| Return Reference | Explanation |
|---|---|
| Part I, Line 16 | Schedule - Part 1 - Line 16 - Other expenses Bank Fee 72 Charity 0 Education 10 Insurance 648 Meeting Expenses 132 Membership Development 10582 Subscriptions 900 Supplies 48 Tax Filing Fees 115 Website 1549 Other 0 Total 15677 |
| Part I, Line 8 | Schedule - Part 1 - Line 8 - Other revenue Checks not cashed 174 |
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