| Return Reference | Explanation |
|---|---|
| Description of other revenue Part I line 8 | DESCRIPTION AMOUNTREFUNDS FROM VENDORS 113TELEPHONE CAPITAL CREDIT 54CAMPER SPACE RENTAL 2,210VENDOR SPACE RENTAL 744 |
| Description of other expenses Part I line 16 | DESCRIPTION AMOUNTDEPRECIATION FROM 4562 3,468ADVERTISIN 3,410BANK FEES 6COMMISSIONS FOR FAIR ADS 2,501CONVENTION 2,732DUES/MEMBERSHIPS 375EXHIBIT PREMIUMS 6,509FAIR ARMBAND COMMISSION 47,150FAIR AWARDS 4,470FAIR ENTERTAINMENT 9,345FAIR GROUNDS SANITATION 2,032FAIR SECURITY 500FAIR WEEK CASH DRAWER 4,300INSURANCE 14,586JUDGE EXPENSE 4,684FAIR WEEK MEALS/SNACKS 1,363OFFICE SUPPLIES 984TELEPHONE 521PRESALE COMMISSION 1,273VENDOR REIMBURSEMENT 8,951WEBSITE 2,440 |
| Other changes in net assets or fund balances Part I line 20 | DESCRIPTION AMOUNTNOTE REC CARRIED IN ERROR (22,549)SALES TAX PAID IN 2021 4,402CHECKING ACCOUNT BAL CORRECTION 7,035 |
| Description of other assets Part II line 24 | CATEGORY BEGINNING OF YEAR END OF YEARNOTE RECEIVABLE 22,549 0 |
| Description of total liabilities Part II line 26 | CATEGORY BEGINNING OF YEAR END OF YEARSALES TAX PAYABLE 4,402 0 |
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