| Return Reference | Explanation |
|---|---|
| Part VI Line 11b | BOARD MEMBERS RECIEVED AUDIT AND TAX RETURN FOR 2025 |
| Part VI Line 19 | AUDIT BY MITCHELL T FONTENOTE CPA INC |
| Part VI Line 19 | FINANCIAL STATEMENTS ARE PROVIDED UPON REQUEST |
| Part IX Line 11g | CONTRACT LABOR Total expenses - $28068.00 Program service expenses - $28068.00 Mgmt and general expenses - $0.00 Fundraising expenses - $0.00 |
| Part IX Line 11g | RAW WATER PURCHASES Total expenses - $90841.00 Program service expenses - $90841.00 Mgmt and general expenses - $0.00 Fundraising expenses - $0.00 |
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