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Employer Identification Number 36-2154018

BOYS & GIRLS CLUB OF CICERO is a USA domiciled entity or foreign entity operating in the USA. The EIN ihas been issued by the IRS

Company Name:BOYS & GIRLS CLUB OF CICERO
Employer identification number (EIN):36-2154018
EIN Issuing AuthorityCincinnati, OH
NAIC Classification:813000
NAIC Description: Religious, Grantmaking, Civic, Professional, and Similar Organizations
401k Pension/Benefits registration BOYS & GIRLS CLUB OF CICERO 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 StatementTO PROMOTE WELL-BEING OF YOUTH IN THE LOCAL COMMUNITY
Number of Employees18
Number of Volunteers9
Year Formed1950

Organization Governance

Legal DomicileIL
Voting Members - Governing Body10
Voting Members - Independent10

Organization Financials

2023-06-30
Total unrelated business incomeUSD $ 0
Program Service Revenue from current yearUSD $ 0
Investment Income from prior yearUSD $ 716
Investment Income from current yearUSD $ 6,257
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 559,790
Net assets / fund balances at end of fiscal yearUSD $ 499,350
Net assets / fund balances at beginning of fiscal yearUSD $ 497,901
Total liabilities at end of fiscal yearUSD $ 28,610
Total liabilities at beginning of fiscal yearUSD $ 32,063
Total assets at end of fiscal yearUSD $ 527,960
Total assets at beginning of fiscal yearUSD $ 529,964
Revenues less expenses for current yearUSD $ 1,449
Revenues less expenses for previous yearUSD $ 67,997
Total expenses for current yearUSD $ 558,341
Total expenses for previous yearUSD $ 475,298
Other expenses in current yearUSD $ 156,255
Other expenses in previous yearUSD $ 136,465
Total fundraising expenses in current yearUSD $ 24,359
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 402,086
Employee salary and benefits paid in previous yearUSD $ 338,833
Benefits paid to or for members in current yearUSD $ 0
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 559,790
Total revenue in previous fiscal yearUSD $ 543,295
Contributions and grants from current yearUSD $ 553,533
Contributions and grants from previous yearUSD $ 542,579
2022-06-30
Total unrelated business incomeUSD $ 0
Program Service Revenue from current yearUSD $ 0
Investment Income from prior yearUSD $ 763
Investment Income from current yearUSD $ 716
Other Revenue from prior yearUSD $ 9,216
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 543,295
Net assets / fund balances at end of fiscal yearUSD $ 497,901
Net assets / fund balances at beginning of fiscal yearUSD $ 429,904
Total liabilities at end of fiscal yearUSD $ 32,063
Total liabilities at beginning of fiscal yearUSD $ 18,567
Total assets at end of fiscal yearUSD $ 529,964
Total assets at beginning of fiscal yearUSD $ 448,471
Revenues less expenses for current yearUSD $ 67,997
Revenues less expenses for previous yearUSD $ 129,447
Total expenses for current yearUSD $ 475,298
Total expenses for previous yearUSD $ 330,396
Other expenses in current yearUSD $ 136,465
Other expenses in previous yearUSD $ 106,353
Total fundraising expenses in current yearUSD $ 23,678
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 338,833
Employee salary and benefits paid in previous yearUSD $ 224,043
Benefits paid to or for members in current yearUSD $ 0
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 543,295
Total revenue in previous fiscal yearUSD $ 459,843
Contributions and grants from current yearUSD $ 542,579
Contributions and grants from previous yearUSD $ 449,864
2021-06-30
Total unrelated business incomeUSD $ 0
Program Service Revenue from current yearUSD $ 0
Investment Income from prior yearUSD $ 2,137
Investment Income from current yearUSD $ 763
Other Revenue from prior yearUSD $ -5,224
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 367,926
Net assets / fund balances at end of fiscal yearUSD $ 309,711
Net assets / fund balances at beginning of fiscal yearUSD $ 300,457
Total liabilities at end of fiscal yearUSD $ 106,548
Total liabilities at beginning of fiscal yearUSD $ 108,440
Total assets at end of fiscal yearUSD $ 416,259
Total assets at beginning of fiscal yearUSD $ 408,897
Revenues less expenses for current yearUSD $ 9,254
Revenues less expenses for previous yearUSD $ 55,018
Total expenses for current yearUSD $ 358,672
Total expenses for previous yearUSD $ 314,351
Other expenses in current yearUSD $ 135,944
Other expenses in previous yearUSD $ 106,117
Total fundraising expenses in current yearUSD $ 7,770
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 222,728
Employee salary and benefits paid in previous yearUSD $ 208,234
Benefits paid to or for members in current yearUSD $ 0
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 367,926
Total revenue in previous fiscal yearUSD $ 369,369
Contributions and grants from current yearUSD $ 367,163
Contributions and grants from previous yearUSD $ 372,456
Other Revenue from current yearUSD $ 9,216
Gross receipts from all sourcesUSD $ 471,643
Net assets / fund balances at end of fiscal yearUSD $ 429,904
Total liabilities at end of fiscal yearUSD $ 18,567
Total assets at end of fiscal yearUSD $ 448,471
Revenues less expenses for current yearUSD $ 129,447
Total expenses for current yearUSD $ 330,396
Other expenses in current yearUSD $ 106,353
Total fundraising expenses in current yearUSD $ 15,186
Employee salary and benefits paid in current yearUSD $ 224,043
Total revenue in current fiscal yearUSD $ 459,843
Contributions and grants from current yearUSD $ 449,864
Gross income from fundraising eventsUSD $ 20,255
Total of other revenueUSD $ 761
2020-06-30
Total unrelated business incomeUSD $ 0
Program Service Revenue from current yearUSD $ 0
Investment Income from prior yearUSD $ 1,935
Investment Income from current yearUSD $ 2,137
Other Revenue from prior yearUSD $ 1,418
Other Revenue from current yearUSD $ -5,224
Gross receipts from all sourcesUSD $ 396,366
Net assets / fund balances at end of fiscal yearUSD $ 300,457
Net assets / fund balances at beginning of fiscal yearUSD $ 245,439
Total liabilities at end of fiscal yearUSD $ 108,440
Total liabilities at beginning of fiscal yearUSD $ 102,378
Total assets at end of fiscal yearUSD $ 408,897
Total assets at beginning of fiscal yearUSD $ 347,817
Revenues less expenses for current yearUSD $ 55,018
Revenues less expenses for previous yearUSD $ -13,093
Total expenses for current yearUSD $ 314,351
Total expenses for previous yearUSD $ 371,890
Other expenses in current yearUSD $ 106,117
Other expenses in previous yearUSD $ 124,538
Total fundraising expenses in current yearUSD $ 14,017
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 208,234
Employee salary and benefits paid in previous yearUSD $ 247,352
Benefits paid to or for members in current yearUSD $ 0
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 369,369
Total revenue in previous fiscal yearUSD $ 358,797
Contributions and grants from current yearUSD $ 372,456
Contributions and grants from previous yearUSD $ 355,444
Gross income from fundraising eventsUSD $ 20,008
Cost of goods soldUSD $ 9,589
Gross sales of inventory assetsUSD $ 1,765
2019-06-30
Total unrelated business incomeUSD $ 0
Program Service Revenue from current yearUSD $ 0
Investment Income from current yearUSD $ 1,935
Other Revenue from prior yearUSD $ 9,449
Other Revenue from current yearUSD $ 1,418
Gross receipts from all sourcesUSD $ 379,646
Net assets / fund balances at end of fiscal yearUSD $ 245,439
Net assets / fund balances at beginning of fiscal yearUSD $ 258,532
Total liabilities at end of fiscal yearUSD $ 102,378
Total liabilities at beginning of fiscal yearUSD $ 759
Total assets at end of fiscal yearUSD $ 347,817
Total assets at beginning of fiscal yearUSD $ 259,291
Revenues less expenses for current yearUSD $ -13,093
Revenues less expenses for previous yearUSD $ 66,399
Total expenses for current yearUSD $ 371,890
Total expenses for previous yearUSD $ 320,370
Other expenses in current yearUSD $ 124,538
Other expenses in previous yearUSD $ 97,142
Total fundraising expenses in current yearUSD $ 16,304
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 247,352
Employee salary and benefits paid in previous yearUSD $ 223,228
Benefits paid to or for members in current yearUSD $ 0
Grants and similar amounts paid in current yearUSD $ 0
Total revenue in current fiscal yearUSD $ 358,797
Total revenue in previous fiscal yearUSD $ 386,769
Contributions and grants from current yearUSD $ 355,444
Contributions and grants from previous yearUSD $ 377,320
Gross income from fundraising eventsUSD $ 19,030
Cost of goods soldUSD $ 19,073
Gross sales of inventory assetsUSD $ 3,237
Other Revenue from current yearUSD $ 5,734
Gross receipts from all sourcesUSD $ 472,156
Net assets / fund balances at end of fiscal yearUSD $ 305,583
Total liabilities at end of fiscal yearUSD $ 0
Total assets at end of fiscal yearUSD $ 305,583
Revenues less expenses for current yearUSD $ 47,051
Total expenses for current yearUSD $ 408,572
Other expenses in current yearUSD $ 179,783
Total fundraising expenses in current yearUSD $ 18,167
Employee salary and benefits paid in current yearUSD $ 228,789
Total revenue in current fiscal yearUSD $ 455,623
Contributions and grants from current yearUSD $ 447,954
Cost of goods soldUSD $ 16,533

Other Company Names associated with EIN

BOYS CLUB OF CICERO INC

Organization Addresses

The following addresses have been detected as associated with Tax Indentification Number 362154018

USA Location Address
5500 W 25TH STREET
CICERO
IL
608043318
Date first seen: 2011-07-11
Date last seen: 2024-09-04

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