Internal Revenue Manual § 3.24.26 - Miscellaneous Tax Exempt and Government Entities (te/ge) Returns

Section 26 - Miscellaneous Tax Exempt and Government Entities (te/ge) Returns

3.24.26 Miscellaneous Tax Exempt and Government Entities (TE/GE) Returns

Manual Transmittal

October 09, 2025

Purpose

(1) This transmits a complete revision to IRM 3.24.26, Integrated Submission and Remittance Processing (ISRP) System, Miscellaneous Tax Exempt and Government Entities (TE/GE) Returns.

Material Changes

(1) IRM 3.24.26.1.1 IPU 25U3496 issued 07-17-2025 - Added Background information.

(2) IRM 3.24.26.1.2 IPU 25U3496 issued 07-17-2025 - Added Authority information.

(3) IRM 3.24.26.1.3 IPU 25U3496 issued 07-17-2025 - Added Roles and Responsibilities information.

(4) IRM 3.24.26.1.4 IPU 25U3496 issued 07-17-2025 - Added Program Management and Review information.

(5) IRM 3.24.26.1.5 IPU 25U3496 issued 07-17-2025 - Added Program Controls information.

(6) IRM 3.24.26.1.6 IPU 25U3496 issued 07-17-2025 - Added Terms and Acronyms information.

(7) IRM 3.24.26.1.7 IPU 25U3496 issued 07-17-2025 - Added Related Resources information.

(8) Exhibit 3.24.26-7 - Moved subsection to be in form order.

(9) Exhibit 3.24.26-8 - Moved subsection to be in form order.

(10) Exhibit 3.24.26-9 - Moved subsection to be in form order.

(11) Exhibit 3.24.26-10 - Moved subsection to be in form order.

(12) Exhibit 3.24.26-11 - Moved subsection to be in form order.

(13) Exhibit 3.24.26-12 - Moved subsection to be in form order.

(14) Exhibit 3.24.26-20 - Deleted subsection to be in form order.

(15) Exhibit 3.24.26-21 - Deleted subsection to be in form order.

(16) Exhibit 3.24.26-22 - Deleted subsection to be in form order.

(17) Exhibit 3.24.26-23 - Deleted subsection to be in form order.

(18) Exhibit 3.24.26-24 - Deleted subsection to be in form order.

(19) Exhibit 3.24.26-25 - Deleted subsection to be in form order.

(20) Exhibit 3.24.26-26 - Deleted subsection to be in form order.

(21) Exhibit 3.24.26-27 - Deleted subsection to be in form order.

(22) Exhibit 3.24.26-32 - Moved subsection to be in form order.

(23) Exhibit 3.24.26-33 - Moved subsection to be in form order.

(24) Minor editorial changes made throughout this IRM (e.g., line number updates, spelling, punctuation, links, formatting, etc.).

Effect on Other Documents

This supersedes IRM 3.24.26 dated October 30, 2025. This IRM also incorporates the IRM Procedural Updates (IPU): 25U3496 issued 07-17-2025.

Audience

Taxpayer Services (TS) Operating Division
Integrated Submission and Remittance Processing (ISRP) Data Transcribers

Effective Date

(01-01-2026)

Peggy Combs
Acting Director, Business Systems Planning
Shared Services
Tax Exempt and Government Entities

3.24.26.1 (01-01-2025)

Program Scope and Objectives

  1. Purpose: Instructions for transcribing and verifying data from block control documents and returns for the Business Master File Processing of the Tax Exempt Bond (TEB) returns, using the Integrated Submission and Remittance Processing (ISRP) system.

  2. Audience: The content contained in this IRM is intended for the use of the following audience:

    • Taxpayer Services (TS)

    • Submission Processing

    • Data Conversion Data Transcribers of Tax Exempt Bonds and ISRP support staff located in the Ogden Campus.

  3. Policy Owner: Director, Business Systems Planning, Shared Services, Tax Exempt and Government Entities.

  4. Program Owner: Paper Processing Branch, Mail Management/Paper Processing Section, Submission Processing Programs

  5. Primary Stakeholders: Submission Processing

  6. Program Goals: This information is used to provide instruction for accurate transcription of data into the ISRP system.

3.24.26.1.1 (01-01-2026)

Background

  1. This section of the IRM provides instructions for utilizing the ISRP system to transcribe data from a variety of Tax Exempt Bonds.

3.24.26.1.2 (01-01-2026)

Authority

  1. All Policy Statements for Submission Processing are contained in IRM 1.2.1, Servicewide Policies and Authorities, Servicewide Policy Statements.

3.24.26.1.3 (01-01-2026)

Roles and Responsibilities

  1. The Director, Tax Exempt Government Entities, Business Systems Planning (BSP), Submission Processing Program and Oversight (SPP&O) is the responsible for monitoring operational performance for the Exempt Organization Submission Processing campus.

  2. The Operations Manager monitors operational performance for their operation.

  3. The Team Manager/Lead monitors performance monitoring and ensuring employees have tools to perform their duties.

  4. The Team Employees are responsible to follow the instructions contained in this IRM and keep updated IRM procedures.

3.24.26.1.4 (01-01-2026)

Program Management and Review

  1. IRM 1.4.16, Accounts Management Guide for Managers, provides guidance for program management and review of programs assigned to Accounts Management.

3.24.26.1.5 (01-01-2026)

Program Controls

  1. The block control documents below are sources of transcribed control data:

    1. Form 813, Document Register.

    2. Form 1332, Block and Selection Record.

    3. Form 3893, Re-entry Document Control.

3.24.26.1.6 (01-01-2026)

Terms and Acronyms

  1. The section lists and defines some of the acronyms and terms used in this manual:

    Abbreviation AcronymsExplanation
    BSPBusiness Systems Planning
    BMFBusiness Master File
    CCCComputer Condition Codes
    CICriminal Investigation
    DLNDocument Locator Number
    EINEmployer Identification Number
    EOPEntry Operator
    EQSPEmbedded Quality Submission Processing
    ERSError Resolution System
    IRMInternal Revenue Manual
    ISRPIntegrated Submission and Remittance Processing
    LB&ILarge Business and International
    NCName Control
    OAROperations Assistance Request
    SB/SESmall Business/Self Employed
    SERPServicewide Electronic Research Program
    SLAsNational Service Level Agreements
    SPP&OSubmission Processing Programs & Oversight
    TASTaxpayer Advocate Service
    TBORTaxpayer Bill of Rights
    TEBTax Exempt Bond
    TEGETax Exempt Government Entities
    TSTaxpayer Services

3.24.26.1.7 (01-01-2026)

Related Resources

  1. The following is a list of related resources:

    • Servicewide Electronic Research Program (SERP).

    • Integrated Data Retrieval System (IDRS).

    • IRM 3.11.26, SC Returns and Document Analysis, Miscellaneous Tax Exempt Governmental Entities (TEGE) Tax Returns.

    • IRM 3.12.26, Tax Exempt Bond Error Resolution Procedures

3.24.26.2 (01-01-2022)

Service Level Agreements (SLAs)

  1. National Service Level Agreements (SLAs) are in place between Operating Divisions. This section contains specifics on SLAs for specific activities.

3.24.26.2.1 (10-24-2025)

Taxpayer Advocate Service (TAS)

  1. The Taxpayer Advocate Service (TAS) is an independent organization within the Internal Revenue Service (IRS), led by the National Taxpayer Advocate. Its job is to protect taxpayers’ rights by striving to ensure that every taxpayer is treated fairly and knows and understands their rights under the Taxpayer Bill of Rights (TBOR). TAS offers free help to taxpayers, including when taxpayers face financial difficulties due to an IRS problem, when they are unable to resolve tax problems they haven’t been able to resolve on their own, or when they need assistance to address an IRS system, process, or procedure that is not functioning as it should. TAS has at least one taxpayer advocate office located in every state, the District of Columbia, and Puerto Rico.

  2. TAS uses Form 12412, Operations Assistance Request (OAR), to start the OAR process of referring a case to the Taxpayer Services (TS) Division, to affect the resolution of the taxpayer’s problem. For more information, refer to IRM 13.1.19, TAS Operations Assistance Request (OAR) Process.

  3. Refer taxpayers to TAS when the contact meets TAS criteria or when Form 911, Request for Taxpayer Advocate Service Assistance (and Application for Taxpayer Assistance Order), is attached and steps cannot be taken to resolve the taxpayer’s issue the same day.

  4. The definition of "same day resolution" is within 24 hours. The following two situations meet the definition of "same day resolution" :

    • The issue can be resolved within 24 hours.

    • IRS takes steps within 24 hours to resolve the taxpayer’s issue.

  5. When making a TAS referral, use Form 911 and forward to TAS following your local procedures.

  6. See IRM 13.1.7, Taxpayer Advocate Service (TAS) Case Criteria, for more information.

3.24.26.2.1.1 (01-01-2025)

Taxpayer Advocate Service (TAS) SLA
  1. The National Taxpayer Advocate reached agreements with the Commissioners of the Tax Exempt Government Entities (TE/GE), Taxpayer Services (TS), Small Business/Self Employed (SB/SE) Division, Criminal Investigation (CI), Appeals, and Large Business and International (LB&I) that outline the procedures and responsibilities for processing Taxpayer Advocate Service (TAS) casework when either the statutory or delegated authority to complete case transactions rests outside of TAS. These agreements are known as Service Level Agreements (SLAs).Agreements (SLAs) contains basic requirements for handling TAS-referred cases, and includes specific actions to take on TAS referrals and specific time frames to complete those actions.

  2. The SLAs are found at Service Level Agreements.

3.24.26.3 (01-01-2022)

Introduction

  1. This section gives instructions for entering and verifying data from control documents and Tax Exempt Bond returns, Form 8038, Form 8038-B, Form 8038-CP, Form 8038-G, Form 8038-GC, Form 8038-T, Form 8038-TC, Form 8328 and Form 8703 using the Integrated Submission and Remittance Processing (ISRP) system.

3.24.26.3.1 (01-01-2022)

Control Documents

  1. This is a list of block control documents you transcribe from:

    1. Form 813, Document Register

    2. Form 1332, Block and Selection Record

    3. Form 3893, Re-entry Document Control

3.24.26.3.2 (01-01-2025)

Source Documents

  1. This is a list of the forms you transcribe from:

    1. Form 8038, Information Return for Tax-Exempt Private Activity Bond Issues

    2. Form 8038-B, Information Return for Build America Bonds and Recovery Zone Economic Development Bonds

    3. Form 8038-CP, Return for Credit Payments to Issuers of Qualified Bonds

    4. Form 8038-G, Information Return for Government Purpose Tax-Exempt Bond Issues

    5. Form 8038-GC, Information Return for Small Tax-Exempt Governmental Bond Issues, Leases, and Installment Sales

    6. Form 8038-T, Arbitrage Rebate, Yield Reduction and Penalty in Lieu of Arbitrage Rebate

    7. Form 8038-TC, Information Return for Tax Credit and Specified Tax Credit Bonds as the result of the new Hire bill

    8. Form 8328, Carryforward Election of Unused Private Activity Bond Volume Cap

    9. Form 8703, Annual Certification of a Residential Rental Project

3.24.26.3.3 (01-01-2022)

Forms/Program Numbers/Tax Class Doc. Codes

  1. Refer to the table below for applicable codes.

    FORMSPROGRAM NUMBERSTAX CLASS / DOC. CODES
    8038132003 / 61
    8038-B132113 / 85
    8038-CP132103 / 88
    8038-G132013 / 62
    8038-GC132023 / 72
    8038-T132033 / 74
    8038-TC132123 / 86
    8328132043 / 75
    8703132503 / 01

3.24.26.3.4 (01-01-2022)

MUST ENTER Fields

  1. Some fields require data entry. We refer to these as "MUST ENTER" fields. We indicate these in the Transcription Operation Sheets using stars (★★★★★★). See IRM 3.24.38, BMF General Instructions, for procedures related to MUST ENTER fields.

3.24.26.4 (01-01-2022)

Entry of Data

  1. IRM 3.24.26.4 gives instructions for entering data.

3.24.26.4.1 (01-01-2022)

Systemically Required Sections

  1. Enter and verify Section 01 in all cases.

  2. Form 8038 - Section 02, Section 03, and Section 04 - enter and verify, if present.

  3. Form 8038-B - Section 10 and Section 11 - enter and verify, if present.

  4. Form 8038-CP - Section 02 - enter and verify, if present.

  5. Form 8038-G - Section 05 and Section 06 - enter and verify, if present.

  6. Form 8038-GC - Section 07 - enter and verify, if present.

  7. Form 8038-T - Section 03 - enter and verify, if present.

  8. Form 8038-TC - Section 02, Section 03 and Section 04 - enter and verify, if present.

  9. Form 8328 - Section 08 - enter and verify, if present.

  10. Form 8703 - Section 02 and Section 03 - enter and verify, if present.

3.24.26.4.2 (01-01-2022)

Check Digit

  1. The Check Digit field doesn’t apply to the Form 8038 series. Press to by-pass this field.

3.24.26.4.3 (01-01-2025)

Name Control

  1. The system skips the Check Digit field and positions the cursor on the Name Control field.

  2. Enter the underlined or edited four-character Name Control in the First Name Line area in the Name Control (NC) field (see IRM 3.24.38, BMF General Instructions, for Name Control Determination). You don’t have to press if four characters are entered.

  3. If fewer than four characters, enter those shown and press .

  4. If the Name Control is missing or illegible, enter one period followed by .

3.24.26.4.4 (01-01-2022)

Enhanced Entity Index File

  1. The entity check for all bonds is not valid. The address (including the ZIP code) is transcribed and you must enter the complete address. This applies to pre-printed labels or hand-written documents.

  2. For Form 8038-CP, you must enter the complete address in Part I and Part II. If the word "same" is present in Part II, enter the complete name and address from Part I.

  3. For Form 8703, enter the complete name and address for both the "Operator" and "Owner" of the project located in Part I. If the word "same" is present on either the "Owner of the project" line or the "Operator of the project" line, enter the operator/owner of the project name and address on their respective lines.

  4. If two addresses are present, enter the address underlined as the Street Address, City, State and ZIP Code. If an address is not underlined, see IRM 3.24.38, for Street Address.

  5. Enter the Major City Code if the city is in a designated district. For Major City Codes, see IRM 3.24.38.

3.24.26.4.5 (01-01-2022)

Money Amounts

  1. Form 8038, Form 8038-B, Form 8038-G, Form 8038-GC, Form 8038-TC, and Form 8328:

    • All fields will be DOLLARS ONLY.

    • A space and a dollar sign following the prompt (i.e. LN2 $) specifies that the field is a dollars only field.

  2. Form 8038-T: most money fields will be entered as DOLLARS ONLY except for Section 03, Element (17), Total Payment, which is entered as dollars and cents.

    • A space and a dollar sign following the prompt (i.e. LN2 $) specifies that the field is a dollars only field.

    • The prompt (i.e. L23) specifies the field is dollars and cents.

  3. Form 8038-CP: all money fields will be dollars and cents. The prompt (i.e. L22) specifies the field is dollars and cents.

3.24.26.5 (01-01-2022)

ISRP Transcription Operation Sheets

  1. The following exhibits show specific data entry procedures.

Exhibit 3.24.26-1

Block Header Data Entry Form 1332, Block and Selection Record, or Form 3893, Re-Entry Document Control

Block Header Data Entry. Source Document or Record: Form 1332 or Form 3893.

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)SC Block ControlABCThe screen displays the ABC that was entered in the Entry Operator (EOP) Dialog box, as described in IRM 3.24.38.3.1.2, Document Entry – Original Entry (OE) It can’t be changed.
(2)Block DLNDLNEnter the first 11 digits as shown: 1. Form 813 - from the Block DLN box. 2. Form 1332- from the Document Locator No. box. 3. Form 3893 - from box 2. 4. The EOP will verify the DLN from the first document of the block.
(3)Batch NumberBATCHEnter the batch number as follows: 1. Form 813 and Form 1332 - from the Batch Control Number box. 2. Form 3893 - from box 3. 3. If not present, secure the number from the batch transmittal sheet.
(4)Document CountCOUNTEnter the document count as follows: 1. Form 813 and Form 1332 - the circled serial number. If a full block (100 documents) or if a number is not circled, enter 100. 2. Form 3893 - from box 4.
(5)Pre-journalized Credit AmountCREnter the amount shown: 1. Form 813 - shown as the "Total" or if adjusted, as the "Adjusted Total" 2. Form 3893 - from box 5. 3. ENTER DOLLARS AND CENTS.
(6)Filling Press 5 times.
(7)Source CodeSOURCEIf the control document is a Form 3893, enter from box 11 as follows: 1. R = "Reprocessable" box checked. 2. N = "Reinput of Unpostable" box checked. 3. 4 = "SC Reinput" box checked. 4. None of the boxes checked, consult your supervisor who will determine if a source code is required.
(8)Year DigitYEARIf the control document is a Form 3893, enter the digit from box 12 (current or otherwise).This is a MUST ENTER field if the Source Code is * "R" * "N" * "4"
(9)Filling Enter a only.
(10)RPS IndicatorRPSEnter a "2" if: 1. Form 813 and Form 1332 - RPS, is edited or stamped in the upper center margin, or "RRPS" appears in the header of Form 1332. 2. Form 3893 - box 13 is checked.

Exhibit 3.24.26-2

Section 01 Form 8038 (Program 13200)

Source Document or Record: Form 8038

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT:(auto)Section "01" will always be generated. No entry is required.
(2)DLN Serial NumberSER#Enter the last two digits of the 13-digit DLN from the upper portion of the form. If the serial number was generated by the system (see IRM 3.24.38.3.4.14.1, Document Locator Number (DLN)), verify that it matches the document being entered.
(3)Check DigitCDPress only.
(4)Name ControlNCEnter the edited name control.
(5)EIN NumberEINEnter the EIN from line 2. See standard rules in IRM 3.24.38, BMF General Instructions
(6)Address CheckADDRESS CHECK?Enter "N" .
(7)Street KeySTREET KEYSee IRM 3.24.38 for procedures.
(8)ZIP KeyZIP KEYSee IRM 3.24.38 for procedures.
(9)Report NumberLN5Enter the number from line 5.
(10)Issuer's NameNAMEEnter the name from line 1. 1. Key as much data as possible until the "FIELD OVERFLOW" message is received. 2. Key the remaining data in the second name line field.
(11)Second Name Line2NDNAEnter any second name line information from line 1.
(12)In Care of Name LineC/O NAMEEnter the "In-Care-Of" name if shown. Downstream processing will generate the "%" sign.
(13)Foreign AddressFGN ADDEnter any foreign address (see IRM 3.24.38, for additional instructions). This field is prompted only if FLC is 60. ### Note: Foreign addresses are not accepted on Tax Exempt Bonds and considered unprocessable. If received, enter ERS action code 450 to void the DLN and have the case forwarded to TE/GE, SE:T:HQ:SS:BSP:SPP&O, M/S: 1110.
(14)Street AddressADDEnter the street address from the address line (see IRM 3.24.38 for specific instructions).
(15)CityCITY1. Enter the city name from the city line. 2. Enter Major City Code, if appropriate. See IRM 3.24.38.
(16)StateSTEnter the standard state abbreviation from the city/state line (see IRM 3.24.38).
(17)ZIP CodeZIPEnter the ZIP code.
(18)Date of IssueLN71. Enter date in MMDDYY format from line 7. 2. If more than one date is present enter the earliest date.
(19)Name of IssueLN8Enter the name from line 8. 1. Enter only the alpha/numeric, (-) hyphen, (&) and. 2. For additional instructions, see IRM 3.24.38.3.4.14.6, Name Line Entries. 3. Ignore any overflow information.
(20)CUSIP NumberLN9Enter the alpha/numeric data from line 9 as shown. Enter "None" if present.
(21)Received DateRDATEEnter the stamped or edited date in MMDDYY format from the face of the return (see IRM 3.24.38 for specific instructions).
(22)Condition CodesCCEnter the edited code(s) from the dotted portion of line 11a.
(23)Correspondence Received DateCODATEEnter the edited digits in MMDDYY format from below the address in the lower portion of the entity section (see IRM 3.24.38 for specific instructions).
(24)CAF IndicatorBOTLFEnter only. Not applicable to Form 8038 series.
(25)ERS Action CodeACTCDEnter the ERS action code from the bottom left margin.

Exhibit 3.24.26-3

Section 02 Form 8038 (Program 13200)

Source Document or Record: Form 8038.

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen; otherwise enter "02" always.
(2)Line 11a Amount11A $Enter the amount from line 11a.
(3)Line 11b Amount11B $Enter the amount from line 11b.
(4)Line 11c Amount11C $Enter the amount from line 11c.
(5)Line 11d Amount11D $Enter the amount from line 11d.
(6)Line 11e Amount11E $ \\\\\\Enter the amount from line 11e.
(7)Line 11f Amount11F $Enter the amount from line 11f.
(8)Line 11g Amount11G $Enter the amount from line 11g.
(9)Line 11h Amount11H $Enter the amount from line 11h.
(10)Line 11i Amount11I $Enter the amount from line 11i.
(11)Line 11j Amount11J $ \\\\\\Enter the amount from line 11j.
(12)Line 11k Amount11K $Enter the amount from line 11k.
(13)Line 11l Amount11L $Enter the amount from line 11l.
(14)Line 11m Amount11M $Enter the amount from line 11m.
(15)Line 11n Amount11N $Enter the amount from line 11n.
(16)Line 11o Amount11O $ \\\\\\Enter the amount from line 11o.
(17)Line 11p Amount11P $Enter the amount from line 11p.
(18)Line 11q Amount11Q $Enter the amount from line 11q.
(19)Line 11x Amount11X $Enter the amount from line 11x. ### Note: 11x is a write in.
(20)Line 11y Amount11Y $Enter the amount from line 11y. ### Note: Note: 11y is a write in.
(21)Line 11z Amount11Z $ \\\\\\Enter the amount from line 11z. ### Note: 11z is a write in.
(22)Line 12a Amount12A $Enter the amount from line 12a.
(23)Line 12b Amount12B $Enter the amount from line 12b.
Line 12c Amount12C $If an amount is present on line 12c, enter the amount from line 12c into Section 09, element No. (1).
Line 12d Amount12D $If an amount is present on line 12d, enter the amount from line 12d into Section 09 element No. (2).
(24)Line 13 AmountL13 $Enter the amount from line 13.
(25)Line 14 AmountL14 $Enter the amount from line 14.
(26)Line 15 AmountL15 $ \\\\\\Enter the amount from line 15.
(27)Line 16 AmountL16 $Enter the amount from line 16.
(28)Line 17 AmountL17 $Enter the amount from line 17.
(29)Line 18 AmountL18 $Enter the amount from line 18.
(30)Line 19 AmountL19 $Enter the amount from line 19.
(31)Line 20a Amount20A $ \\\\\\Enter the amount from line 20a.
(32)Line 20b Amount20B $Enter the amount from line 20b.
(33)Line 20c Amount20C $Enter the amount from line 20c.
Line 20d Amount20D $If an amount is present on line 20d, enter the amount from line 20d in Section 09 element No. (3).
Line 20e Amount20E $If an amount is present on line 20e, enter the amount from line 20e in Section 09 element No. (4).
Line 20f Amount20F $If an amount is present on line 20f, enter the amount from line 20f in Section 09 element No. (5).
(34)Line 20x Amount20X $Enter the amount from line 20x. ### Note: 20x is a write in.
(35)Line 20y Amount20Y $Enter the amount from line 20y. ### Note: 20y is a write in.
(36)Line 20z Amount20Z $ \\\\\\Enter the amount from line 20z. ### Note: 20z is a write in.

Exhibit 3.24.26-4

Section 03 Form 8038 (Program 13200)

Source Document or Record: Form 8038

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen; otherwise enter "03" always.
(2)Final Maturity Date21AEnter the date in MMDDYY format from line 21(a).
(3)Issue Price21B $Enter the amount from line 21(b).
(4)Stated Redemption Price at Maturity21C $Enter the amount from line 21(c).
(5)Weighted Average21DEnter the number of years from line 21(d). If a decimal amount (. ) or a partial year is entered (i.e., 15.2 or 1/2), enter the digits to the left of the decimal (.) and omit digits to the right of the decimal (.). Omit partial year (1/2).
(6)Yield21EEnter the entire edited numeric or alpha "VR" yield percent amount from line 21(e).
(7)Proceeds Used for Accrued Interest22 $Enter the amount from line 22.
(8)Issue Price of Entire Issue23 $Enter the amount from line 23.
(9)Proceeds Used for Bond Issuance24 $Enter the amount from line 24.
(10)Proceeds Used for Credit25 $Enter the amount from line 25.
(11)Proceeds Allocated Reserve /Replacement26 $Enter the amount from line 26.
(12)Proceeds Used to Refund Prior Tax-Exempt Bonds27 $Enter the amount from line 27.
(13)Proceeds Used to Refund Prior Taxable Bonds28 $Enter the amount from line 28.
(14)Add Lines 24 through 2829 $Enter the amount from line 29.
(15)Non-refunding Proceeds30 $ MINUS (-)Enter the amount from line 30.
(16)Land31A $Enter the amount from line 31a.
(17)Buildings and Structures31B $Enter the amount from line 31b.
(18)Equipment Recovery Period> 5 years31C $Enter the amount from line 31c.
(19)Equipment Recovery Period < 5 years31D $Enter the amount from line 31d.
(20)Other31E $Enter the amount from line 31e.
(21)NAICS Code 32a32AEnter the code from line 32a.
(22)NAICS 32a Amount32A $Enter the amount from line 32a.
(23)NAICS Code 32b32BEnter the code from line 32b.
(24)NAICS 32b Amount32B $Enter the amount from line 32b.
(25)NAICS Code 32c32CEnter the code from line 32c.
(26)NAICS 32c Amount32C $Enter the amount from line 32c.
(27)NAICS Code 32d32DEnter the code from line 32d.
(28)NAICS 32d Amount32D $Enter the amount from line 32d.
(29)Remaining Weighted Average/ Currently RefundedL33Enter the edited number of years from line 33.
(30)Remaining Weighted Average/ Advance RefundedL34Enter the number of years from line 34.
(31)Last Date Bonds Will be CalledL35Enter the date in MMDDYY format from line 35.
(32)Date Bonds were IssuedL36Enter the date in MMDDYY format from line 36.

Exhibit 3.24.26-5

Section 04 Form 8038 (Program 13200)

Source Document or Record: Form 8038

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen; otherwise enter "04" always.
(2)Name of Governmental UnitsL371. Enter the name from line 37. 2. Enter only the alpha/numeric, hyphen (-), and (&). 3. For additional instructions, see IRM 3.24.38.3.4.14.6, Name Line Entries. 4. Ignore any overflow information.
(3)If You Have Designated38CKBXEnter a "1" if the box is checked on line 38.
(4)If You Have Elected39CKBXEnter a "1" if the box is checked on line 39.
(5)If You Have Identified40ACKBXEnter a "1" if the box is checked on line 40a.
(6)Hedge is super-integrated41CKBXEnter a "1" if the box is checked on line 41.
(7)Gross Proceeds42A $Enter the amount from line 42a.
(8)Final Maturity Date42BEnter the date in MMDDYY format from line 42b.
(9)Issuer Established Procedures Non-Qualified43CKBXEnter a "1" if the box is checked on line 43.
(10)Issuer Established Procedures to Monitor44CKBXEnter a "1" if the box is checked on line 44.
(11)Proceeds to Reimburse Issuer45A $Enter the amount from line 45a.
(12)Date Official Intent was Adopted45BEnter the date in MMDDYY format from line 45b.
(13)If the Issue is Compromised46CKBXEnter a "1" if the box is check on line 46.
(14)Name of Primary Private User46NAME1. Enter the name from line 46 Name. 2. Enter only the alpha/numeric, hyphen (-), and (&). 3. For additional instructions, see IRM 3.24.38.3.4.14.6. 4. Ignore any overflow information.
(15)EIN of Primary Private User46EINEnter the EIN from line 46 EIN.
(16)Amount of State Volume Cap AllocatedL47 $Enter the amount from line 47.
(17)Amount of Issue SubjectL48 $Enter the amount from line 48.
(18)Amount of Issue Not SubjectL49 $Enter the amount from line 49.
(19)Amount of Bonds Governmentally Owned49A $Enter the amount from line 49a.
(20)Carryforward Election Amount49B $Enter the amount from line 49b.
(21)Transitional Rules Amount49C $Enter the amount from line 49c.
(22)Exception Amount49D $Enter the amount from line 49d.
(23)Qualified Veterans Bond Amount50A $Enter the amount from line 50a.
(24)State Limit50B $Enter the amount from line 50b.
(25)Amount of Section 1394(f)51A $Enter the amount from line 51a.
(26)Name of Empowerment Zone51B1. Enter the name from line 51b. 2. Enter only the alpha/numeric, hyphen (-) hyphen, and (&). 3. For additional instructions see IRM 3.24.38.3.4.14.6. 4. Ignore any overflow information.
(27)Amount of Section 142(k)(5)L52 $Enter the amount from line 52.
(28)Signature CodeSIGNEnter a "1" if a signature is present.
(29)Preparation CodePREPEnter a "1" if information is present in the "Paid Preparer Use Only" section.
(30)Preparer PTINPTINEnter the preparer’s PTIN.
(31)Preparer EINPEINEnter the preparer’s EIN.
(32)Preparer TelephonePTEL#Enter the preparer’s telephone number.

Exhibit 3.24.26-6

Section 09 Form 8038 (Program 13200)

Source Document or Record: Form 8038

Elem. No.Data element NamePromptFld. Term.Instructions
(1)Line 12c Amount12C $Enter the edited amount from line 12c.
(2)Line 12d Amount12D $Enter the edited amount from line 12d.
(3)Line 20d Amount20D $Enter the edited amount from line 20d.
(4)Line 20e Amount20E $Enter the edited amount from line 20e.
(5)Line 20f Amount20F $Enter the edited amount from line 20f.

Exhibit 3.24.26-7

Section 01 Form 8038-B (Program 13211)

Source Document or Record: Form 8038-B

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT:(auto)Section "01" will always be generated. No entry is required.
(2)DLN Serial NumberSER#Enter the last two digits of the 13-digit DLN from the upper portion of the form. If the serial number was generated by the system (see IRM 3.24.38.3.4.14.1, Document Locator Number (DLN)) verify that it matches the document being entered.
(3)Check DigitCDPress only.
(4)Name ControlNCEnter the name control only.
(5)EIN NumberEINEnter the EIN from line 2. See standard rules in IRM 3.24.38, BMF General Instructions.
(6)Address CheckADDRESS CHECK?Enter "N" .
(7)Street KeySTREET KEYSee IRM 3.24.38 for procedures.
(8)ZIP KeyZIP KEYSee IRM 3.24.38 for procedures.
(9)Report NumberLN4Enter the number from line 4.
(10)Issuer's NameNAME1. Enter the name from line 1. 2. Key as much data as possible until the "FIELD OVERFLOW " message is received. 3. Key the remaining data in the second name line field.
(11)Second Name Line2NDNAEnter any second name line information from Line 1.
(12)In Care of Name LineC/O NAMEEnter the "In-are-Of" name, if shown from line 3. Downstream Processing will generate (%) sign.
(13)Foreign AddressFGN ADDEnter any foreign address. See IRM 3.24.38, for additional instructions. This field is prompted only if FLC is 60. ### Note: Foreign addresses are not accepted on Tax Exempt Bonds and are considered unprocessable. If received, enter ERS AC 450 to void the DLN and have the case forwarded to TE/GE, SE:T:HQ:SS:BSP:SPP&O, M/S: 1110.
(14)Street AddressADDEnter the house number, street number, route or P.O. Box number from the entity portion of Form 8038-B. See narrative portion of this manual and standard abbreviations in IRM 3.24.38.
(15)CityCITY1. Enter the city name from the city line. 2. Enter Major City Code, if appropriate. See IRM 3.24.38.
(16)StateSTEnter the standard abbreviation from the city/state line (see IRM 3.24.38).
(17)ZIP CodeZIPEnter the ZIP code as shown.
(18)Date of IssueLN71. Enter the date in MMDDYY format from line 7. 2. If more than one date is present enter the earliest date .
(19)Name of IssueLN81. Enter the name from line 8. Enter only the alpha/numeric, hyphen (-), and (&). 2. For additional instructions, see IRM 3.24.38.3.4.14.6, Name Line Entries. 3. Ignore any overflow information.
(20)CUSIP NumberLN91. Enter the alpha/numeric data from line 9 as shown. 2. Enter "None" if present.
(21)Received DateRDATEEnter the stamped or edited date in MMDDYY format from the face of the return. See IRM 3.24.38 for special instructions.
(22)Condition CodesCCEnter the edited code(s) from dotted portion of Part II, line 1a.
(23)Correspondence Received DateCODATEEnter the edited digits in MMDDYY format from below the address in the lower portion of the entity section. For special instructions, see IRM 3.24.38.
(24)CAF IndicatorBOTLFEnter only. ### Note: Not applicable to Form 8038 series.
(25)ERS Action CodeACTCDEnter the ERS action code from the bottom left margin.

Exhibit 3.24.26-8

Section 10 Form 8038-B (Program 13211)

Source Document or Record: Form 8038-B

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen; otherwise enter "10" always.
(2)Part II, Line 1 Check box codeP2L1Enter the edited digit from the right of line 1b.
(3)First Interest Payment DateP2L2Enter the date in MMDDYY format from line 2.
(4)Part II, Line 3 Code3CODEEnter the edited digit from the right of Part II, line 3
(5)Part III, Line 1a AmountP3L1A $Enter the amount from Part III, line 1a.
(6)Part III, Line 1b AmountP3L1B $ \\\\\\Enter the amount from Part III, line 1b.
(7)Part III, Line 1c AmountP3L1C $Enter the amount from Part III, line 1c.
(8)Part III, Line 1d AmountP3L1D $Enter the amount from Part III, line 1d.
(9)Part III, Line 1e AmountP3L1E $Enter the amount from Part III, line 1e.
(10)Part III, Line 1f AmountP3L1F $Enter the amount from Part III, line 1f.
(11)Part III, Line 1g AmountP3L1G $ \\\\\\Enter the amount from Part III, line 1g.
(12)Part III, Line 1h AmountP3L1H $Enter the amount from Part III, line 1h.
(13)Part III, Line 2a AmountP3L2A $Enter the amount from Part III, line 2a.
(14)Part III, Line 2b AmountP3L2B $Enter the amount from Part III, line 2b.
(15)Part III, Line 2c AmountP3L2C $Enter the amount from Part III, line 2c.
(16)Part III, Line 2d AmountP3L2D $Enter the amount from Part III, line 2d.
(17)Part III, Line 3 AmountP3L3 $Enter the amount from Part III, line 3.
(18)Part III, Line 4, TANS/RANS or BANS CheckboxP3L41. Enter a "1" if the first box is checked. 2. Enter a "2" if the second box is checked. Enter a "3" if both boxes are checked.
(19)Obligations are Lease or InstallmentP3L5Enter a "1" if the check box is checked on Part III, line 5.
(20)Part IV, Line 1 Stated Redemption PriceP4L1 $Enter the amount from Part IV, line 1.
(21)Final Maturity DateP4L2Enter the date in MMDDYY format from Part IV, line 2.
(22)Weighted Average MaturityP4L3Enter the number from Part IV, line 3, filling in zeros before and after to equal 4 positions.
(23)Yield PercentageP4L4Enter the percentage from Part IV, line 4, filling in zeros before and after to equal 6 positions.
(24)Variable Rate5ACKBXEnter a "1" if 5a is checked.
(25)Part V Sales ProceedsP5L1 $Enter the amount from Part V, line 1.
(26)Part V Expected InvestmentP5L2 $Enter the amount from Part V, line 2.
(27)Part V Accrued InterestP5L3 $Enter the amount from Part V, line 3.
(28)Part V Bond Issuance CostP5L4 $Enter the amount from Part V, line 4.
(29)Part V Credit EnhancementP5L5 $Enter the amount from Part V, line 5.
(30)Part V Allocated to Reasonably RequireP5L6 $Enter the amount from Part V, line 6.
(31)Part V Refinance Capital ExpendituresP5L7 $Enter the amount from Part V, line 7.
(32)Part V Refinance Working Capital ExpendituresP5L8 $Enter the amount from Part V, line 8.
(33)Part V Used to Currently RefundP5L9 $Enter the amount from Part V, line 9.
(34)Part V Used to Advance RefundP5L10 $Enter the amount from Part V, line 10.

Exhibit 3.24.26-9

Section 11 Form 8038-B (Program 13211)

Source Document or Record: Form 8038-B

Elem. NoData Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen; otherwise enter "11" always.
(2)Part VI, Line 1 Remaining Weighted Average Currently RefundedP6L1Enter the number of years from Part VI, line 1.
(3)Remaining Weighted Average Advance RefundedP6L2Enter the number of years from Part VI, line 2.
(4)Last Date Refunded Bonds will be CalledP6L3Enter the date in MMDDYY format from Part VI, line 3.
(5)Date Refunded Bonds IssuedP6L4Enter the date in MMDDYY format from Part VI, line 4.
(6)State Volume Cap Amount Part VII, Line 1P7L1 $Enter the amount from Part VII, line 1.
(7)Gross Proceeds Investment Amt. (GIC)P7L2A $Enter the amount from Part VII, line 2a.
(8)Final Maturity Date (GIC)P7L2BEnter the date in MMDDYY format from Part VII, line 2b.
(9)Proceeds of this Issue AmountP7L3 $Enter the amount from Part VII, line 3.
(10)Loan made from Proceeds4ACKBXEnter a "1" if the box is checked on Part VII, line 4a.
(11)Date of Issue Master Pool4BDATEEnter the date in MMDDYY format from Part VII, line 4b.
(12)Issuer EIN or master Pool4CEINEnter the EIN from Part VII, line 4c.
(13)Issuer entered into Hedge5ACKBXEnter a "1" if the box is checked on Part VII, line 5a.
(14)Part 7 Line 6 Checkbox6CKBXEnter a "1" if the box is checked on Part VII, line 6.
(15)Issuer Elected to Pay7CKBXEnter a "1" if the box is checked on Part VII, line 7.
(16)Issuer Established Procedures Non-qualified8CKBXEnter a "1" if the box is checked on Part VII, line 8.
(17)Issuer Established Procedure to Monitor Sec. 1489CKBXEnter a "1" if the box is checked on Part VII, line 9.
(18)Signature CodeSIGNEnter a "1" if a signature is present.
(19)Preparation CodePREPEnter a "1" if information is present in the "Paid Preparer Use Only" section.
(20)Preparer SSN/PTINPTINEnter the preparer PTIN.
(21)Preparer EINPEINEnter the preparer EIN.
(22)Preparer Telephone #PTEL#Enter the preparer telephone number.
(23)Part of Consent ElectionL1CKBX1. Enter a "1" if the "Yes" box is checked. 2. Enter a "2" if the "No" box is checked, both boxes are checked or neither box is checked on Part VIII, line 1.

Exhibit 3.24.26-10

Section 01 Form 8038-CP (Program 13210)

Source Document or Record: Form 8038-CP

Elem. No.Data element NamePromptFld. Term.Instructions
(1)Section NumberSECT:(auto)Section "01" will always be generated. No entry is required.
(2)DLN Serial NumberSER#Enter the last two digits of the 13-digit DLN from the upper portion of the form. If the serial number has been generated by the system (see IRM 3.24.38.3.4.14.1, Document Locator Number (DLN)), verify that it matches the document being entered.
(3)Check DigitCDPress enter only.
(4)Name Control Line 1L1NCEnter the edited name control only from Part I, line 1 or Part II, Line 7.
(5)EIN Number Line 2L2EINEnter the EIN from Part I, line 2. See standard rules in IRM 3.24.38, BMF General Instructions.
(6)Address CheckADDRESS CHECK?Enter "N" .
(7)Street KeySTREET KEYSee IRM 3.24.38 for procedures.
(8)ZIP KeyZIP KEYSee IRM 3.24.38 for procedures.
(9)Report Number, Part II, Line 10P2L10Enter the report number from Part II, line 10.
(10)Name, Part I, Line 1NAME1. Enter the name from Part I, line 1. 2. Key as much data as possible until the "FIELD OVERFLOW" message is received. 3. Key the remaining data in the second name line field.
(11)Second Name Line 12NDNAEnter any second name line information from Part I, line 1.
(12)In Care of Name Line 1C/O NAMEEnter the "In-Care-Of" name, if present.
(13)Foreign Address, Line 1FGN ADD* Enter any foreign address. See IRM 3.24.38, for additional instructions. ### Note: This field is prompted only if FLC is 60. * If the entity in Part I does not match the entity in Part II, a Foreign address is valid on Form 8038-CP. * If the entity in Part I matches the entity in Part II, Foreign addresses are not accepted on Form 8038-CP and considered unprocessable. * Enter ERS AC 450 to void the DLN and have the case forwarded to TE/GE, SE:T:HQ:SS:BSP:SPP&O, M/S 1110.
(14)Street Address, Line 3ADDEnter the house number, street number, route or P.O. Box number from Part I, line 3, entity portion of Form 8038-CP. See narrative portion of this manual and Standard Abbreviations in IRM 3.24.38.
(15)City, Line 4CITY1. Enter the city from Part I, line 4 of the address area. 2. Enter Major City Code, if appropriate. See IRM 3.24.38.
(16)State, Line 4STEnter the standard state abbreviation from Part I, line 4. "" only if Major City Code was entered. See IRM 3.24.38.
(17)ZIP Code, Line 4ZIPEnter the ZIP code as shown on Part I, line 4.
(18)Date of Issue, Line 12P2L12Enter the date in MMDDYY format from Part II, line 12. ### Note: If more than one date is present enter the earliest date.
(19)Name of Issue, Line 13P2L131. Enter the name from Part II, line 13. 2. Enter only the alpha/numeric, (-) hyphen, (&) and. 3. For additional instructions, see IRM 3.24.38.3.4.14.6, Name Line Entries. 4. Ignore any overflow information.
(20)CUSIP Number, Line 14P2L14<ENTEREnter the alpha/numeric data from Part II, line 14 as shown. Enter "None" if present.
(21)Received DateRDATEEnter the stamped or edited date in MMDDYY format from the face of the return. See IRM 3.24.38 for special instructions.
(22)Condition CodesCCEnter the edited code(s) from the middle of the title line for Part III, Payment of Credit.
(23)Correspondence Received DateCODATEEnter the edited digits from below the address in the lower portion of the entity section in Part 2 in MMDDYY format. For special instructions, See IRM 3.24.38.
(24)CAF IndicatorBOTLFEnter only. ### Note: Not applicable to Form 8038 series.
(25)ERS Action CodeACTCDEnter the ERS AC from the bottom left margin.

Exhibit 3.24.26-11

Section 02 Form 8038-CP (Program 13210)

Source Document or Record: Form 8038-CP

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen; otherwise enter "02" always.
(2)Issuer's Name, Part II, Line 7P2NAME1. Enter the Issuer's Name from Part II, line 7. 2. If blank or "same" is annotated, enter the name from Part I, line 1. 3. Enter only alpha/numeric, (-) hyphen, (&) and. 4. For additional instructions, see IRM 3.24.38.3.4.14.6, Name Line Entries. 5. Ignore any overflow information.
(3)EIN, Part II, Line 8P2EIN1. Enter the EIN from Part II, line 8. 2. If blank or "same" is annotated, enter the EIN from Part I, line 2. 3. See standard rules in IRM 3.24.38, BMF General Instructions.
(4)Street Address, Part II, Line 9P2ADD1. Enter the house number, street number, route or P.O. Box number from Part II, line 9. 2. If blank or "same" is annotated, enter the address from Part I, line 3. 3. See narrative portion of this manual and standard abbreviations in IRM 3.24.38.
(5)City, Part II, Line 11P2CITY1. Enter the city from Part II, line 11. 2. If blank or "same" is annotated, enter the address from Part I, line 4. 3. Enter Major City Code, if appropriate. See IRM 3.24.38. .
(6)State, Part II, Line 11P2ST1. Enter the standard state abbreviations from Part II, line 11. 2. If blank or "same" is annotated, enter the state abbreviation from Part I, line 4.
(7)Zip, Part II, Line 11P2ZIP1. Enter the ZIP code as shown in Part II, line 11. 2. If blank or "same" is annotated, enter the address from Part I, line 4.
(8)Variable or Fixed Check Box Part II, Line 17a17A1. Enter a "1" if the variable box is checked. 2. Enter a "2" if the fixed box is checked. 3. If neither check box is marked, enter the edited value located in the right hand margin next to line 17a. ### Note: On 2009 form revision this field will be edited in the right margin just below line 17b.
(9)Issue Price, Part II, Line 17b17BEnter the amount from Part II, line 17b.
(10)Type of Bond Code, Part II, Line 17c17CEnter the three-digit numeric code from Part II, line 17c or the edited "000" .
(11)Interest Payment DateL18Enter the date in MMDDYY format from Part III, line 18.
(12)Interest Payable AmountL19AEnter the amount from Part III, line 19a.
(13)Applicable Credit Rate19BEnter the percentage from Part III, line 19b or the edited zeros.
(14)Interest Payable using Applicable Credit Rate19CEnter the amount from Part III, line 19c.
(15)Amount of Build America Bonds20AEnter the amount from Part III, line 20a.
(16)Amount of Recovery Zone Economic Development Bonds20BEnter the amount from Part III, line 20b.
(17)New Clean Renewable Energy Bonds20CEnter the amount from Part III, line 20c.
(18)Qualified Energy Conservation Bonds20DEnter the amount from Part III, line 20d.
(19)Qualified Zone Academy Bonds20EEnter the amount from Part III, line 20e.
(20)Qualified School Construction Bonds20FEnter the amount from Part III, line 20f.
(21)Net Increase to Previous Payments21AEnter the amount from Part III, line 21a.
(22)Net Decrease to Previous Payments21BEnter the amount from Part III, line 21b.
(23)Line 21c Explanation Code21CEnter the three-digit numeric code in Part III, line 21c or the edited "000" .
(24)Amount of Credit Payment to be ReceivedL22Enter the amount from Part III, line 22.
(25)Change to Debt Service Schedule Check BoxL23AEnter the edited value of "1" or "2" located in the right hand margin.
(26)Line 23b Explanation CodeL23BEnter the edited three-digit numeric code in Part III, line 23b or the edited "000" .
(27)Line 24 Yes/No Check BoxL24A1. Enter a "1" if the "Yes" check box is marked. 2. Enter a "2" if the "No" check box is marked. 3. If neither check box is marked, leave blank.
(28)Line 24b Explanation Code24BEnter the edited three-digit numeric code in Part III, line 24b or the edited "000" .
(29)Final Interest Payment Check BoxL25Enter the edited value of "1" or "2" located in the right hand margin. If neither check box is marked, leave blank.
(30)Schedule A, line 3L3Enter the amount from Schedule A, line 3 ### Note: Only applicable to 01/2022 Form 8038-CP revision.
(31)Signature CodeSIGN<ENTEREnter a "1" if a signature is present.
(32)Preparer CodePREPEnter a "1" if information is present in the "Paid Preparer Use Only" section.
(33)Preparer SSN or PTINPTINEnter the Preparer's SSN or PTIN
(34)Preparer EINPEINEnter the Preparer's EIN
(35)Preparer Telephone #PTEL#Enter the preparer's telephone number.

Exhibit 3.24.26-12

Section 12 Form 8038-CP (Program 13210)

Source Document or Record: Form 8038-CP

Elem. No.Data Element NamePromptFld. Term.Instruction
(1)Section NumberSECT: if already present on the screen; otherwise enter "12" always.
(2)Routing Transit NumberRTNEnter the 9-digit RTN from line 1. ### Note: Ignore all illegible or excess digits. Do not space between digits.
(3)Depositor Account NumberDAN \\\\\\1. Enter the alpha/numeric account number from line 2. ### Note: Only alphas, numerics and hyphens (-) are valid. 2. Ignore any blanks. 3. Enter a period for illegible characters. If more than 17 positions, enter a pound sign (#) in the last position. 4. If the DAN is not present, enter a period (.) in the first position of the field.
(4)DAN for VerificationDAN \\\\\\Enter the DAN again for verification. ### Note: If the DAN is not present, enter a period (.) in the first position of the field.
(5)Type of Depositor AccountTYPE1. Enter an "S" or "C" representing the box checked for "Savings" or "Checking" from line 3. 2. If both boxes are checked, enter a "C" . 3. If neither box is checked, press "" and the system will generate a "C" .

Exhibit 3.24.26-13

Section 01 Form 8038-G (Program 13201)

Source Document or Record: Form 8038-G

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT:(auto)Section "01" will always be generated. No entry is required.
(2)DLN Serial NumberSER#Enter the last two digits of the 13-digit DLN from the upper portion of the form. If the serial number has been generated by the system (see IRM 3.24.38.3.4.14.1, Document Locator Number (DLN)) verify that it matches the document being entered.
(3)Check DigitCDPress enter only.
(3a)Name ControlNCEnter the name control.
(4)EIN NumberEINEnter the EIN from line 2 (see standard rules in IRM 3.24.38, BMF General Instructions).
(5)Address CheckADDRESS CHECK?Enter "N" .
(6)Street KeySTREET KEYSee IRM 3.24.38. for procedures.
(7)ZIP KeyZIP KEYSee IRM 3.24.38 for procedures.
(8)Report NumberLN5Enter the number from line 5.
(9)Issuer's NameNAME1. Enter the name from line 1. 2. Key as much data as possible until the "FIELD OVERFLOW" message is received. 3. Key the remaining data in the second name line field.
(10)Second Name Line2NDNAEnter any second name line information from line 1.
(11)In Care of Name LineC/O NAMEEnter the "In-Care-Of" name, if present.
(12)Foreign AddressFGN ADD1. Enter any foreign address (see IRM 3.24.38, for additional instructions). 2. This field is prompted only if FLC is 60. ### Note: Foreign addresses are not accepted on Tax Exempt Bonds and are considered unprocessable. If received, enter ERS action code 450 to void the DLN and have the case forwarded to TE/GE, SE:T:HQ:SS:BSP:SPP&O, M/S: 1110.
(13)Street AddressADDEnter the house number, street number, route or P.O. Box number from the entity portion of Form 8038-G. See narrative portion of this manual and standard abbreviations in IRM 3.24.38.
(14)CityCITY1. Enter the city from the address area. 2. Enter Major City Code, if appropriate (see IRM 3.24.38).
(15)StateST* Enter the standard state abbreviations. * Press only if Major City Code was entered (see IRM 3.24.38).
(16)ZIP CodeZIPEnter the ZIP code as shown.
(17)Date of IssueLN7* Enter the date in MMDD"YY" format from line 7. * If more than one date is present, enter the earliest date.
(18)Name of IssueLN81. Enter the name from line 8. 2. Enter only the alpha/numeric, hyphen (-), and (&). 3. For additional instructions, see IRM 3.24.38.3.4.14.6, Name Line Entries. 4. Ignore any overflow information.
(19)CUSIP NumberLN9Enter the alpha/numeric data from line 9 as shown. Enter "None" if present.
(20)Received DateRDATEEnter the stamped or edited date in MMDDYY format from the face of the return. See IRM 3.24.38 for specific instructions.
(21)Condition CodesCCEnter the edited code(s) from the dotted portion of line 11.
(22)Correspondence Received DateCODATEEnter the edited digits from below the address in the lower portion of the entity section in MMDDYY format. For specific instructions, see IRM 3.24.38.
(23)CAF IndicatorBOTLFEnter only. Not applicable to Form 8038 series.
(24)ERS Action CodeACTCDEnter the ERS action code from the bottom left margin.

Exhibit 3.24.26-14

Section 05 Form 8038-G (Program 13201)

Source Document or Record: Form 8038-G

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen, otherwise enter "05" .
(2)In Care of TelephoneLN3Press only.
(3)Name of OfficerLN 10A NameEnter the name from Part 1, line 10a.
(4)Officer's TelephoneLN 10b TELEnter the telephone number from Part 1, line 10b.
(5)Line 11 AmountL11 $Enter the amount from line 11.
(6)Line 12 AmountL12 $Enter the amount from line 12.
(7)Line 13 AmountL13 $Enter the amount from line 13.
(8)Line 14 AmountL14 $Enter the amount from line 14.
(9)Line 15 AmountL15 $Enter the amount from line 15.
(10)Line 16 AmountL16 $Enter the amount from line 16.
(11)Line 17 AmountL17 $Enter the amount from line 17.
(12)Line 18 AmountL18 $Enter the amount from line 18.
(13)Line 18x Amount18X $Enter the amount from line 18x. ### Note: 18x is a write-in entry.
(14)Line 18y Amount18Y $Enter the amount from line 18y. ### Note: 18y is a write in entry.
(15)Line 18z Amount18Z $Enter the amount from line 18z. ### Note: 18z is a write in entry.
(16)If Obligations are (TANs/RANs/BANs)19CKBX1. Enter a "1" if the first box is checked. 2. Enter a "2" if the second box is checked. 3. Enter a "3" if both boxes are checked.
(17)Obligation Lease or Installment Box20CKBXEnter a "1" if the box is checked on line 20.
(18)Maturity Date21AEnter the date in MMDDYY format from line 21(a).
(19)Entire Issue Price21B $Enter the amount from line 21(b).
(20)Stated Redemption Price21C $Enter the amount from line 21(c).
(21)Weighted Average Years21D1. Enter the years from line 21(d). 2. If a decimal amount "(.)" or partial year "(1/2)" is entered (i.e., 15.2 or 1/2), enter the digits to the left of the decimal (.) and omit the digits to the right of the decimal (.). 3. Omit partial year (1/2) .
(22)Yield21EEnter the entire edited numeric or alpha "VR" yield percent amount from line 21(e).
(23)Proceeds Used for Accrued InterestL22 $Enter the amount from line 22.
(24)Issue Price of Entire IssueL23 $Enter the amount from line 23.
(25)Proceeds Used for Bond IssuanceL24 $Enter the amount from line 24.
(26)Proceeds Used for CreditL25 $Enter the amount from line 25.
(27)Proceeds AllocatedL26 $Enter the amount from line 26.
(28)Proceeds Used to Refund Prior Tax-Exempt BondsL27 $Enter the amount from line 27.
(29)Proceeds Used to Refund Prior Taxable BondsL28 $Enter the amount from line 28.
(30)Total, Lines 24 Through 28L29 $Enter the amount from line 29.
(31)Non-Refunding ProceedsL30 $Enter the amount from line 30.

Exhibit 3.24.26-15

Section 06 Form 8038-G (Program 13201)

Source Document or Record: Form 8038-G

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen: otherwise enter "06" .
(2)Remaining Weighted Average Currently RefundedL31Enter the years from line 31.
(3)Remaining Weighted Average Advance RefundedL32Enter the years from line 32.
(4)Date Refunded Bonds Will be CalledL33Enter the date in MMDDYY format from line 33.
(5)Date Refunded Bonds IssuedL34Enter the date in MMDDYY format from line 34.
(6)State Volume Cap AmountL35 $Enter amount from line 35.
(7)Gross Proceeds Invested36A $Enter amount from line 36a.
(8)Final Maturity Date36BEnter the date in MMDDYY format from line 36b.
(9)Name of GICL36cEnter the Name from Part VI, line 36c
(10)Pooled Financing: Proceeds37 $Enter amount from line 37.
(11)Loan Made From Proceeds38ACKBXEnter a "1" if the box is checked on line 38a.
(12)Date of Issue Master Pool38BDATEEnter the date from line 38b.
(13)Issuer EIN of Master38CEINEnter the EIN from line 38c.
(14)Issuer's Name of Master Pool Obligation38DNAMEEnter the name from line 38D.
(15)If the Issuer has Designated39CKBXEnter a "1" if the box is checked on line 39.
(16)If the Issuer has Elected40CKBXEnter a "1" if the box is checked on line 40.
(17)If the Issuer has Identified/ Entered into a Hedge41ACKBXEnter a "1" if the box is checked on line 41a.
(18)Name of Hedge providerLN41BEnter the name from Part VI, line 41b.
(19)Type of hedgeLN41CEnter the type of hedge from Part VI, line 41c.
(20)Term of hedgeLN41DEnter the number from Part VI, line 41d.
(21)Part VI, Line 42 Check box42CKBXEnter a "1" if the box is checked on line 42.
(22)Issuer Established Procedures Non-Qualified43CKBXEnter a "1" if the box is checked on line 43.
(23)Issuer Established Procedures to Monitor Section 14844CKBXEnter a "1" if the box is checked on line 44.
(24)Portion of Proceeds Used to Reimburse Expenditures Check box45ACKBXEnter a "1" if the box is checked on line 45a.
(25)Portion of Proceeds Used to Reimburse Expenditures45AEnter the amount from line 45a.
(26)Date Official Intent was Adopted45BEnter the date from line 45b in MMDDYY.
(27)Signature CodeSIGNEnter a "1" if a signature is present.
(28)Preparation CodePREPEnter a "1" if information is present in the "Paid Preparer Use Only" section.
(29)Preparer PTINPTINEnter the preparer’s PTIN.
(30)Preparer EINPEINEnter the preparer’s EIN.
(31)Preparer Telephone #PTEL#Enter the preparer’s telephone number.

Exhibit 3.24.26-16

Section 01 Form 8038-GC (Program 13202)

Source Document or Record: Form 8038-GC

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT:(auto)Section "01" will always be generated. No entry is required.
(2)DLN Serial NumberSER#Enter the last two digits of the 13-digit DLN from the upper portion of the form. If the serial number has been generated by the system (see IRM 3.24.38.3.4.14.1, Document Locator Number (DLN)) verify that it matches the document being entered.
(3)Check DigitCDPress enter only.
(4)Name ControlNCEnter the name control only.
(5)EIN NumberEINEnter the EIN from line 2. See standard rules inIRM 3.24.38, BMF General Instructions.
(6)Address CheckADDRESS CHECK?Enter "N" .
(7)Street KeySTREET KEYSee IRM 3.24.38 for procedures.
(8)ZIP KeyZIP KEYSee IRM 3.24.38 for procedures.
(9)Tax PeriodTAXPREnter the underlined or edited tax period from the upper right corner in YYMM format. See IRM 3.24.38 for special instructions.
(10)Report NumberLN5Enter the report number from line 5.
(11)Issuer's NameNAME1. Enter the name from line 1. 2. Key as much data as possible until the "FIELD OVERFLOW" message is received. 3. Key the remaining data in the second name line field.
(12)Second Name Line2NDNAEnter any second name line information from line 1.
(13)In Care of Name LineC/O NAMEEnter the "In-Care-Of" name, if present.
(14)Foreign AddressFGN ADDEnter any foreign address. See IRM 3.24.38, for additional instructions. This field is prompted only if FLC is 60. ### Note: Foreign addresses are not acceptable on Tax Exempt Bonds and are considered unprocessable. ### Note: If received, enter ERS action code 450 to void the DLN and have the case forwarded to TE/GE, SE:T:HQ:SS:BSP:SPP&O, M/S: 1110.
(15)Street AddressADDEnter the house number, street number, or route or P.O. Box number from the entity portion of Form 8038-GC. See narrative portion of this manual and standard abbreviations in IRM 3.24.38.
(16)CityCITY1. Enter the city from the address area. 2. Enter Major City Code, if appropriate (see IRM 3.24.38).
(17)StateST1. Enter the standard state abbreviation. 2. Enter only if Major City Code was entered (see IRM 3.24.38).
(18)ZIP CodeZIPEnter the ZIP code as shown.
(19)Date of IssueL8B1. Enter the date in MMDDYY format from line 8b. 2. If more than one date is present enter the earliest date.
(20)Received DateRDATEEnter the stamped or edited date in MMDDYY format from the face of the return. See IRM 3.24.38 for special instructions.
(21)Condition CodesCCEnter the edited code(s) from the dotted portion of line 8a.
(22)Correspondence Received DateCODATEEnter the edited digits from below the address in the lower portion of the entity section in MMDDYY format. For special instructions see IRM 3.24.38.
(23)CAF IndicatorBOTLFEnter only. ### Note: Not applicable to Form 8038 series.
(24)ERS Action CodeACTCDEnter the ERS action code from the bottom left margin.

Exhibit 3.24.26-17

Section 07 Form 8038-GC (Program 13202)

Source Document or Record: Form 8038-GC

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT:1. if already present on the screen. 2. Otherwise enter "07" .
(2)Part II Checkbox Single/ConsolidatedPT2CKBXEnter a "1" for single, a "2" for consolidated.
(3)Issue Price of ObligationL8A $Enter the amount from line 8a.
(4)Leases for VehiclesL9A $Enter the amount from line 9a.
(5)Leases for Office EquipmentL9B $Enter the amount from line 9b.
(6)Lease for Real PropertyL9C $Enter the amount from line 9c.
(7)Other LeasesL9D $Enter the amount from line 9d.
(8)Bank Loans for VehiclesL9E $Enter the amount from line 9e.
(9)Bank Loans for Office EquipmentL9F $Enter the amount from line 9f.
(10)Bank Loans for Real PropertyL9G $Enter the amount from line 9g.
(11)Bank Loans for OtherL9H $Enter the amount from line 9h.
(12)Used to Refund Prior IssuesL9I $Enter the amount from line 9i.
(13)Representing a Loan from ProceedsL9J $Enter the amount from line 9j.
(14)OtherL9K $Enter the amount from line 9k.
(15)If the Issuer has Designated10CKBXEnter a "1" if the box is checked on line 10.
(16)If the Issuer has Elected to Pay11CKBXEnter a "1" if the box is checked for line 11.
(17)Vendor/Bank EIN13EINEnter the EIN from line 13.
(18)Signature CodeSIGNEnter a "1" if a signature is present.
(19)Preparation CodePREPEnter a "1" if information is present in the "Paid Preparer Use Only" section.
(20)Preparer PTINPTINEnter the preparer’s PTIN.
(21)Preparer EINPEINEnter the preparer’s EIN.
(22)Preparer Telephone #TEL#Enter the preparer’s telephone number.

Exhibit 3.24.26-18

Section 01 Form 8038-T (Program 13203)

Source Document or Record: Form 8038-T

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT:(auto)Section "01" will always be generated. No entry is required.
(2)DLN Serial NumberSER#Enter the last two digits of the 13-digit DLN from the upper portion of the form. If the serial number was generated by the system (see IRM 3.24.38.3.4.14.1, Document Locator Number (DLN)) verify that it matches the document being entered.
(3)Check DigitCDPress enter only.
(4)Name ControlNCEnter the name control only.
(5)EIN NumberEINEnter the EIN from line 2. See standard rules in IRM 3.24.38, BMF General Instructions.
(6)Address CheckADDRESS CHECK?Enter "N" .
(7)Street KeySTREET KEYSee IRM 3.24.38 for procedures.
(8)ZIP KeyZIP KEYSee IRM 3.24.38 for procedures.
(9)Report NumberLN4Enter the report number from line 4.
(10)Issuer's NameNAME1. Enter the name from line 1. 2. Key as much data as possible until the "FIELD OVERFLOW " message is received. 3. Key the remaining data in the second name line field. .
(11)Second Name Line2NDNAEnter any second name line information from line 1.
(12)In Care of Name LineC/O NAMEEnter the "In-Care-Of" name, if present.
(13)Foreign AddressFGN ADDEnter any foreign address (see IRM 3.24.38, for additional instructions). ### Note: This field is prompted only if FLC is 60. ### Note: Foreign addresses are not accepted on Tax Exempt Bonds and considered unprocessable. If received, enter ERS action code 450 to void the DLN and have the case forwarded to TE/GE, SE:T:HQ:SS:BSP:SPP&O, M/S: 1110.
(14)Street AddressADDEnter the house number, street number, or route or P.O. Box number from the entity portion of Form 8038-T. See narrative portion of this manual and standard abbreviations in IRM 3.24.38.
(15)CityCITY1. Enter the city from the address area. 2. Enter Major City Code if appropriate (see IRM 3.24.38
(16)StateST1. Enter the standard state abbreviations. 2. Enter only if Major City Code was entered (see IRM 3.24.38).
(17)ZIP CodeZIPEnter the ZIP code as shown.
(18)Date of IssueLN6Enter the date in MMDDYY format from line 6. If more than one date is present enter the earliest date.
(19)Name of IssueLN71. Enter the name from line 7. 2. Enter only the alpha/numeric, hyphen (-), and (&). 3. For additional instructions see IRM 3.24.38.3.4.14.6, Name Line Entries. 4. Ignore any overflow information.
(20)CUSIP NumberLN8Enter the alpha/numeric data from line 8 as shown. Enter "None" if present.
(21)Received DateRDATEEnter the stamped or edited date in MMDDYY format from the face of the return. See IRM 3.24.38 for special instructions.
(22)Condition CodesCCEnter the edited code(s) from the dotted portion of line 12.
(23)Correspondence Received DateCODATEEnter the edited digits from below the address in the lower portion of the entity section in MMDDYY format. For special instructions see IRM 3.24.38.
(24)CAF IndicatorBOTLFEnter only. Not applicable to Form 8038 series.
(25)ERS Action CodeACTCDEnter the ERS action code from the left bottom margin.

Exhibit 3.24.26-19

Section 03 Form 8038-T (Program 13203)

Source Document or Record: Form 8038-T

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen. Otherwise enter "03" .
(2)RemittanceRMT1. Enter the amount printed by a cash register in any location on the return or edited in green pencil in the "Balance Due" area. 2. Check the control document (813, 3893) if the amount is illegible. 3. Enter the RPS amount printed on the upper right corner of the return ONLY if underlined in green. 4. This is a MUST ENTER if pre-journalized credit amount E–(5), block header, was entered. 5. The error message "INVALID DATA" will appear if there is an amount in this field and there is no entry for pre-journalized credit amount in the block header.
(3)Issue PriceL11 $Enter the amount from line 11.
(4)Computation DateL12Enter the "TO" date in MMDDYY format from line 12.
(5)Arbitrage Rebate Checkbox13CKBXEnter a "1" if the box is checked on line 13.
(6)Arbitrage RebateL13 $Enter the amount from line 13.
(7)Yield Reduction Checkbox14CKBXEnter a "1" if the box is checked on line 14.
(8)Yield Reduction AmountL14 $Enter the amount from line 14.
(9)QZAB Escrow AmountL15 $Enter the amount from line 15.
(10)Months Since Date of IssueL161. Enter a "1" if the 1st box is checked on line 16. 2. Enter a "2" if the 2nd box is checked on line 16. 3. Enter a "3" if the 3rd box is checked on line 16. 4. Enter a "4" if the 4th box is checked on line 16. 5. Enter a "5" if the 5th box is checked on line 16. 6. If no box is checked or more than one box is checked on line 16, press enter.
(11)Penalty in Lieu of RebateL17 $Enter the amount from line 17.
(12)Date of Termination ElectionL18Enter the date in MMDDYY format from line 18.
(13)Penalty Upon TerminationL19 $Enter the amount from line 19.
(14)Does Failure to Pay Timely Qualify Checkbox20CKBX1. Enter a "1" if the "Yes" box is checked on line 20. 2. Enter a "2" if the "No" box is checked on line 20.
(15)Penalty AmountL21 $Enter the amount from line 21.
(16)Interest on UnderpaymentL22 $Enter the amount from line 22.
(17)Total PaymentL23Enter the amount from line 23.
(18)Amount of Unspent ProceedsL24 $Enter the amount from line 24.
(19)Amount of Proceeds UsedL25 $Enter the amount from line 25.
(20)Amount Used for GIC's and EscrowsL26 $Enter the amount from line 26.
(21)Amount of Fees PaidL27 $Enter the amount from line 27.
(22)Is the Issue a Variable RateL281. Enter a "1" for "Yes" or 2. a "2" for "No" .
(23)Did the Issuer Enter into a HedgeL291. Enter a "1" for "Yes" or 2. a "2" for "No"
(24)Were Gross Proceeds InvestedL301. Enter a "1" for "Yes" or 2. a "2" for "No"
(25)Were Any Proceeds Invested BeyondL311. Enter a "1" for "Yes" or 2. a "2" for "No"
(26)Prepared by Issuer or PreparerL321. Enter a "1" for "Issuer" or 2. a "2" for "Preparer" .
(27)Signature CodeSIGNEnter a "1" if a signature is present.
(28)Preparation CodePREPEnter a "1" if information is present in the "Paid Preparer Use Only" section.
(29)Preparer PTINPTINEnter the preparer’s PTIN.
(30)Preparer EINPEINEnter the preparer’s EIN.
(31)Preparer Telephone #PTEL#Enter the preparer’s telephone number.

Exhibit 3.24.26-20

Section 01 Form 8038-TC (Program 13212)

Source Document or Record: Form 8038-TC

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT:(auto)Section "01" will always be generated. No entry is required.
(2)DLN Serial NumberSER#Enter the last two digits of the 13-digit DLN from the upper portion of the form. If the serial number has been generated by the system (see IRM 3.24.38.3.4.14.1, Document Locator Number (DLN)), verify that it matches the document being entered.
(3)Check DigitCDPress only.
(4)Name ControlNCEnter the name control only.
(5)EIN NumberEINEnter the EIN from line 2. See standard rules in IRM 3.24.38, BMF General Instructions.
(6)Address CheckADDRESS CHECK?Enter "N" .
(7)Street KeySTREET KEYSee IRM 3.24.38 for procedures.
(8)ZIP KeyZIP KEYSee IRM 3.24.38 for procedures.
(9)Report NumberRPT#Enter the report number from the entity section.
(10)Issuer's NameNAME1. Enter the name from line 1. 2. Key as much data as possible until the "FIELD OVERFLOW" message is received. 3. Key the remaining data in the second name line field.
(11)Second Name Line2NDNAEnter any second name line information from line 1.
(12)In Care of Name LineC/O NAMEEnter the "In-Care-Of" name if shown from line 3. ### Note: Downstream Processing will generate (%) sign.
(13)Foreign AddressFGN ADDEnter any foreign address. See IRM 3.24.38, for additional instructions. ### Note: This field is prompted only if FLC is 60. ### Note: Foreign addresses are not accepted on Tax Exempt Bonds and considered unprocessable. If received, enter ERS Action Code 450 to void the DLN and have the case forwarded to TE/GE, SE:T:HQ:SS:BSP:SPP&O, M/S: 1110
(14)Street AddressADDEnter the house number, street number, route or P.O. Box number from the entity portion. See narrative portion of this manual and standard abbreviations in IRM 3.24.38.
(15)CityCITYEnter the city name from the city line, or Major City Code if appropriate (See IRM 3.24.38).
(16)StateST1. Enter the standard state abbreviation from the city/state line (see IRM 3.24.38). 2. Enter Major City Code, if appropriate. 3. If Major City Code was entered, press " " only. See IRM 3.24.38.
(17)ZIP CodeZIPEnter the ZIP code.
(18)Date of IssueLN7Enter the date in MMDDYY format from line 7. ### Note: If more than one date is present, enter the earliest date.
(19)Name of IssueLN81. Enter the name from line 8. Enter only the alpha/numeric, hyphen (-) hyphen, and (&). For additional instructions see IRM 3.24.38.3.4.14.6, Name Line Entries. 2. Ignore any overflow information.
(20)CUSIP NumberLN91. Enter the alpha/numeric data from line 9 as shown. 2. Enter "None" if present.
(21)Received DateRDATEEnter the stamped or edited date in MMDDYY format from the face of the return. See IRM 3.24.38 for special instructions.
(22)Condition CodesCCEnter the edited code(s) from Part III, line 1, in the dotted portion.
(23)Correspondence Received DateCODATEEnter the edited digits in MMDDYY format from below the address in the lower portion of the entity section. For special instructions, see IRM 3.24.38.
(24)CAF IndicatorBOTLF only. ### Note: Not applicable to Form 8038 series.
(25)ERS Action CodeACTCDEnter the ERS action code from the bottom left margin.

Exhibit 3.24.26-21

Section 02 Form 8038-TC (Program 13212)

Source Document or Record: Form 8038-TC

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen; otherwise enter "02" always.
(2)Tax Credit Bond Code, Part II, Line 1TYPEEnter the 3-digit code from Part II, line 1.
(3)Irrevocable Election Check BoxP2L31. Enter a "1" if the "Yes" check box is marked. 2. If check box is marked "No" or "blank" , "" only.
(4)First Interest Payment dateP2L4Enter the date from Part II, line 4 in MMDDYY format.
(5)Interest Payment Date Frequency CodeP2L5RTEnter the digit edited in the right margin of Part II, line 5.
(6)Issue Price, Part III, Line 1P3L1 $Enter the amount from Part III, line 1.
(7)Stated Redemption Price at MaturityP3L2 $Enter the amount from Part III, line 2.
(8)Final Maturity DateP3L3Enter the date in MMDDYY format from Part III, line 3.
(9)Applicable Credit RateP3L4Enter the percentage from Part III, line 4, entering zeros before the number and after to equal 6 positions.
(10)Maximum TermP3L5Enter the year from Part III, line 5 entering zeros before the number and after to equal 4, positions.
(11)Permitted Sinking Fund YieldP3L6Enter the percentage from Part III, line 6, entering zeros before the number and after to equal 6 positions.
(12)Interest Rate on BondsP3L7Enter the percentage from Part III, line 7, entering zeros before the number and after to equal 4 positions.
(13)Variable Rate Issue Check BoxP3L8AEnter a "1" if the box is checked on Part III, line 8a.
(14)Sale ProceedsP4L1 $Enter the amount from Part IV, line 1.
(15)Proceeds Used for Bond Issuance CostP4L2 $Enter the amount from Part IV, line 2.
(16)Estimated Investment ProceedsP4L3 $Enter the amount from Part IV, line 3.
(17)Expected Available Project ProceedsP4L4 $Enter the amount from Part IV, line 4.
(18)Matching Pledged FundsP4L5 $Enter the amount from Part IV, line 5.
(19)Other, Part IVP4L6 $Enter the amount from Part IV, line 6.
(20)Total ProceedP4L7 $Enter the amount from Part IV, line 7.
(21)Loan to Qualified Borrowers AmountsP5L1A $Enter the amount from Part V, line 1a.
(22)Qualified Borrowers CheckboxL1BCKBXEnter a "1" if the box is checked on Part V, line 1b.
(23)EIN of BorrowerP51DEINEnter the EIN from Part V, line 1d.
(24)LandP5L2 $Enter the Amount from Part V, line 2.
(25)Buildings and StructuresP5L3 $Enter the Amount from Part V, line 3.
(26)Equipment with Recovery Period >5 yearsP5L4 $Enter the Amount from Part V, line 4.
(27)Equipment with Recovery Period <5 yearsP5L5 $Enter the Amount from Part V, line 5.
(28)GrantsP5L6 $Enter the Amount from Part V, line 6.
(29)Demonstration ProjectsP5L7 $Enter the Amount from Part V, line 7.
(30)Public Education CampaignsP5L8 $Enter the Amount from Part V, line 8.
(31)Repairs or Other Rehabilitation ExpendituresP5L9 $Enter the Amount from Part V, line 9.
(32)Development Course Material/TrainingP5L10 $Enter the Amount from Part V, line 10.
(33)Pay Principle/Interest/PremiumsP5L11 $Enter the Amount from Part V, line 11.
(34)Refinance a Qualified IndebtednessP5L12 $Enter the Amount from Part V, line 12.
(35)Other Part 5P5L13 $Enter the Amount from Part V, line 13.
(36)Total Qualified Purpose ExpendituresP5L14 $Enter the Amount from Part V, line 14.
(37)Percentage of available Project ProceedsP5L15Enter the percentage from Part V, line 15, filling with zeros before the number and after to equal 6 positions.
(38)Proceeds to Reimburse IssuerP5L16 $Enter the Amount from Part V, line 16.
(39)Date Official Intent was AdoptedP5L17Enter the date in MMDDYY format from line 17.

Exhibit 3.24.26-22

Section 03 Form 8038-TC (Program 13212)

Source Document or Record: Form 8038-TC

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen; otherwise enter "03" always.
(2)Allocation of National State Bond LimitationP6L1A $Enter the amount from Part VI, line 1a.
(3)Source of National or State BondP6RTMAREnter the edited code (1 thru 4) from the right of Part VI, line 1b.
(4)State CodeP6L2Enter the state code from Part VI, line 2.
(5)Reserve Fund Required to Repay Part VIIL1ACKBXEnter a "1" if the box is checked in Part VII, line 1a.
(6)Funded in Periodic InstallmentsL1BCKBXEnter a "1" if the box is checked in Part VII, line 1b.
(7)Amount Greater than Amount to Repay Part VIIL1CCKBXEnter a "1" if the box is checked in Part VII, line 1c.
(8)Monitor the Requirements of Sect 148L1DCKBXEnter a "1" if the box is checked in Part VII, line 1d.
(9)Conflict of Interest Satisfied Part VIIL2CKBXEnter a "1" if the box is checked in Part VII, line 2.
(10)Entitlements of Credits Stripped Part VIIL3CKBXEnter a "1" if the box is checked in Part VII, line 3.
(11)Non-Qualified Bonds/End of Applicable Period Part VIIL4CKBXEnter a "1" if the box is checked in Part VII, line 4.
(12)Other Part VIIL5CKBXEnter a "1" if the box is checked in Part VII, line 5.
(13)Signature CodeSIGNEnter a "1" if a signature is present.
(14)Preparation CodePREPEnter a "1" if information is present in the "Paid Preparer Use Only" section.
(15)Preparer SSN/PTINPTIN \\\\\\Enter the PTIN.
(16)Preparer EINPEINEnter the EIN.
(17)Preparer Telephone #PTEL #Enter the preparer telephone number.
(18)Consent ElectionP8CKBXEnter the edited code.

Exhibit 3.24.26-23

Section 04 Form 8038-TC Schedule (Program 13212)

Source Document or Record: Form 8038-TC Schedule

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen; otherwise enter "04" always.
(2)Tax Credit Bond CodeTCBCEnter the 3-digit Tax Credit Bond Code from the completed schedule. Only one schedule will be entered.
(3)Part I, Line 1 Yes/No boxesP1L11. Enter a "1" if the "Yes" box is checked. 2. Enter a "2" if the "No" box is checked.
(4)Part I, Line 2 Yes/No boxesP1L21. Enter a "1" if the "Yes" box is checked. 2. Enter a "2" if the "No" box is checked.
(5)Part I, Line 3 Yes/No boxesP1L31. Enter a "1" if the "Yes" box is checked. 2. Enter a "2" if the "No" box is checked.
(6)Part I, Line 4 Yes/No boxesP1L41. Enter a "1" if the "Yes" box is checked. 2. Enter a "2" if the "No" box is checked.
(7)Part I, Line 5 Yes/No boxesP1L51. Enter a "1" if the "Yes" box is checked. 2. Enter a "2" if the "No" box is checked.
(8)Part I, Line 6 Yes/No boxesP1L61. Enter a "1" if the "Yes" box is checked. 2. Enter a "2" if the "No" box is checked.
(9)Part I, Line 7 Yes/No boxesP1L71. Enter a "1" if the "Yes" box is checked. 2. Enter a "2" if the "No" box is checked.
(10)Part I, Line 8 Yes/No boxesP1L81. Enter a "1" if the "Yes" box is checked. 2. Enter a "2" if the "No" box is checked.
(11)Part I, Line 9 Yes/No boxesP1L91. Enter a "1" if the "Yes" box is checked. 2. Enter a "2" if the "No" box is checked.
(12)Part I, Line 10 Yes/No boxesP1L101. Enter a "1" if the "Yes" box is checked. 2. Enter a "2" if the "No" box is checked.
(13)Part II, Line 1 AmountLN1 $Enter the amount from Part II, line 1.
(14)Part II, Line 2 AmountLN2 $Enter the amount from Part II, line 2.
(15)Part II, Line 3 AmountLN3 $Enter the amount from Part II, line 3.
(16)Part II, Line 4 AmountLN4 $Enter the amount from Part II, line 4.
(17)Part II, Line 5 AmountLN5 $Enter the amount from Part II, line 5.
(18)Part II, Line 6 AmountLN6 $Enter the amount from Part II, line 6.
(19)Part II, Line 7 AmountLN7 $Enter the amount from Part II, line 7.
(20)Part II, Line 8 AmountLN8 $Enter the amount from Part II, line 8.
(21)Part II, Line 9 AmountLN9 $Enter the amount from Part II, line 9.
(22)Part II, Line 10 AmountL10 $Enter the amount from Part II, line 10.

Exhibit 3.24.26-24

Section 01 Form 8328 (Program 13204)

Source Document or Record: Form 8328

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT:(auto)Section "01" will always be generated. No entry is required.
(2)DLN Serial NumberSER#Enter the last two digits of the 13-digit DLN from the upper portion of the form. If the serial number has been generated by the system (see IRM 3.24.38.4.4.14.1, Document Locator Number (DLN)), verify that it matches the document being entered.
(3)Check DigitCDPress enter only.
(4)Name ControlNCEnter the name control only.
(5)EIN NumberEINEnter the EIN from Part I Entity section. See standard rules in IRM 3.24.38, BMF General Instructions.
(6)Address CheckADDRESS CHECK?Enter "N" .
(7)Street KeySTREET KEYSee IRM 3.24.38 for procedures.
(8)ZIP KeyZIP KEYSee IRM 3.24.38 for procedures.
(9)Tax PeriodTAXPREnter the underlined or edited tax period from the upper right corner in YYMM format. See IRM 3.24.38 for special instructions.
(10)Report NumberRPT#Enter the report number from the Entity section.
(11)Issuer's NameNAME1. Enter the name from Part I, name line. 2. Key as much data as possible until the "FIELD OVERFLOW" message is received. 3. Key the remaining data in the second name line field.
(12)Second Name Line2NDNAEnter any second name line information from line 1.
(13)In Care of Name LineC/O NAMEEnter the "In-Care-Of" name, if present.
(14)Foreign AddressFGN ADDEnter any foreign address (see IRM 3.24.38 for additional instructions). ### Note: This field is prompted only if FLC is 60. ### Note: Foreign addresses are not accepted on Tax Exempt Bonds and are considered unprocessable. If received, enter ERS Action Code 450 to void the DLN and have the case forwarded to TE/GE, SE:T:HQ:SS:BSP:SPP&O, M/S: 1110.
(15)Street AddressADDEnter the house number, street number, route or P.O. Box number from the entity portion of Form 8328. See narrative portion of this manual and standard abbreviations in IRM 3.24.38.
(16)CityCITY1. Enter the city from the address area. 2. Enter Major City Code, if appropriate (see IRM 3.24.38).
(17)StateST1. Enter the standard state abbreviations. 2. Enter "" only if Major City Code was entered (see IRM 3.24.38).
(18)ZIP CodeZIPEnter the ZIP code as shown.
(19)Received DateRDATEEnter the stamped or edited date in MMDDYY format from the face of the return. See IRM 3.24.38 for special instructions.
(20)Condition CodesCCEnter the edited code(s) from the dotted portion of line 1.
(21)Correspondence Received DateCODATEEnter the edited digits from below the address in the lower portion of the entity section in MMDDYY format. For special instructions see IRM 3.24.38.
(22)CAF IndicatorBOTLFEnter only. ### Note: Not applicable to Form 8038 series.
(23)ERS Action CodeACTCDEnter the ERS action code from the bottom left margin.

Exhibit 3.24.26-25

Section 08 Form 8328 (Program 13204)

Source Document or Record: Form 8328

Elem. No.Data Element NamePromptFld. Term.Instruction
(1)Section NumberSECT: if already present on the screen; otherwise enter "08" always.
(2)Total Volume Cap AmountLN1 $Enter the amount from line 1.
(3)Aggregate Amount Under Section 146LN2 $Enter the amount from line 2.
(4)Volume Cap Exchange for Mortgage CreditLN3 $Enter the amount from line 3.
(5)Volume Cap Amount for Governmental BondsLN4 $Enter the amount from line 4.
(6)Total of Lines 2 through 4LN5 $Enter the amount from line 5.
(7)Unused Volume Cap AmountLN6 $Enter the amount from line 6.
(8)Total Carryforward amountL11 $Enter the amount from line 11.
(8)Qualified student loan bondsLNS7Enter the amount from line 7.
(9)Qualified mortgage bonds or mortgage credit certificatesLN#8Enter the amount from line 8.
(10)Qualified redevelopment bondsLN#9Enter the amount from line 9.
(11)Mass commuting facilitiesLN#10AEnter the amount from line 10a.
(12)Water furnishing facilitiesLN#10BEnter the amount from line 10b.
(13)Sewage facilitiesLN#10CEnter the amount from line 10c.
(14)Solid waste disposal facilitiesLN#10DEnter the amount from line 10d.
(15)Qualified residential rental projectsLN#10EEnter the amount from line 10e.
(16)Facilities for the local furnishing of electric energy or gasLN#10FEnter the amount from line 10f.
(17)Local district heating or cooling facilitiesLN#10GEnter the amount from line 10g.
(18)Qualified hazardous waste facilitiesLN#10HEnter the amount from line 10h.
(19)High-speed intercity rail facilitiesLN#10IEnter the amount from line 10i.
(20)Qualified enterprise zone facility bondsLN#10JEnter the amount from line 10j.
(21)Qualified broadband projectsLN#10KEnter the amount from line 10k.
(22)Qualified carbon dioxide capture facilitiesLN#10LEnter the amount from line 10l.
(23)Total Carryforward amountL11 $Enter the amount from line 11.
(24)Total Volume Cap for YearL12 $Enter the amount from line 12.
(25)Total Bonds Under 142(k)L13 $Enter the amount from line 13.
(26)Unused Volume Cap Available for CarryforwardL14 $Enter the amount from line 14.
(27)Amount Elected for CarryforwardL15 $Enter the amount from line 15.
(28)Signature CodeSIGNEnter a "1" if a signature is present.

Exhibit 3.24.26-26

Section 01 Form 8703 (Program 13250)

Source Document or Record: Form 8703

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT:(auto)Section 01 will always be generated. No entry is required.
(2)DLN Serial NumberSER#Enter the last two digits of the 13-digit DLN from the upper portion of the form. If the serial number was generated by the system (see IRM 3.24.38.3.4.14.1, Document Locator Number (DLN)), verify that it matches the document being entered.
(3)Check DigitCDPress enter only.
(4)Name ControlOPNCEnter the name control only.
(5)EIN NumberOPEINEnter the Operator's EIN in Part I. See standard rules in IRM 3.24.38, BMF General Instructions.
(6)Address CheckADDRESS CHECK?Enter "N" .
(7)Street KeySTREET KEYSee IRM 3.24.38 for procedures.
(8)ZIP keyZIP KEYSee IRM 3.24.38 for procedures.
(9)Tax PeriodTAXPREnter the edited tax period from the upper right corner in YYMM format. See IRM 3.24.38 for special instructions.
(10)Report NumberRPT #Enter the edited three-digit report number located to right of the address of bldg/project line.
(11)Operator of Project NameOPNAME1. Enter the Operator’s name from Part I entity. 2. Key as much data as possible until the "FIELD OVERFLOW" message is received. 3. Key the remaining data in the second name line field.
(12)Second Name Line2NDNAEnter any second name line information.
(13)In Care of Name LineC/O NAMEEnter the "In-Care-Of" name if shown. Downstream processing will generate (%) sign.
(14)Foreign AddressFGN ADDEnter any foreign address (see IRM 3.24.38, for additional instructions). This field is prompted only if FLC is 60. ### Note: Foreign addresses are not accepted on Tax Exempt Bonds and considered unprocessable. If received, enter ERS Action Code 450 to void the DLN and have the case forwarded to TE/GE, SE:T:HQ:SS:BSP:SPP&O, MS: 1110.
(15)Street AddressADDEnter the Operator of Project's street address located in Part I. See IRM 3.24.38 for specific instructions.
(16)CityCITYEnter the city name from the city line, or Major City Code if appropriate.
(17)StateSTEnter the standard state abbreviation from the city/state line. See IRM 3.24.38 for specific instructions.
(18)ZIP CodeZIPEnter the ZIP code located in Part I.
(19)Owner of Project NameOWNAME1. Enter the "Owner of Project" name located in Part I. 2. Key as much data as possible until the "FIELD OVERFLOW" message is received. 3. Key the remaining data in the second name line field.
(20)Second Name LineOW2NDNAEnter any second name line information.
(21)Street AddressOWADDEnter the address located in Part I.
(22)CityOWCITYEnter the city name located in Part I or Major City Code if appropriate.
(23)StateOWSTEnter the standard state abbreviation code located in Part I. See IRM 3.24.38 for specific instructions.
(24)ZIP CodeOWZIPEnter the ZIP code located in Part I.
(25)Building/Project Street AddressBLDGADDEnter the building/project address from Part I.
(26)CityBLCITYEnter the city from Part I.
(27)StateBLSTEnter the standard state abbreviation code from Part I, line 5.
(28)ZIPBLZIPEnter the city from Part I.
(29)Received DateRDATEEnter the stamped or edited date in MMDDYY format from the face of the return. See IRM 3.24.38 for special instructions.
(30)Condition CodesCCCEnter the edited code(s) from Part II, Line 5 on the dotted portion.
(31)Correspondence Received DateCODATEEnter the edited digits in MMDDYY format from below the address in the lower portion of the entity section. For special instructions, see IRM 3.24.38.
(32)CAF IndicatorBOTLFNot applicable to Form 8038 series.
(33)ERS Action CodeACTCDEnter the ERS action code from the bottom left margin.

Exhibit 3.24.26-27

Section 02 Form 8703 (Program 13250)

Source Document or Record: Form 8703

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen; otherwise enter "02" always.
(2)Project Check Box1CKBXEnter the edited code in the right margin.
(3)Qualified Project Period began dateLN2Enter the date (or edited date) on line 2 in MMDDYYYY format.
(4)Low Income Housing Check Box3AY/NEnter the edited code. * Enter "1" = Yes * Enter "2" = No * Enter 3 = Both boxes checked.
(5)Building Identification NumberL3BEnter up to 15 alpha/numeric data from line 3b.
(6)Units Rented4Y/NEnter the edited code. * Enter "1" = Yes * Enter "2" = No * Enter 3 = Both boxes checked. * If a prior year form, press the enter key only.
(7)Total Number Rental UnitsLN5Enter the number from line 5.
(8)Number of Units Occupied by IndividualsLN6Enter the number from line 6.
(9)Number of Units Occupied by Continuing ResidentsLN7Enter the number from line 7.
(10)Total Number of Low Income UnitsLN8Enter the number from line 8.
(11)PercentageL9%Enter the percentage from line 9.
(12)Number of 40% and Under Low Income Units10AEnter the number from line 10a.
(13)Percentage of Line 10a divided by Line 810B%Enter the percentage from line 10b.
(14)Number of Units VacatedL111. Enter the number from line 11. 2. If a prior year form, press the "Enter" key only.
(15)Number of Units Vacated and Occupied by New residentsL12E 1. Enter the number from line 12. 2. If a prior year form, press the "Enter" key only.
(16)Number of Units Vacated and HeldL131. Enter the number from line 13. 2. If a prior year form, press the "Enter" key only.

Exhibit 3.24.26-28

Section 03 Form 8703 (Program 13250)

Source Document or Record: Form 8703

Elem. No.Data Element NamePromptFld. Term.Instructions
(1)Section NumberSECT: if already present on the screen; otherwise enter "03" always.
(2)Name of IssuerL14Enter the name from Part III, line 14.
(3)Issuer's EINL15Enter the Issuer's EIN from Part III, line 15.
(4)Name of Bond IssueL16Enter the name of the bond issue from Part III, line 16.
(5)Date of Bond IssueL17Enter the date from Part III, line 17 in MM/DD/YY format.
(6)CUSIPL18Enter the alpha/numeric data from line 18 as shown. Enter "none" if present.
(7)Issue Price19$Enter the issue price from Part III, line 19.
(8)Final Maturity DateL20Enter the final maturity date from Part III, line 20 in MM/DD/YY format. (This is a must enter field \\\\\*.)
(9)Signature CodeSIGNEnter a "1" if a signature is present.
(10)Preparation CodeCODEPreparation CodeEnter a "1" if information is present in the "Paid Preparer Use Only" section.
(11)Preparer SSN/PTINPTINPreparer SSN/PTINEnter the PTIN.
(12)Preparer EINEINPreparer EINEnter the preparer EIN.
(13)Preparer TelephoneTEL#Preparer TelephoneEnter the preparer telephone number.
Disclaimer. This may not be the most current version of this information. Users should consult official sources to verify information on this site is recent and current. Marble does not warrant or represent the accuracy, completeness or reliability of the information contained on this site.