| Return Reference | Explanation |
|---|---|
| Other Revenue.1 | Loan $1100 |
| Other Expenses.1003 | Information Technology $556 |
| Other Expenses.1012 | Insurance $2944 |
| Other Expenses.1 | Graffiti Painting $35745 |
| Other Expenses.2 | Public Relations $27500 |
| Other Expenses.3 | Corridor Manager $18460 |
| Other Expenses.4 | Street Closures $16246 |
| Other Expenses.5 | Power Washing $8750 |
| Other Expenses.6 | Window Repairs $8100 |
| Other Expenses.7 | Lighting Repairs $7579 |
| Other Expenses.8 | General Meeting Expenses $4333 |
| Other Expenses.9 | Holiday Activation $3533 |
| Other Expenses.10 | Misc. Admin $1424 |
| Other Expenses.11 | Board Meetings $981 |
| Other Expenses.12 | Misc. Entertainment $400 |
| Total Liabilities.1006 | Payable to Officers, Directors, Etc. - Beginning $0 Payable to Officers, Directors, Etc. - Ending $1100 |
| Software ID: | 24020490 |
| Software Version: | 2024v5.2 |