| Return Reference | Explanation |
|---|---|
| PART III LINE 4A | CERAMIC MATERIALS WORKSHOP INC 132500 FINANCE A TECHNICAL CONSULTING PROGRAM AND A CAPITAL EXPENDITURE ASSISTANCE PROGRAM FOR OPERATING POTTERY MANUFACTURERS IN THE USA |
| PART III LINE 4B | GUADALUPE GLASS LLC 60000 FINANCE THE DISTILLATION OF 20 YEARS OF GLASS TECHNOLOGY INFORMATION FROM THE CRAFTWEB WEBSITER, EDIT IT INTO A MANUSCRIPT INCLUDING UNIQUE INFORMATION USEFUL FOR GLASS STUDIOS OF ALL SIZES, AND PUBLISHJ IT IN BOOK FORM. |
| PART III LINE 4C | MUSEUM OF CERAMICS FOUNDATION 10000, PITTSBURGH GLASS CENTER 10000, PENLAND SCHOOL OF CRAFT 10000, THE STAINED GLASS ASSOCIATION OF AM FOUNDATION 20000 ALL ARE 501 C 3 ORGANIZATIONS ESTABLISH AN ENDOWED FUND TO PROVIDE ANNUAL SCHOLARSHIPS AND FUND A TRAINING PROGRAM FOR NEW EMPLOYEES IN THE STAINED GLASS INDUSTRY. |
| PART IV LINE 21 | GRANTS TO DOMESTIC ORGANIZATIONS 242500 MUSEUM OF CERAMICS FOUNDATION 10000, PITTYSBURGH GLASS CENTER 10000, PENLAND SCHOOL OF CRAFT 10000, THE STAINED GLASS ASSOCIATION OF AMERICA FOUNDATION 20000, CERAMIC MATERIALS WORKSHOP INC 132500, GUADALUPE GLASS, LLC 60000. |
| PART VI LINES 6, 7A, 8A | MEMBERS ELECT 6 DIRECTORS ANNUALLY AS A GOVERNING BODY |
| PART VI LINE 11 | CORPORATE DIRECTORS REVIEW THER RETURN WITH THE TREASURER |
| PART VI LINE 19 | ALL FINANCIAL STATEMENTS ARE AVAILABLE TO PUBLIC UPON REQUEST |
| PART VIII LINE 1B | 14 MEMBERS PAID DUES 1050 |
| PART VIII LINE 3 | FIDELITY DIVIDENDS 7722.87 INTEREST 890.39 TOTAL 8613.26 |
| PART VIII LINE 4 | GOVERNMENT INTEREST 777.42 |
| PART VIII LINE 12 | TOTAL REVENUE 10440.68 DUES, DIVIDENDS, AND INTEREST MINUS 665.22 MARKET FLUCTUATION TOTAL 9775.26 |
| PART IX LINE 1 | GRANTS MUSEUM OF CERAMICS FOUNDATION 10000, PITTSBURGH GLASS CENTER 10000, PENLAND SCHOOL OF CRAFT 10000, THE STAINED GLASS ASSOCIATION OF AM FOUNDATION 20000, CERAMIC MATERIALS WORKSHOP INC 132500, GUADALUPE GLASS LLC 60000 TOTAL 22500. |
| PART IX LINE 18 | ANNUAL MEETING 53151.98, OFFICERS EXPENSES 1850 TOTAL 55001.98 |
| PART IX LINE 24A | TAX PREPARATION 374.50, LEGAL FEES 13096.50, OTHER 200.00 TOTAL 13671. |
| PART IX LINE 25 | TOTAL FUNCTIONAL EXPENSES 311172.98 |
| PART X LINE 1 | BEGINNING CASH 314181 END OF YEAR 12783 |
| PART X LINE 16 | TOTAL ASSETS BEGINNING OF YEAR 314181 END OF YEAR 12783 |
| PART X LINE 28, 32, 33 | BEGINNING 314181 END OF YEAR 12783 |
| PART XI LINE 1 | REVENUE 10441 MINUS 665 MARKET FLUCTATION TOTAL REVENUE 9775 |
| PART XI LINE 2 | TOTAL EXPENSES 311173 |
| PART XI LINE 3 | REVENUE LESS EXPENSES -301398 |
| PART XI LINE 4 | NET ASSETS AT THE BEGINNING OF THE YEAR 314181 |
| PART XI LINE 10 | NET ASSETS OR FUND BALANCE AT THE END OF YEAR 12783 |
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