| Return Reference | Explanation |
|---|---|
| PART I, LINE 8 | SCHEDULE O 2728 |
| PART I, LINE 16 | 1) OTHER EXPENSES REIMBURSEMENTS TO MEMBERS AMOUNT 313 2) OTHER EXPENSES DUES AMOUNT 305 3) OTHER EXPENSES DEPRECIATION COMES FROM FORM 4562 AMOUNT 6675 |
| OTHER | 990 EZ LINE 8 MEMBER REIMBURSEMENTS 2728 TOTAL OTHER REVENUE 2728 990EZ PART ONE LINE 16 OTHER EXPENSES DEPRECIATION FROM FORM 4652 6675 REIMBRSEMENTS TO MEMBERS 313 DUES 305 TOTAL OTHER EXPENSES 7293 |
| Software ID: | |
| Software Version: |