Sunrise Day Camps Association Inc is located in Oceanside, NY. The organization was established in 2015. According to its NTEE Classification (P33) the organization is classified as: Child Day Care, under the broad grouping of Human Services and related organizations. As of 06/2022, Sunrise Day Camps Association Inc employed 268 individuals. This organization is an independent organization and not affiliated with a larger national or regional group of organizations. Sunrise Day Camps Association Inc is a 501(c)(3) and as such, is described as a "Charitable or Religous organization or a private foundation" by the IRS.
For the year ending 06/2022, Sunrise Day Camps Association Inc generated $10.2m in total revenue. This organization has experienced exceptional growth, as over the past 7 years, it has increased revenue by an average of 13.8% each year . All expenses for the organization totaled $9.3m during the year ending 06/2022. You can explore the organizations financials more deeply in the financial statements section below.
Form
990
Mission & Program ActivityExcerpts From the 990 Filing
TAX YEAR
2022
Describe the Organization's Mission:
Part 3 - Line 1
TO BRING JOY TO CHILDREN WITH CANCER AND THEIR SIBLINGS THROUGH PROGRAMS OFFERED FREE OF CHARGE.
Describe the Organization's Program Activity:
Part 3 - Line 4a
CHILDREN WITH CANCER ARE OFTEN ISOLATED FROM THE NORMAL ACTIVITIES OF CHILDHOOD AND RARELY HAVE A CHANCE TO SEE BEYOND THE CLOSED WORLDS OF HOME, HOSPITAL AND DOCTORS OFFICES. SUNRISE DAY CAMPS CHANGES THAT BY MAKING IT POSSIBLE FOR CHILDREN TO ENJOY A SUMMER FILLED WITH EXCITING DAILY ACTIVITIES, ENDURING FRIENDSHIPS AND LAUGHTER, WHILE PAYING CAREFUL ATTENTION TO THEIR SPECIAL MEDICAL AND EMOTIONAL NEEDS. SUNRISE ALSO OPERATES YEAR-ROUND PROGRAMS, WHICH BRINGS CAMP-LIKE ACTIVITIES TO CHILDREN BOTH IN AND OUT OF THE HOSPITALS THROUGH THEIR SUNRISE ON WHEELS AND SUNRISE FUNDAYS PROGRAMS. ALL PROGRAMS AND ACTIVITIES ARE OFFERED FREE OF CHARGE.
| Name (title) | Role | Hours | Compensation |
|---|---|---|---|
Arnold Preminger President And CEO | Officer | 40 | $325,151 |
Beth Fetner Chief Development Officer | 40 | $192,403 | |
Michele Vernon SVP For Camping And Related Se | 40 | $148,485 | |
Joel Block Chief Operating Officer | 40 | $156,006 | |
Bonnie Flatow SVP For Hospital And Community | 40 | $144,490 | |
Aileen Hoffman SVP For Sunrise Walks And Stan | 40 | $122,528 |
| Vendor Name (Service) | Service Year | Compensation |
|---|---|---|
Chestnut Ridge Transportation Transportation | 6/29/22 | $213,346 |
Henry Kaufman Campgrounds Campgrounds | 6/29/22 | $139,248 |
The Seawane Club Catering Services | 6/29/22 | $278,509 |
Pozez Jcc Campground Operation | 6/29/22 | $301,614 |
Raymond Michael Ltd Playground Equipment | 6/29/22 | $169,816 |
| Statement of Revenue | |
|---|---|
| Federated campaigns | $0 |
| Membership dues | $0 |
| Fundraising events | $3,468,558 |
| Related organizations | $0 |
| Government grants | $723,675 |
| All other contributions, gifts, grants, and similar amounts not included above | $3,841,071 |
| Noncash contributions included in lines 1a–1f | $0 |
| Total Revenue from Contributions, Gifts, Grants & Similar | $8,033,304 |
| Total Program Service Revenue | $0 |
| Investment income | $0 |
| Tax Exempt Bond Proceeds | $0 |
| Royalties | $0 |
| Net Rental Income | $72,576 |
| Net Gain/Loss on Asset Sales | $0 |
| Net Income from Fundraising Events | $2,100,642 |
| Net Income from Gaming Activities | $0 |
| Net Income from Sales of Inventory | $0 |
| Miscellaneous Revenue | $0 |
| Total Revenue | $10,242,125 |
| Statement of Expenses | |
|---|---|
| Grants and other assistance to domestic organizations and domestic governments. | $1,613,867 |
| Grants and other assistance to domestic individuals. | $40,000 |
| Grants and other assistance to Foreign Orgs/Individuals | $319,734 |
| Benefits paid to or for members | $0 |
| Compensation of current officers, directors, key employees. | $513,158 |
| Compensation of current officers, directors, key employees. | $63,347 |
| Compensation to disqualified persons | $165,561 |
| Other salaries and wages | $3,787,027 |
| Pension plan accruals and contributions | $155,498 |
| Other employee benefits | $390,446 |
| Payroll taxes | $303,594 |
| Fees for services: Management | $0 |
| Fees for services: Legal | $9,200 |
| Fees for services: Accounting | $26,520 |
| Fees for services: Lobbying | $0 |
| Fees for services: Fundraising | $0 |
| Fees for services: Investment Management | $0 |
| Fees for services: Other | $146,716 |
| Advertising and promotion | $21,270 |
| Office expenses | $474,675 |
| Information technology | $0 |
| Royalties | $0 |
| Occupancy | $286,244 |
| Travel | $453,537 |
| Payments of travel or entertainment expenses for any federal, state, or local public officials | $0 |
| Conferences, conventions, and meetings | $157,750 |
| Interest | $0 |
| Payments to affiliates | $0 |
| Depreciation, depletion, and amortization | $341,888 |
| Insurance | $28,729 |
| All other expenses | $52,469 |
| Total functional expenses | $9,287,883 |
| Balance Sheet | |
|---|---|
| Cash—non-interest-bearing | $7,487,103 |
| Savings and temporary cash investments | $0 |
| Pledges and grants receivable | $1,615,635 |
| Accounts receivable, net | $0 |
| Loans from Officers, Directors, or Controlling Persons | $0 |
| Loans from Disqualified Persons | $0 |
| Notes and loans receivable | $0 |
| Inventories for sale or use | $0 |
| Prepaid expenses and deferred charges | $503,871 |
| Net Land, buildings, and equipment | $6,724,515 |
| Investments—publicly traded securities | $0 |
| Investments—other securities | $0 |
| Investments—program-related | $0 |
| Intangible assets | $0 |
| Other assets | $175,173 |
| Total assets | $16,506,297 |
| Accounts payable and accrued expenses | $611,358 |
| Grants payable | $0 |
| Deferred revenue | $551,691 |
| Tax-exempt bond liabilities | $0 |
| Escrow or custodial account liability | $0 |
| Loans and other payables to any current Officer, Director, or Controlling Person | $0 |
| Secured mortgages and notes payable | $3,164,632 |
| Unsecured mortgages and notes payable | $0 |
| Other liabilities | $0 |
| Total liabilities | $4,327,681 |
| Net assets without donor restrictions | $8,290,050 |
| Net assets with donor restrictions | $3,888,566 |
| Capital stock or trust principal, or current funds | $0 |
| Paid-in or capital surplus, or land, building, or equipment fund | $0 |
| Retained earnings, endowment, accumulated income, or other funds | $0 |
| Total liabilities and net assets/fund balances | $16,506,297 |
Over the last fiscal year, Sunrise Day Camps Association Inc has awarded $3,142,484 in support to 4 organizations.
| Grant Recipient | Amount |
|---|---|
ROCHARD ROSENTHAL JCC OF NORTHERN WESTCHESTER AKA SUNRISE PEARL RIVER PURPOSE: TO PROVIDE FOR CHILDREN WITH CANCER | $28,708 |
THE BARRY & FLORENCE FRIEDBERG JEWISH COMMUNITY CENTER PURPOSE: TO PROVIDE FOR CHILDREN WITH CANCER | $1,542,534 |
ROCHARD ROSENTHAL JCC OF NORTHERN WESTCHESTER AKA SUNRISE PEARL RIVER PURPOSE: TO PROVIDE FOR CHILDREN WITH CANCER | $28,708 |
THE BARRY & FLORENCE FRIEDBERG JEWISH COMMUNITY CENTER PURPOSE: TO PROVIDE FOR CHILDREN WITH CANCER | $1,542,534 |