| Return Reference | Explanation |
|---|---|
| Part I, line 16 | | Other Expenses:, Amount:| EXPENSES- OFFICE SUPPLIES= $ 178 CONFERENCE AND MEETINGS= $7735 COMMUNITY RELATIONS= $5670 DUES AND SUBSCRIPTIONS= $12834 GIFTS=$5582 TOTAL= $31999, $31999| Part and Line Number: Part 3 General- PRIMARY EXEMPT PURPOSE: THE ORGANIZATION IS SPECIFICALLY DESIGNED TO IMPROVE THE GENERAL WELFARE OFITS MEMBERS AND THE COMMUNITY., $0| Part and Line Number: Part 3 Line 31- THE ORGANIZATION ASSESSES AND COLLECTS MEMBERS DUES ACCUMULATED IN DEPOSITARY ACCOUNTS MAINTAINED FOR ANTICIPATED LEGAL SERVICES FOR ITS MEMBERS WHILE ENGAGED IN COLLECTIVE BARGAINING ACTIVITIES. FUNDS ARE ALSO UTILIZED FOR LEGAL FEES AND COSTS RESULTING FROM GRIEVANCE PROCEDURES. FUNDS ARE ALSO USED TO PROVIDE ITS MEMBERS WITH A SMALL LIFE INSURANCE POLICY. 2- FUNDS ARE GENERATED FROM ATTENDANCE FEES FOR THE TRUNK-OR-TREAT ACTIVITY DURING HALLOWEEN. RETAINED EXCESS FUNDS ARE USED TO PROVIDE PROFESSIONAL BENEFITS TO ITS MEMBERS SUCH AS SEMINARS TRAINING ETC. 3- INDIVIDUAL AND CORPORATE GENERAL DONATIONS ARE USED TO SUPPORT COMMUNITY ACTIVITIES SUCH AS MESQUITE NIGHT OUT AND SHOP WITH A COP., $0| |
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