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Employer Identification Number 36-3422600

SOCIETY OF CRITICAL CARE ANESTHESIOLOGISTS is a USA domiciled entity or foreign entity operating in the USA. The EIN ihas been issued by the IRS

Company Name:SOCIETY OF CRITICAL CARE ANESTHESIOLOGISTS
Employer identification number (EIN):36-3422600
EIN Issuing AuthorityCincinnati, OH
Federal tax statusExempt from federal income tax. Registered as a non-profit under 501(c)(3) Title 26 of the United States Code
State of IncorporationCalifornia, CA

Organization Overview

Mission StatementSOCCA IS DEDICATED TO THE SUPPORT AND DEVELOPMENT OF ANESTHESIOLOGISTS WHO CARE FOR CRITICALLY ILL PATIENTS OF ALL TYPES. SOCCA FOSTERS THE KNOWLEDGE AND PRACTICE OF CRITICAL CARE MEDICINE BY ANESTHESIOLOGISTS THROUGH EDUCATION, RESEARCH, ADVOCACY, AND COMMUNITY.
Number of Employees0
Number of Volunteers100
Year Formed1986

Organization Governance

Legal DomicileIL
Voting Members - Governing Body13
Voting Members - Independent13

Organization Financials

2022-12-31
Total unrelated business incomeUSD $ 0
Net unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 148,872
Program Service Revenue from current yearUSD $ 154,609
Investment Income from prior yearUSD $ 5,153
Investment Income from current yearUSD $ 5,723
Other Revenue from prior yearUSD $ 0
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 160,332
Net assets / fund balances at end of fiscal yearUSD $ 509,968
Net assets / fund balances at beginning of fiscal yearUSD $ 565,295
Total liabilities at end of fiscal yearUSD $ 80,920
Total liabilities at beginning of fiscal yearUSD $ 83,340
Total assets at end of fiscal yearUSD $ 590,888
Total assets at beginning of fiscal yearUSD $ 648,635
Revenues less expenses for current yearUSD $ 29,351
Revenues less expenses for previous yearUSD $ 37,931
Total expenses for current yearUSD $ 130,981
Total expenses for previous yearUSD $ 116,094
Other expenses in current yearUSD $ 130,981
Other expenses in previous yearUSD $ 116,094
Total fundraising expenses in current yearUSD $ 0
Professional fundraising fees from current yearUSD $ 0
Professional fundraising fees from previous yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 0
Employee salary and benefits paid in previous yearUSD $ 0
Benefits paid to or for members in current yearUSD $ 0
Benefits paid to or for members in previous yearUSD $ 0
Grants and similar amounts paid in current yearUSD $ 0
Grants and similar amounts paid in previous yearUSD $ 0
Total revenue in current fiscal yearUSD $ 160,332
Total revenue in previous fiscal yearUSD $ 154,025
Contributions and grants from current yearUSD $ 0
Contributions and grants from previous yearUSD $ 0
2021-12-31
Total unrelated business incomeUSD $ 0
Net unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 74,226
Program Service Revenue from current yearUSD $ 148,872
Investment Income from prior yearUSD $ 5,281
Investment Income from current yearUSD $ 5,153
Other Revenue from prior yearUSD $ 0
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 154,025
Net assets / fund balances at end of fiscal yearUSD $ 565,295
Net assets / fund balances at beginning of fiscal yearUSD $ 437,182
Total liabilities at end of fiscal yearUSD $ 83,340
Total liabilities at beginning of fiscal yearUSD $ 65,992
Total assets at end of fiscal yearUSD $ 648,635
Total assets at beginning of fiscal yearUSD $ 503,174
Revenues less expenses for current yearUSD $ 37,931
Revenues less expenses for previous yearUSD $ 662
Total expenses for current yearUSD $ 116,094
Total expenses for previous yearUSD $ 80,045
Other expenses in current yearUSD $ 116,094
Other expenses in previous yearUSD $ 80,045
Total fundraising expenses in current yearUSD $ 0
Professional fundraising fees from current yearUSD $ 0
Professional fundraising fees from previous yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 0
Employee salary and benefits paid in previous yearUSD $ 0
Benefits paid to or for members in current yearUSD $ 0
Benefits paid to or for members in previous yearUSD $ 0
Grants and similar amounts paid in current yearUSD $ 0
Grants and similar amounts paid in previous yearUSD $ 0
Total revenue in current fiscal yearUSD $ 154,025
Total revenue in previous fiscal yearUSD $ 80,707
Contributions and grants from current yearUSD $ 0
Contributions and grants from previous yearUSD $ 1,200
2020-12-31
Total unrelated business incomeUSD $ 0
Net unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 123,200
Program Service Revenue from current yearUSD $ 74,226
Investment Income from prior yearUSD $ 5,661
Investment Income from current yearUSD $ 5,281
Other Revenue from prior yearUSD $ 0
Other Revenue from current yearUSD $ 0
Gross receipts from all sourcesUSD $ 80,707
Net assets / fund balances at end of fiscal yearUSD $ 437,182
Net assets / fund balances at beginning of fiscal yearUSD $ 389,365
Total liabilities at end of fiscal yearUSD $ 65,992
Total liabilities at beginning of fiscal yearUSD $ 43,836
Total assets at end of fiscal yearUSD $ 503,174
Total assets at beginning of fiscal yearUSD $ 433,201
Revenues less expenses for current yearUSD $ 662
Revenues less expenses for previous yearUSD $ -16,526
Total expenses for current yearUSD $ 80,045
Total expenses for previous yearUSD $ 145,387
Other expenses in current yearUSD $ 80,045
Other expenses in previous yearUSD $ 145,387
Total fundraising expenses in current yearUSD $ 0
Professional fundraising fees from current yearUSD $ 0
Professional fundraising fees from previous yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 0
Employee salary and benefits paid in previous yearUSD $ 0
Benefits paid to or for members in current yearUSD $ 0
Benefits paid to or for members in previous yearUSD $ 0
Grants and similar amounts paid in current yearUSD $ 0
Grants and similar amounts paid in previous yearUSD $ 0
Total revenue in current fiscal yearUSD $ 80,707
Total revenue in previous fiscal yearUSD $ 128,861
Contributions and grants from current yearUSD $ 1,200
Contributions and grants from previous yearUSD $ 0
2019-12-31
Gross receipts from all sourcesUSD $ 128,861
Net assets / fund balances at end of fiscal yearUSD $ 389,365
Net assets / fund balances at beginning of fiscal yearUSD $ 342,219
Total revenueUSD $ 128,861
Fees and other payments to independent contractorsUSD $ 45,000
Total of all other expensesUSD $ 100,387
Total of all expensesUSD $ 145,387
Net assets or fund balances at end of yearUSD $ -16,526
Revenue from membership duesUSD $ 67,477
2018-12-31
Gross receipts from all sourcesUSD $ 154,828
Net assets / fund balances at end of fiscal yearUSD $ 342,219
Net assets / fund balances at beginning of fiscal yearUSD $ 381,245
Contributions, Grants, Gifts etc from current yearUSD $ 1,700
Total revenueUSD $ 154,828
Fees and other payments to independent contractorsUSD $ 45,000
Total of all other expensesUSD $ 131,181
Total of all expensesUSD $ 176,181
Net assets or fund balances at end of yearUSD $ -21,353
Revenue from membership duesUSD $ 53,305
2017-12-31
Gross receipts from all sourcesUSD $ 168,049
Net assets / fund balances at end of fiscal yearUSD $ 381,245
Net assets / fund balances at beginning of fiscal yearUSD $ 329,501
Total revenueUSD $ 168,049
Grants and similar amounts paidUSD $ 500
Fees and other payments to independent contractorsUSD $ 45,000
Total of all other expensesUSD $ 109,625
Total of all expensesUSD $ 155,508
Net assets or fund balances at end of yearUSD $ 12,541
Revenue from membership duesUSD $ 77,357
2016-12-31
Gross receipts from all sourcesUSD $ 156,471
Net assets / fund balances at end of fiscal yearUSD $ 329,501
Net assets / fund balances at beginning of fiscal yearUSD $ 277,530
Total revenueUSD $ 156,471
Fees and other payments to independent contractorsUSD $ 45,000
Total of all other expensesUSD $ 74,395
Total of all expensesUSD $ 120,427
Net assets or fund balances at end of yearUSD $ 36,044
Revenue from membership duesUSD $ 75,535
Total of other revenueUSD $ 24,498
2014-12-31
Gross receipts from all sourcesUSD $ 98,507
Net assets / fund balances at end of fiscal yearUSD $ 276,805
Net assets / fund balances at beginning of fiscal yearUSD $ 270,308
Total revenueUSD $ 98,507
Fees and other payments to independent contractorsUSD $ 5,800
Total of all other expensesUSD $ 96,352
Total of all expensesUSD $ 105,885
Net assets or fund balances at end of yearUSD $ -7,378
Revenue from membership duesUSD $ 62,254
Total of other revenueUSD $ 5,719

Other Company Names associated with EIN

SOCIETY OF CRITICAL CARE

Organization Addresses

The following addresses have been detected as associated with Tax Indentification Number 363422600

USA Mailing Address
520 NORTH NORTHWEST HIGHWAY
PARK RIDGE
IL
600682573
Date first seen: 2012-07-25
Date last seen: 2012-07-25
USA Mailing Address
44 MONTGOMERY STREET NO 1605
SAN FRANCISCO
CA
94104
Date first seen: 2007-01-01
Date last seen: 2024-06-30
USA Mailing Address
90 NEW MONTGOMERY STREET NO 412
SAN FRANCISCO
CA
94105
Date first seen: 2007-01-01
Date last seen: 2024-06-30
USA Mailing Address
1630 N MAIN ST 80
WALNUT CREEK
CA
94596
Date first seen: 2009-01-01
Date last seen: 2024-08-31

Nearby companies/organizations

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

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