| Return Reference | Explanation |
|---|---|
| FORM 990-EZ, PART I, LINE 16 - OTHER EXPENSES | DESCRIPTION: BANK FEES. AMOUNT: 77. DESCRIPTION: CREDIT CARD FEES. AMOUNT: 1,340. DESCRIPTION: WEBSITE HOSTING. AMOUNT: 4,120. DESCRIPTION: INSURANCE. AMOUNT: 11,420. DESCRIPTION: REPAYMENTS. AMOUNT: 35,000. TOTAL TO FORM 990-EZ, LINE 16: 51,957. |
| FORM 990-EZ, PART II, LINE 24 - OTHER ASSETS | DESCRIPTION: ACCOUNTS RECEIVABLE. BEG. OF YEAR AMOUNT: 50,642. END OF YEAR AMOUNT: 50,642. DESCRIPTION: PREPAID INSURANCE. BEG. OF YEAR AMOUNT: 12,218. END OF YEAR AMOUNT: 12,218. |
| FORM 990-EZ, PART II, LINE 26 - OTHER LIABILITIES | DESCRIPTION: CHASE CREDIT CARD. BEG. OF YEAR AMOUNT: 2,117. END OF YEAR AMOUNT: 2,117. DESCRIPTION: NOTES PAYABLE- BOARD & TECH. BEG. OF YEAR AMOUNT: 345,000. END OF YEAR AMOUNT: 345,000. DESCRIPTION: DEFERRED DUES. BEG. OF YEAR AMOUNT: 4,688. END OF YEAR AMOUNT: 4,688. DESCRIPTION: DUE TO/FROM OMSA. BEG. OF YEAR AMOUNT: 259,347. END OF YEAR AMOUNT: 263,347. |
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