| Return Reference | Explanation |
|---|---|
| PART I OTHER EXPENSES LINE 16 | THIS AMOUNT REPRESENTS BRIDGE SUPPLIES AND OTHER EXPENSES IN THE AMOUNT OF 1,580. |
| PART I NET ASSETS LINE 20 | THE AMOUNT OF 5,189 REPRESENTS A RECONCILING ITEM TO ADJUST ASSETS TO TOTAL CASH IN BANK ACCOUNTS AT YEAR END, AS CONSISTENT WITH PRIOR YEARS. |
| PART V OTHER INFORMATION LINE 35b | THE ORGANIZATION HAD NO UNRELATED BUSINESS GROSS INCOME OF 1,000 OR MORE DURING THE YEAR FROM BUSINESS ACTIVITIES. |
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