Sacred Heart Mother's Day Out Program Inc is located in Richmond, TX. Sacred Heart Mother's Day Out Program 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 06/2018, Sacred Heart Mother's Day Out Program Inc generated $93.7k in total revenue. This represents a relatively dramatic decline in revenue. Over the past 3 years, the organization has seen revenues fall by an average of (7.8%) each year. All expenses for the organization totaled $89.3k during the year ending 06/2018. As we would expect to see with falling revenues, expenses have declined by (6.6%) per year over the past 3 years. You can explore the organizations financials more deeply in the financial statements section below.
Form
990EZ
Mission & Program ActivityExcerpts From the 990EZ Filing
TAX YEAR
2018
Describe the Organization's Program Activity:
Part 3
CHRISTIAN BASED DAY CARE FOR PRE-KINDERGARTEN AGED CHILDREN.
CHRISTIAN BASED DAY CARE FOR PRE-KINDERGARTEN AGED CHILDREN.
A CHRISTIAN BASED DAY CARE WAS PROVIDED FOR PRE-KINDERGARTEN AGED CHILDREN. THE DAY CARE WAS OPEN FROM 9AM TO 2 PM ON TUESDAYS AND THURSDAYS FROM SEPTEMBER THROUGH MAY.
Name (title) | Role | Hours | Compensation |
---|---|---|---|
Kelly Strnadel Executive Di | 0 | $0 | |
Kimberly Kelly Director | 0 | $0 | |
Kelly Strnadel Executive Di | 0 | $0 | |
Kimberly Kelly Director | 0 | $0 | |
Kelly Strnadel Executive Di | 0 | $0 | |
Kimberly Kelly Director | 0 | $0 |
Statement of Revenue | |
---|---|
Total Revenue from Contributions, Gifts, Grants & Similar | $500 |
Total Program Service Revenue | $92,434 |
Membership dues | $0 |
Investment income | $0 |
Gain or Loss | $0 |
Net Income from Gaming & Fundraising | $1,291 |
Other Revenue | $540 |
Total Revenue | $93,725 |
Statement of Expenses | |
---|---|
Grants and similar amounts paid | $0 |
Benefits paid to or for members | $0 |
Salaries, other compensation, and employee benefits | $71,195 |
Professional fees and other payments to independent contractors | $1,881 |
Occupancy, rent, utilities, and maintenance | $900 |
Printing, publications, postage, and shipping | $0 |
Other expenses | $15,251 |
Total expenses | $89,277 |
Balance Sheet | |
---|---|
Cash, savings, and investments | $5,731 |
Other assets | $0 |
Total assets | $5,731 |
Total liabilities | $1,644 |
Net assets or fund balances | $4,087 |