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Employer Identification Number 38-3021908

LES CHENEAUX SNOWMOBILE CLUB is a USA domiciled entity or foreign entity operating in the USA. The EIN ihas been issued by the IRS

Company Name:LES CHENEAUX SNOWMOBILE CLUB
Employer identification number (EIN):38-3021908
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 IncorporationMichigan, MI

Organization Overview

Mission StatementTO FACILITATE, COORDINATE AND PROMOTE ACCESS TOQUALITY AND AFFORDABLE SNOWMOBILE SAFETY EDUCATION IN MICHIGAN. TO PROMOTE SOUND CONSERVATION PRACTICES AND PROCEDURES.
Number of Employees0

Organization Governance

Voting Members - Governing Body11
Voting Members - Independent11

Organization Financials

2023-09-30
Gross receipts from all sourcesUSD $ 151,071
Net assets / fund balances at end of fiscal yearUSD $ 392,816
Net assets / fund balances at beginning of fiscal yearUSD $ 350,800
Contributions, Grants, Gifts etc from current yearUSD $ 133,413
Gross income from fundraising eventsUSD $ 3,230
Direct expenses fromspecial eventsUSD $ 1,027
Total revenueUSD $ 150,044
Grants and similar amounts paidUSD $ 350
Fees and other payments to independent contractorsUSD $ 6,900
Total of all other expensesUSD $ 92,538
Total of all expensesUSD $ 108,028
Net assets or fund balances at end of yearUSD $ 42,016
Revenue from membership duesUSD $ 4,150
Net difference of special event income minus expensesUSD $ 2,203
Gross sales of inventory assetsUSD $ 120
Gross profit/loss Sales of inventoryUSD $ 120
Rent, utilities and maintenance costsUSD $ 8,240
2022-09-30
Gross receipts from all sourcesUSD $ 90,407
Net assets / fund balances at end of fiscal yearUSD $ 350,800
Net assets / fund balances at beginning of fiscal yearUSD $ 345,427
Contributions, Grants, Gifts etc from current yearUSD $ 22,426
Gross income from fundraising eventsUSD $ 2,947
Total revenueUSD $ 90,407
Fees and other payments to independent contractorsUSD $ 7,445
Total of all other expensesUSD $ 64,822
Total of all expensesUSD $ 85,034
Net assets or fund balances at end of yearUSD $ 5,373
Revenue from membership duesUSD $ 4,275
Net difference of special event income minus expensesUSD $ 2,947
Rent, utilities and maintenance costsUSD $ 12,767
2021-09-30
Gross receipts from all sourcesUSD $ 71,672
Net assets / fund balances at end of fiscal yearUSD $ 345,431
Net assets / fund balances at beginning of fiscal yearUSD $ 349,813
Contributions, Grants, Gifts etc from current yearUSD $ 5,000
Total revenueUSD $ 71,672
Fees and other payments to independent contractorsUSD $ 7,920
Total of all other expensesUSD $ 48,182
Total of all expensesUSD $ 76,054
Net assets or fund balances at end of yearUSD $ -4,382
Revenue from membership duesUSD $ 3,925
Rent, utilities and maintenance costsUSD $ 19,952
2020-09-30
Gross receipts from all sourcesUSD $ 90,566
Net assets / fund balances at end of fiscal yearUSD $ 349,809
Net assets / fund balances at beginning of fiscal yearUSD $ 358,675
Contributions, Grants, Gifts etc from current yearUSD $ 8,420
Gross income from fundraising eventsUSD $ 1,930
Total revenueUSD $ 90,566
Fees and other payments to independent contractorsUSD $ 5,030
Total of all other expensesUSD $ 87,742
Total of all expensesUSD $ 99,432
Net assets or fund balances at end of yearUSD $ -8,866
Revenue from membership duesUSD $ 3,825
Net difference of special event income minus expensesUSD $ 1,930
Rent, utilities and maintenance costsUSD $ 6,660
2019-09-30
Gross receipts from all sourcesUSD $ 87,351
Net assets / fund balances at end of fiscal yearUSD $ 358,674
Net assets / fund balances at beginning of fiscal yearUSD $ 374,124
Contributions, Grants, Gifts etc from current yearUSD $ 82,143
Gross income from fundraising eventsUSD $ 1,347
Total revenueUSD $ 87,351
Fees and other payments to independent contractorsUSD $ 4,230
Total of all other expensesUSD $ 88,029
Total of all expensesUSD $ 102,801
Net assets or fund balances at end of yearUSD $ -15,450
Revenue from membership duesUSD $ 3,575
Net difference of special event income minus expensesUSD $ 1,347
Total of other revenueUSD $ 175
Rent, utilities and maintenance costsUSD $ 10,542
2018-09-30
Total unrelated business incomeUSD $ 0
Program Service Revenue from current yearUSD $ 62,129
Investment Income from current yearUSD $ 182
Other Revenue from current yearUSD $ 2,432
Gross receipts from all sourcesUSD $ 288,633
Net assets / fund balances at end of fiscal yearUSD $ 374,124
Net assets / fund balances at beginning of fiscal yearUSD $ 175,337
Total liabilities at end of fiscal yearUSD $ 0
Total liabilities at beginning of fiscal yearUSD $ 214,654
Total assets at end of fiscal yearUSD $ 374,124
Total assets at beginning of fiscal yearUSD $ 389,991
Revenues less expenses for current yearUSD $ 198,787
Total expenses for current yearUSD $ 89,846
Other expenses in current yearUSD $ 89,846
Total fundraising expenses in current yearUSD $ 1,193
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 0
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 $ 288,633
Contributions and grants from current yearUSD $ 223,890
Gross income from fundraising eventsUSD $ 1,853
Total of other revenueUSD $ 579
2017-09-30
Gross receipts from all sourcesUSD $ 172,054
Net assets / fund balances at end of fiscal yearUSD $ 175,337
Net assets / fund balances at beginning of fiscal yearUSD $ 121,233
Contributions, Grants, Gifts etc from current yearUSD $ 8,563
Gross income from fundraising eventsUSD $ 2,589
Total revenueUSD $ 172,054
Fees and other payments to independent contractorsUSD $ 2,013
Total of all other expensesUSD $ 110,569
Total of all expensesUSD $ 117,950
Net assets or fund balances at end of yearUSD $ 54,104
Revenue from membership duesUSD $ 3,600
Net difference of special event income minus expensesUSD $ 2,589
Total of other revenueUSD $ 83,333
Rent, utilities and maintenance costsUSD $ 5,368
2016-09-30
Gross receipts from all sourcesUSD $ 134,355
Net assets / fund balances at end of fiscal yearUSD $ 121,233
Net assets / fund balances at beginning of fiscal yearUSD $ 103,106
Contributions, Grants, Gifts etc from current yearUSD $ 9,187
Gross income from fundraising eventsUSD $ 1,205
Total revenueUSD $ 134,355
Fees and other payments to independent contractorsUSD $ 2,377
Total of all other expensesUSD $ 107,158
Total of all expensesUSD $ 116,228
Net assets or fund balances at end of yearUSD $ 18,127
Revenue from membership duesUSD $ 3,575
Net difference of special event income minus expensesUSD $ 1,205
Total of other revenueUSD $ 4,560
Rent, utilities and maintenance costsUSD $ 6,693
2015-09-30
Gross receipts from all sourcesUSD $ 116,654
Net assets / fund balances at end of fiscal yearUSD $ 103,105
Net assets / fund balances at beginning of fiscal yearUSD $ 100,363
Contributions, Grants, Gifts etc from current yearUSD $ 8,021
Gross income from fundraising eventsUSD $ 1,614
Total revenueUSD $ 116,654
Fees and other payments to independent contractorsUSD $ 3,031
Total of all other expensesUSD $ 109,471
Total of all expensesUSD $ 113,912
Net assets or fund balances at end of yearUSD $ 2,742
Revenue from membership duesUSD $ 2,425
Net difference of special event income minus expensesUSD $ 1,614
Total of other revenueUSD $ 9,058
Rent, utilities and maintenance costsUSD $ 1,410

Organization Addresses

The following addresses have been detected as associated with Tax Indentification Number 383021908

USA Mailing Address
PO BOX 154
CEDARVILLE
MI
49719
Date first seen: 2007-01-01
Date last seen: 2024-06-30

Nearby companies/organizations

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

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