C R E A T E Community Studios Inc
| Fiscal year | Revenue | Expenses | Net | Reserve mo. | Staff % |
|---|---|---|---|---|---|
| 2018 | 85,478 | 44,101 | 41,377 | 12.2 | — |
| 2019 | 110,095 | 113,899 | −3,804 | 4.3 | — |
| 2020 | 79,653 | 64,412 | 15,241 | 10.5 | — |
| 2021 | 164,566 | 170,889 | −6,323 | 3.5 | — |
| 2022 | 313,966 | 275,940 | 38,026 | 3.8 | 58% |
| 2023 | 386,213 | 356,817 | 29,396 | 1.6 | 53% |
In its most recent public year (2023), this organization brought in $29,396 more than it spent. Its reserves stood at about 1.6 months of spending, down from 12.2 in 2018. Staff pay was 53% of spending. $12,000 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 2023. 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
C R E A T E Community Studios Inc's IRS filings as a feed — one entry per filing year, through 2023. Add the address to any feed reader; in Slack, send /feed subscribe with it (pasting the link alone won't subscribe). How this feed works