUNT: 5,494. DESCRIPTION: MEMBER EDUCATOR EXPENSES - NEW MEMBER RETREAT. AMOUNT: 166. DESCRIPTION: OTHER DONATIONS. AMOUNT: 425. DESCRIPTION: PANHELLENIC EXPENSES - DUES & PR EXP. AMOUNT: 5,115. DESCRIPTION: PERSONNEL CHAIR EXPENSES. AMOUNT: 1,866. DESCRIPTION: RECRUITMENT CHAIR EXPENSES - WORKSHOP. AMOUNT: 3,197. DESCRIPTION: SISTERHOOD DIRECTOR EXPENSES - FOOD & SUPPLIES. AMOUNT: 2,088. DESCRIPTION: SOCIAL DIRECTOR EXPENSES - FOOD/FACILITY. AMOUNT: 5,783. DESCRIPTION: DIVERSITY, EQUALITY, AND INCLUSION EXPENSES. AMOUNT: 196. DESCRIPTION: PHILANTHROPY PROJECTS. AMOUNT: 4,514. TOTAL TO FORM 990-EZ, LINE 16: 119,211. |
| FORM 990-EZ, PART II, LINE 24 - OTHER ASSETS | DESCRIPTION: PREPAID CARDS. BEG. OF YEAR AMOUNT: 1,150. END OF YEAR AMOUNT: 2,177. DESCRIPTION: REFUND RECEIVABLE. BEG. OF YEAR AMOUNT: 3,680. END OF YEAR AMOUNT: 0. |
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