| Return Reference | Explanation |
|---|---|
| Description of other revenue Part I line 8 | Description AmountIWW FEE INCOME 400FEE INCOME 7,645 |
| List of grants and similar amounts paid Part I line 10 | Activity DESIGN GRANT Relationship ASSIST FOR MAINTAINING STREET FRONT Amount 14,880 |
| Description of other expenses Part I line 16 | Description AmountCASH FOR BENEFITS 2,202BANK FEES AND PO BOX RENT 769SOFTWARE UPGRADE AND REPAIRS 1,092EQUIPMENT AND COPIER LEASE 240INSURANCE 2,033INTERNET AND PHONE 818ADVERTISING 16,465MEALS 124OFFICE SUPPLIES 743BOARD DEVELOPMENT 896PAYROLL TAXES 1,592FOOD & PRIZES FOR ACTIVITIES 5,044STREETSCAPE 339ANNUAL MEETING EXPENSES 1,320QUICKBOOKS FEES 1,009TRAVEL TRAINING 713MEMBERSHIP CAMPAIGN EXPENSE 517OTHER 377 |
| Other changes in net assets or fund balances Part I line 20 | Description AmountPRIOR PERIOD ADJUSTMENT (3,649) |
| Description of other assets Part II line 24 | Category Beginning of Year End of YearNOTES RECEIVABLE IWW LOANS 62,801 48,175ACCOUNTS RECEIVABLE 5,060 350 |
| Description of total liabilities Part II line 26 | Category Beginning of Year End of YearACCOUNTS PAYABLE 2,680 0CREDIT CARD 1,639 0PAYROLL LIABILITIES 1,024 0MS IWW PAYABLE KS MSDOC 95,135 94,519 |
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