204 CMR 3.00
ATTACHMENT "B"
Business name:
Business address:
Reporting period (July 1 - December 31,):
1. Refund value of filled containers sold to dealers:
2. Refunds paid to dealers:
3. Refunds paid to redemption centers:
4. Refunds paid to third-party collecting agents:
5. Deposit fund value (line 1 minus lines 2,3, and 4)
6. Handling charges paid to dealers:
7. Handling charges paid to redemption centers:
8. Handling charges paid to third-party collecting agents: