| Return Reference | Explanation |
|---|---|
| Part I, Line 16 | Description=Expense Category Amount Scholarships $17,500. SIM Meeting Expenses & Meals $13,887. Unpaid Memberships Write-Off $1,950. Credit Card Fees $1,028. Board Meeting Expense $920. QuickBooks Payments Fees $523. Charitable Donation $465. Advertising $198. Organizational (Corp) Expenses $25. Total Line 16 $36,496. |
| Part I, Line 20 | Description=Line 20 Explanation (for Schedule O) The $4,578 on Line 20 reflects changes in balance sheet items not captured in the cash basis P&L: accounts receivable increased by $6,650 (from $11,310 to $17,960) and deferred membership dues increased by $2,070 (from $15,330 to $17,400). The net effect is +$4,580 ($2 rounding to $4,578 after whole-dollar adjustments). |
| Part II, Line 24 | Description=Other Assets: Description Beg Year End Year Accounts Receivable $11310 $17960 |
| Part II, Line 26 | Description=Total Liabilities: Description Beg Year End Year Deferred Membership Dues $15330 $17400 |
| Software ID: | 25023752 |
| Software Version: | 2025v4.1 |