| Return Reference | Explanation |
|---|---|
| Part I, line 8 | | Other Revenues:, Amount:| Rental property income, $50560| |
| Part I, line 16 | | Other Expenses:, Amount:| Board and committee exp. and travel, $5410| Office and website, $1912| Member activities, $25| Postage and printing, $38| Telephone, $908| |
| Part I, line 20 | | Explanation:, Amount:| Securities market value adjustment for year, $-7535| |
| Part II, line 26 | | Explanation:, BOYAmount:, EOYAmount:| PAYROLL TAXES, $912, $0| BUILDING MAINTENANCE FUND, $40455, $40455| CONVENTION FUND, $2042, $2042| SCHOLARSHIP FUND, $65438, $64873| PREPAID JOURNAL 2023, $315, $0| BENEVOLENT FUND, $17945, $19145| Debit card payable, $0, $139| |
| Part II, Line 26 | | Explanation:| Building Fund |
| Part II, Line 26 | | Explanation:| Scholarship Fund |
| Part II, Line 26 | | Explanation:| Benevolent Fund |
| Part II, Line 26 | | Explanation:| Convention Fund |
| Part II, Line 26 | | Explanation:| Debit card payable |
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