everyledgerAn index of 679,731 U.S. nonprofits · computed from public IRS filings · current through 2024

Paint Creek Water Supply Corporation — filings as a feed

One entry per filing year, through 2023 / no account / no email address

This is a feed — the same quiet technology behind podcasts. To use it: paste the address below into a feed reader; in Slack, send /feed subscribe followed by the address (pasting the link alone won't subscribe); or point an automation tool's “new item in a feed” trigger at it. Nothing to sign up for, nothing that can email you.

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Tax year 2023 — took in $25,430 more than it spent. Revenue $355,209 · expenses $329,779 · reserve months 46.2
Tax year 2022 — took in $26,509 more than it spent. Revenue $357,934 · expenses $331,425 · reserve months 44.9
Tax year 2021 — spent $9,742 more than it took in. Revenue $317,517 · expenses $327,259 · reserve months 44.4
Tax year 2020 — took in $39,605 more than it spent. Revenue $327,237 · expenses $287,632 · reserve months 50.8
Tax year 2019 — took in $21,691 more than it spent. Revenue $318,709 · expenses $297,018 · reserve months 47.6
Tax year 2018 — spent $3,202 more than it took in. Revenue $325,464 · expenses $328,666 · reserve months 42.3
Tax year 2017 — spent $21,369 more than it took in. Revenue $303,377 · expenses $324,746 · reserve months 42.9
Tax year 2016 — took in $516,239 more than it spent. Revenue $811,852 · expenses $295,613 · reserve months 61.9
Tax year 2015 — took in $12,900 more than it spent. Revenue $263,055 · expenses $250,155 · reserve months 48.3
Tax year 2014 — took in $21,883 more than it spent. Revenue $272,390 · expenses $250,507 · reserve months 47.5
Tax year 2013 — spent $7,285 more than it took in. Revenue $286,974 · expenses $294,259 · reserve months 39.5
Tax year 2012 — took in $15,204 more than it spent. Revenue $272,562 · expenses $257,358 · reserve months 45.4
Tax year 2011 — took in $65,840 more than it spent. Revenue $275,231 · expenses $209,391 · reserve months 54.7