| Return Reference | Explanation |
|---|---|
| Schedule O: | Line 8 Other Income $97890 Hall Rental Total $97890 Line 10 Grants and similar amounts paid $1423 Awards (for students in various high schools) $1518 Donations to veteran support groups $5067 Oratorical and Boys State Programs Total $7988 Line 11 Benefits paid to or for members $3605 Social gatherings and monthly meetings $2226 Member attendance to American Legion Conference for training $16478 Direct financial assistance to members in need Total $22309 Line 13 Professional fees or payments to contractors $1070 Professional services provided by City of Tampa for Cemetery Total $1070 Line 14 Occupancy, rent, utilities and maintenance $6166 Insurance $23430 Maintenance $16267 Utilities Total $45863 Line 16 Other expenses $152 Bank fees $22050 Cleaning and sanitization $3926 Supplies $5341 Hall Rental State assessed sales tax $1743 Building security Total $33212 Line 20 Other changes in net assets or funds $3694- Auditing services for 2025 Total $3694 |
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