| Return Reference | Explanation |
|---|---|
| Part I, line 8 | | Other Revenues:, Amount:| Money received for Calendars, $818| Reimbursement of Refreshments, $107| Rebate-Food Bank, $810| Rebate Health Benefit, $55| Expense Reimbursement, $361| J Johnson Mem, $360| Internal Revenue Service, $96| |
| Part I, line 16 | | Other Expenses:, Amount:| Conference and Seminars, $15613| Contributions to Charity, $390| Insurance, $325| Member Benefits, $4128| Office Expense, $707| Office Supplies, $1354| Per Capita, $2968| |
| Part I, line 20 | | Explanation:, Amount:| Adjustment to beginning balance from previous year because of outstanding check included in net assets or funds balance, $-346| |
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