Dream Builders Of Chesterfield Inc
| Fiscal year | Revenue | Expenses | Net | Reserve mo. | Staff % |
|---|---|---|---|---|---|
| 2020 | 50,179 | 68,035 | −17,856 | 21.1 | 8% |
| 2021 | 55,464 | 81,714 | −26,250 | 13.7 | 7% |
| 2022 | 52,851 | 70,161 | −17,310 | 13.0 | 8% |
| 2023 | 58,625 | 72,706 | −14,081 | 10.2 | 8% |
| 2024 | 58,730 | 74,074 | −15,344 | 7.5 | 9% |
In its most recent public year (2024), this organization spent $15,344 more than it brought in. Its reserves stood at about 7.5 months of spending, down from 21.1 in 2020. Staff pay was 9% of spending. $58,553 of its net assets are donor-restricted.
Reserve months = net assets ÷ average monthly spending; net assets count everything the organization owns beyond its debts — buildings and donor-restricted funds included, not just cash. Staff pay = salaries, wages, and officer compensation; it excludes benefits and payroll taxes. The IRS releases this data years after the fact — this organization's newest public year is 2024. Years refer to the calendar year in which the organization's fiscal year ended. Short-form filers do not publicly report donor-restricted balances or staffing costs. Source filings
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