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Employer Identification Number 23-7358670

BOARD OF TRUSTEESPLUMBERS STEAMFITTERS 577 JATC TRUST FUND is a USA domiciled entity or foreign entity operating in the USA. The EIN ihas been issued by the IRS

Company Name:BOARD OF TRUSTEESPLUMBERS STEAMFITTERS 577 JATC TRUST FUND
Employer identification number (EIN):23-7358670
EIN TypeTrusts, Estates, and Non-Profit/Exempt Organizations under the Tax Equity and Fiscal Responsibility Act (TEFRA)
EIN Issuing AuthorityBrookhaven, NY
401k Pension/Benefits registration BOARD OF TRUSTEESPLUMBERS STEAMFITTERS 577 JATC TRUST FUND 401k plan information
Federal tax statusExempt from federal income tax. Registered as a non-profit under 501(c)(3) Title 26 of the United States Code

Organization Overview

Mission StatementAPPRENTICESHIP TRAINING AND JOB RELATED TRAINING PROGRAMS ARE PROVIDED FOR EMPLOYEES EMPLOYED BY MEMBERS OF THE EMPLOYER ASSOCIATION AND OTHERS PARTICIPATING EMPLOYERS SUBJECT TO THE COLLECTIVE BARGAINING AGREEMENT.
Number of Employees9
Year Formed2009

Organization Governance

Legal DomicileOH
Voting Members - Governing Body7
Voting Members - Independent7

Organization Financials

2022-12-31
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 544,696
Program Service Revenue from current yearUSD $ 633,798
Investment Income from prior yearUSD $ 339
Investment Income from current yearUSD $ 414
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 980,572
Net assets / fund balances at end of fiscal yearUSD $ 1,417,976
Net assets / fund balances at beginning of fiscal yearUSD $ 1,171,410
Total liabilities at end of fiscal yearUSD $ 0
Total assets at end of fiscal yearUSD $ 1,417,976
Total assets at beginning of fiscal yearUSD $ 1,171,410
Revenues less expenses for current yearUSD $ 246,566
Revenues less expenses for previous yearUSD $ 162,772
Total expenses for current yearUSD $ 734,006
Total expenses for previous yearUSD $ 609,708
Other expenses in current yearUSD $ 81,586
Other expenses in previous yearUSD $ 58,485
Total fundraising expenses in current yearUSD $ 0
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 463,541
Employee salary and benefits paid in previous yearUSD $ 436,695
Benefits paid to or for members in current yearUSD $ 188,879
Benefits paid to or for members in previous yearUSD $ 114,528
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 980,572
Total revenue in previous fiscal yearUSD $ 772,480
Contributions and grants from current yearUSD $ 346,360
Contributions and grants from previous yearUSD $ 227,445
2021-12-31
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 505,844
Program Service Revenue from current yearUSD $ 544,696
Investment Income from prior yearUSD $ 1,294
Investment Income from current yearUSD $ 339
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 772,480
Net assets / fund balances at end of fiscal yearUSD $ 1,171,410
Net assets / fund balances at beginning of fiscal yearUSD $ 1,008,638
Total liabilities at end of fiscal yearUSD $ 0
Total assets at end of fiscal yearUSD $ 1,171,410
Total assets at beginning of fiscal yearUSD $ 1,008,638
Revenues less expenses for current yearUSD $ 162,772
Revenues less expenses for previous yearUSD $ 175,877
Total expenses for current yearUSD $ 609,708
Total expenses for previous yearUSD $ 618,756
Other expenses in current yearUSD $ 58,485
Other expenses in previous yearUSD $ 85,594
Total fundraising expenses in current yearUSD $ 0
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 436,695
Employee salary and benefits paid in previous yearUSD $ 435,687
Benefits paid to or for members in current yearUSD $ 114,528
Benefits paid to or for members in previous yearUSD $ 97,475
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 772,480
Total revenue in previous fiscal yearUSD $ 794,633
Contributions and grants from current yearUSD $ 227,445
Contributions and grants from previous yearUSD $ 287,495
2020-12-31
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 639,256
Program Service Revenue from current yearUSD $ 505,844
Investment Income from prior yearUSD $ 2,656
Investment Income from current yearUSD $ 1,294
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 794,633
Net assets / fund balances at end of fiscal yearUSD $ 1,008,638
Net assets / fund balances at beginning of fiscal yearUSD $ 832,761
Total liabilities at end of fiscal yearUSD $ 0
Total assets at end of fiscal yearUSD $ 1,008,638
Total assets at beginning of fiscal yearUSD $ 832,761
Revenues less expenses for current yearUSD $ 175,877
Revenues less expenses for previous yearUSD $ 97,513
Total expenses for current yearUSD $ 618,756
Total expenses for previous yearUSD $ 701,068
Other expenses in current yearUSD $ 85,594
Other expenses in previous yearUSD $ 94,757
Total fundraising expenses in current yearUSD $ 0
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 435,687
Employee salary and benefits paid in previous yearUSD $ 449,299
Benefits paid to or for members in current yearUSD $ 97,475
Benefits paid to or for members in previous yearUSD $ 157,012
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 794,633
Total revenue in previous fiscal yearUSD $ 798,581
Contributions and grants from current yearUSD $ 287,495
Contributions and grants from previous yearUSD $ 156,669
2019-12-31
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 432,411
Program Service Revenue from current yearUSD $ 639,256
Investment Income from prior yearUSD $ 954
Investment Income from current yearUSD $ 2,656
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 798,581
Net assets / fund balances at end of fiscal yearUSD $ 832,761
Net assets / fund balances at beginning of fiscal yearUSD $ 735,248
Total liabilities at end of fiscal yearUSD $ 0
Total assets at end of fiscal yearUSD $ 832,761
Total assets at beginning of fiscal yearUSD $ 735,248
Revenues less expenses for current yearUSD $ 97,513
Revenues less expenses for previous yearUSD $ -85,183
Total expenses for current yearUSD $ 701,068
Total expenses for previous yearUSD $ 545,317
Other expenses in current yearUSD $ 94,757
Other expenses in previous yearUSD $ 80,522
Total fundraising expenses in current yearUSD $ 0
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 449,299
Employee salary and benefits paid in previous yearUSD $ 365,566
Benefits paid to or for members in current yearUSD $ 157,012
Benefits paid to or for members in previous yearUSD $ 99,229
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 798,581
Total revenue in previous fiscal yearUSD $ 460,134
Contributions and grants from current yearUSD $ 156,669
Contributions and grants from previous yearUSD $ 26,769
2018-12-31
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 341,319
Program Service Revenue from current yearUSD $ 432,411
Investment Income from prior yearUSD $ 771
Investment Income from current yearUSD $ 954
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 460,134
Net assets / fund balances at end of fiscal yearUSD $ 735,248
Net assets / fund balances at beginning of fiscal yearUSD $ 820,431
Total liabilities at end of fiscal yearUSD $ 0
Total assets at end of fiscal yearUSD $ 735,248
Total assets at beginning of fiscal yearUSD $ 820,431
Revenues less expenses for current yearUSD $ -85,183
Revenues less expenses for previous yearUSD $ -16,317
Total expenses for current yearUSD $ 545,317
Total expenses for previous yearUSD $ 370,376
Other expenses in current yearUSD $ 80,522
Other expenses in previous yearUSD $ 108,210
Total fundraising expenses in current yearUSD $ 0
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 365,566
Employee salary and benefits paid in previous yearUSD $ 262,166
Benefits paid to or for members in current yearUSD $ 99,229
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 460,134
Total revenue in previous fiscal yearUSD $ 354,059
Contributions and grants from current yearUSD $ 26,769
Contributions and grants from previous yearUSD $ 11,969
2017-12-31
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 331,108
Program Service Revenue from current yearUSD $ 341,319
Investment Income from prior yearUSD $ 645
Investment Income from current yearUSD $ 771
Other Revenue from prior yearUSD $ 331
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 354,059
Net assets / fund balances at end of fiscal yearUSD $ 820,431
Net assets / fund balances at beginning of fiscal yearUSD $ 837,627
Total liabilities at end of fiscal yearUSD $ 0
Total assets at end of fiscal yearUSD $ 820,431
Total assets at beginning of fiscal yearUSD $ 837,627
Revenues less expenses for current yearUSD $ -16,317
Revenues less expenses for previous yearUSD $ 126,541
Total expenses for current yearUSD $ 370,376
Total expenses for previous yearUSD $ 467,119
Other expenses in current yearUSD $ 108,210
Other expenses in previous yearUSD $ 130,876
Total fundraising expenses in current yearUSD $ 0
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 262,166
Employee salary and benefits paid in previous yearUSD $ 261,567
Benefits paid to or for members in current yearUSD $ 0
Benefits paid to or for members in previous yearUSD $ 74,676
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 354,059
Total revenue in previous fiscal yearUSD $ 593,660
Contributions and grants from current yearUSD $ 11,969
Contributions and grants from previous yearUSD $ 261,576
2016-12-31
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 292,861
Program Service Revenue from current yearUSD $ 331,108
Investment Income from prior yearUSD $ 744
Investment Income from current yearUSD $ 645
Other Revenue from current yearUSD $ 331
Gross receipts from all sourcesUSD $ 593,660
Net assets / fund balances at end of fiscal yearUSD $ 837,627
Net assets / fund balances at beginning of fiscal yearUSD $ 711,086
Total liabilities at end of fiscal yearUSD $ 0
Total assets at end of fiscal yearUSD $ 837,627
Total assets at beginning of fiscal yearUSD $ 711,086
Revenues less expenses for current yearUSD $ 126,541
Revenues less expenses for previous yearUSD $ -25,544
Total expenses for current yearUSD $ 467,119
Total expenses for previous yearUSD $ 416,089
Other expenses in current yearUSD $ 130,876
Other expenses in previous yearUSD $ 61,387
Total fundraising expenses in current yearUSD $ 0
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 261,567
Employee salary and benefits paid in previous yearUSD $ 245,239
Benefits paid to or for members in current yearUSD $ 74,676
Benefits paid to or for members in previous yearUSD $ 109,463
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 593,660
Total revenue in previous fiscal yearUSD $ 390,545
Contributions and grants from current yearUSD $ 261,576
Contributions and grants from previous yearUSD $ 96,940
Total of other revenueUSD $ 331
2015-12-31
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 360,199
Program Service Revenue from current yearUSD $ 292,861
Investment Income from prior yearUSD $ 929
Investment Income from current yearUSD $ 744
Other Revenue from prior yearUSD $ 2,400
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 390,545
Net assets / fund balances at end of fiscal yearUSD $ 711,086
Net assets / fund balances at beginning of fiscal yearUSD $ 736,630
Total liabilities at end of fiscal yearUSD $ 0
Total assets at end of fiscal yearUSD $ 711,086
Total assets at beginning of fiscal yearUSD $ 736,630
Revenues less expenses for current yearUSD $ -25,544
Revenues less expenses for previous yearUSD $ 156,224
Total expenses for current yearUSD $ 416,089
Total expenses for previous yearUSD $ 288,159
Other expenses in current yearUSD $ 61,387
Other expenses in previous yearUSD $ 45,726
Total fundraising expenses in current yearUSD $ 0
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 245,239
Employee salary and benefits paid in previous yearUSD $ 168,714
Benefits paid to or for members in current yearUSD $ 109,463
Benefits paid to or for members in previous yearUSD $ 73,719
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 390,545
Total revenue in previous fiscal yearUSD $ 444,383
Contributions and grants from current yearUSD $ 96,940
Contributions and grants from previous yearUSD $ 80,855

Other Company Names associated with EIN

PLUMBERS & STEANFITTERS 577 JATC
PLUMBERS & STEAMFITTERS 577 JATC

Organization Addresses

The following addresses have been detected as associated with Tax Indentification Number 237358670

USA Mailing Address
1236 GALLIA STREET
PORTSMOUTH
OH
45662
Date first seen: 2007-01-01
Date last seen: 2024-09-30

Nearby companies/organizations

The following companies are located in the same ZIP code areas:

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