FIFTH STREET YACHT CLUB OF RACINE INC is a USA domiciled entity or foreign entity operating in the USA. The EIN ihas been issued by the IRS
| 2022-12-31 |
|---|
| Total unrelated business income | USD $ 0 |
| Program Service Revenue from current year | USD $ 91,283 |
| Investment Income from current year | USD $ 3 |
| Other Revenue from current year | USD $ 53,790 |
| Gross receipts from all sources | USD $ 247,122 |
| Net assets / fund balances at end of fiscal year | USD $ 136,286 |
| Net assets / fund balances at beginning of fiscal year | USD $ 124,958 |
| Total liabilities at end of fiscal year | USD $ 3,895 |
| Total liabilities at beginning of fiscal year | USD $ 2,612 |
| Total assets at end of fiscal year | USD $ 140,181 |
| Total assets at beginning of fiscal year | USD $ 127,570 |
| Revenues less expenses for current year | USD $ 11,328 |
| Total expenses for current year | USD $ 167,835 |
| Other expenses in current year | USD $ 125,257 |
| Total fundraising expenses in current year | USD $ 0 |
| Professional fundraising fees from current year | USD $ 0 |
| Employee salary and benefits paid in current year | USD $ 42,578 |
| Benefits paid to or for members in current year | USD $ 0 |
| Grants and similar amounts paid in current year | USD $ 0 |
| Total revenue in current fiscal year | USD $ 179,163 |
| Contributions and grants from current year | USD $ 34,087 |
| Cost of goods sold | USD $ 67,959 |
| Revenue from membership dues | USD $ 34,087 |
| Gross sales of inventory assets | USD $ 121,749 |
| Total of other revenue | USD $ 0 |
| 2021-12-31 |
|---|
| Total unrelated business income | USD $ 0 |
| Net unrelated business income | USD $ 0 |
| Program Service Revenue from current year | USD $ 143,098 |
| Investment Income from current year | USD $ 2 |
| Other Revenue from current year | USD $ 14,724 |
| Gross receipts from all sources | USD $ 248,723 |
| Net assets / fund balances at end of fiscal year | USD $ 124,958 |
| Net assets / fund balances at beginning of fiscal year | USD $ 114,887 |
| Total liabilities at end of fiscal year | USD $ 2,612 |
| Total liabilities at beginning of fiscal year | USD $ 2,958 |
| Total assets at end of fiscal year | USD $ 127,570 |
| Total assets at beginning of fiscal year | USD $ 117,845 |
| Revenues less expenses for current year | USD $ 8,324 |
| Total expenses for current year | USD $ 193,091 |
| Other expenses in current year | USD $ 158,198 |
| Total fundraising expenses in current year | USD $ 0 |
| Professional fundraising fees from current year | USD $ 0 |
| Employee salary and benefits paid in current year | USD $ 34,693 |
| Benefits paid to or for members in current year | USD $ 0 |
| Grants and similar amounts paid in current year | USD $ 200 |
| Total revenue in current fiscal year | USD $ 201,415 |
| Contributions and grants from current year | USD $ 43,591 |
| Cost of goods sold | USD $ 47,308 |
| Revenue from membership dues | USD $ 43,591 |
| Gross sales of inventory assets | USD $ 62,032 |
| 2020-12-31 |
|---|
| Gross receipts from all sources | USD $ 175,833 |
| Net assets / fund balances at end of fiscal year | USD $ 114,887 |
| Net assets / fund balances at beginning of fiscal year | USD $ 113,394 |
| Contributions, Grants, Gifts etc from current year | USD $ 493 |
| Cost of goods sold | USD $ 40,723 |
| Total revenue | USD $ 135,110 |
| Employees salaries and other compensation and benefits | USD $ 28,217 |
| Fees and other payments to independent contractors | USD $ 950 |
| Total of all other expenses | USD $ 26,538 |
| Total of all expenses | USD $ 133,617 |
| Net assets or fund balances at end of year | USD $ 1,493 |
| Revenue from membership dues | USD $ 36,275 |
| Gross sales of inventory assets | USD $ 56,566 |
| Gross profit/loss Sales of inventory | USD $ 15,843 |
| Total of other revenue | USD $ 7,667 |
| Rent, utilities and maintenance costs | USD $ 77,567 |
| 2019-12-31 |
|---|
| Gross receipts from all sources | USD $ 157,790 |
| Net assets / fund balances at end of fiscal year | USD $ 113,394 |
| Net assets / fund balances at beginning of fiscal year | USD $ 131,551 |
| Contributions, Grants, Gifts etc from current year | USD $ 717 |
| Cost of goods sold | USD $ 31,980 |
| Total revenue | USD $ 125,810 |
| Employees salaries and other compensation and benefits | USD $ 27,758 |
| Fees and other payments to independent contractors | USD $ 425 |
| Total of all other expenses | USD $ 19,489 |
| Total of all expenses | USD $ 143,967 |
| Net assets or fund balances at end of year | USD $ -18,157 |
| Revenue from membership dues | USD $ 32,620 |
| Gross sales of inventory assets | USD $ 53,411 |
| Gross profit/loss Sales of inventory | USD $ 21,431 |
| Rent, utilities and maintenance costs | USD $ 95,046 |
| 2018-12-31 |
|---|
| Gross receipts from all sources | USD $ 135,290 |
| Net assets / fund balances at end of fiscal year | USD $ 131,551 |
| Net assets / fund balances at beginning of fiscal year | USD $ 153,007 |
| Cost of goods sold | USD $ 21,314 |
| Total revenue | USD $ 113,976 |
| Employees salaries and other compensation and benefits | USD $ 22,889 |
| Fees and other payments to independent contractors | USD $ 425 |
| Total of all other expenses | USD $ 22,670 |
| Total of all expenses | USD $ 135,432 |
| Net assets or fund balances at end of year | USD $ -21,456 |
| Revenue from membership dues | USD $ 24,964 |
| Gross sales of inventory assets | USD $ 47,219 |
| Gross profit/loss Sales of inventory | USD $ 25,905 |
| Rent, utilities and maintenance costs | USD $ 87,304 |
| 2017-12-31 |
|---|
| Gross receipts from all sources | USD $ 155,151 |
| Net assets / fund balances at end of fiscal year | USD $ 153,007 |
| Net assets / fund balances at beginning of fiscal year | USD $ 155,700 |
| Cost of goods sold | USD $ 25,177 |
| Total revenue | USD $ 129,974 |
| Employees salaries and other compensation and benefits | USD $ 22,113 |
| Fees and other payments to independent contractors | USD $ 695 |
| Total of all other expenses | USD $ 19,428 |
| Total of all expenses | USD $ 132,647 |
| Net assets or fund balances at end of year | USD $ -2,673 |
| Revenue from membership dues | USD $ 29,608 |
| Gross sales of inventory assets | USD $ 56,225 |
| Gross profit/loss Sales of inventory | USD $ 31,048 |
| Rent, utilities and maintenance costs | USD $ 87,906 |
| 2016-12-31 |
|---|
| Gross receipts from all sources | USD $ 158,795 |
| Net assets / fund balances at end of fiscal year | USD $ 155,700 |
| Net assets / fund balances at beginning of fiscal year | USD $ 154,773 |
| Cost of goods sold | USD $ 22,395 |
| Total revenue | USD $ 136,400 |
| Employees salaries and other compensation and benefits | USD $ 24,032 |
| Fees and other payments to independent contractors | USD $ 983 |
| Total of all other expenses | USD $ 21,990 |
| Total of all expenses | USD $ 135,473 |
| Net assets or fund balances at end of year | USD $ 927 |
| Revenue from membership dues | USD $ 40,450 |
| Gross sales of inventory assets | USD $ 55,031 |
| Gross profit/loss Sales of inventory | USD $ 32,636 |
| Rent, utilities and maintenance costs | USD $ 85,320 |
| 2015-12-31 |
|---|
| Gross receipts from all sources | USD $ 160,859 |
| Net assets / fund balances at end of fiscal year | USD $ 154,773 |
| Net assets / fund balances at beginning of fiscal year | USD $ 152,355 |
| Cost of goods sold | USD $ 25,367 |
| Total revenue | USD $ 135,492 |
| Employees salaries and other compensation and benefits | USD $ 21,454 |
| Fees and other payments to independent contractors | USD $ 966 |
| Total of all other expenses | USD $ 24,975 |
| Total of all expenses | USD $ 133,074 |
| Net assets or fund balances at end of year | USD $ 2,418 |
| Revenue from membership dues | USD $ 29,375 |
| Gross sales of inventory assets | USD $ 64,912 |
| Gross profit/loss Sales of inventory | USD $ 39,545 |
| Total of other revenue | USD $ 527 |
| Rent, utilities and maintenance costs | USD $ 84,099 |
The following addresses have been detected as associated with Tax Indentification Number 396120087