| Return Reference | Explanation |
|---|---|
| Part I, line 8 | | Other Revenues:, Amount:| Fees, $467| TEE SHIRT SALES, $296| |
| Part I, line 16 | | Other Expenses:, Amount:| COST OF GOODS SOLD, $260| ADVERTISING, $1558| BUSINESS EXPENSES, $207| OFFICERS COMPENSATION, $1150| SUPPLIES, $763| TELEPHONE, $2067| INSURANCE - LIABILITY D & o, $425| MEMBERSHIPS AND DUES, $2193| PAYMENTS TO AFFILIATES, $18224| CONFERENCES CONVENTION MEETINGS, $922| OTHER EXPENSE, $1839| |
| Part I, line 20 | | Explanation:, Amount:| ADJUSTMENTS FOR CASH BASIS EFFECT ON NET ASSETS AS FOLLOWS: ACCTS. RECEIVABLE AT 12 31 22 $40,350 ACCTS. RECEIVABLE AT 12 31 23 31,282 DEPRECIATION EXPENSE IS A NON-CASH ITEM $71 MISCELLANEOUS TO ADJUST $28TOTAL ADJUSTMENTS FOR CASH BASIS EFFECT ON NET ASSETS $9,167, $-9167| |
| Part II, line 24 | | Explanation:, BOYAmount:, EOYAmount:| Other assets, $64631, $54763| |
| Part II, line 26 | | Explanation:, BOYAmount:, EOYAmount:| Other liabilities, $138801, $4155| |
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