| Return Reference | Explanation |
|---|---|
| Part I, Line 16 | 2025 Expenses: Activities/Events $4733, Insurance/Taxes $19,436, Repayment Loan/Line of Credit $10,413, Supplies/Software/Advertisement $908, Furniture/Supplies $14,470. |
| Part II, Line 24 | Other Assets: $1,910 |
| Part II, Line 26 | Liabilities: Loan taken on 7/20/23 for the pool maintenance balance at end of year 2025 $20,666.57 |
| Software ID: | |
| Software Version: |