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Employer Identification Number 55-0907901

BOYS AND GIRLS CLUBS is a USA domiciled entity or foreign entity operating in the USA. The EIN ihas been issued by the IRS

Company Name:BOYS AND GIRLS CLUBS
Employer identification number (EIN):55-0907901
EIN Issuing AuthorityBrookhaven, NY
Federal tax statusExempt from federal income tax. Registered as a non-profit under 501(c)(3) Title 26 of the United States Code

Organization Overview

Mission StatementTO INSPIRE AND EMPOWER ALL YOUNG PEOPLE TO REACH THEIR FULL POTENTIAL AS PRODUCTIVE, RESPONSIBLE, AND CARING CITIZENS.
Number of Employees26
Number of Volunteers22
Year Formed2005

Organization Governance

Legal DomicileCO
Voting Members - Governing Body10
Voting Members - Independent10

Organization Financials

2025-06-30
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 73,450
Program Service Revenue from current yearUSD $ 65,575
Investment Income from prior yearUSD $ 146,387
Investment Income from current yearUSD $ 258,501
Other Revenue from prior yearUSD $ -20,364
Other Revenue from current yearUSD $ -12,552
Gross receipts from all sourcesUSD $ 4,053,234
Net assets / fund balances at end of fiscal yearUSD $ 8,758,628
Net assets / fund balances at beginning of fiscal yearUSD $ 6,795,509
Total liabilities at end of fiscal yearUSD $ 406,933
Total liabilities at beginning of fiscal yearUSD $ 408,324
Total assets at end of fiscal yearUSD $ 9,165,561
Total assets at beginning of fiscal yearUSD $ 7,203,833
Revenues less expenses for current yearUSD $ 2,052,827
Revenues less expenses for previous yearUSD $ 1,252,708
Total expenses for current yearUSD $ 1,059,050
Total expenses for previous yearUSD $ 1,109,151
Other expenses in current yearUSD $ 391,595
Other expenses in previous yearUSD $ 374,750
Total fundraising expenses in current yearUSD $ 187,457
Professional fundraising fees from current yearUSD $ 0
Professional fundraising fees from previous yearUSD $ 36,027
Employee salary and benefits paid in current yearUSD $ 665,555
Employee salary and benefits paid in previous yearUSD $ 698,374
Benefits paid to or for members in current yearUSD $ 0
Grants and similar amounts paid in current yearUSD $ 1,900
Total revenue in current fiscal yearUSD $ 3,111,877
Total revenue in previous fiscal yearUSD $ 2,361,859
Contributions and grants from current yearUSD $ 2,800,353
Contributions and grants from previous yearUSD $ 2,162,386
Gross income from fundraising eventsUSD $ 3,525
Revenue from membership duesUSD $ 36,062
Total of other revenueUSD $ 3,395
2024-06-30
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 81,404
Program Service Revenue from current yearUSD $ 73,450
Investment Income from prior yearUSD $ 70,042
Investment Income from current yearUSD $ 146,387
Other Revenue from prior yearUSD $ 36,913
Other Revenue from current yearUSD $ -20,364
Gross receipts from all sourcesUSD $ 2,635,965
Net assets / fund balances at end of fiscal yearUSD $ 6,795,509
Net assets / fund balances at beginning of fiscal yearUSD $ 5,483,966
Total liabilities at end of fiscal yearUSD $ 408,324
Total liabilities at beginning of fiscal yearUSD $ 461,396
Total assets at end of fiscal yearUSD $ 7,203,833
Total assets at beginning of fiscal yearUSD $ 5,945,362
Revenues less expenses for current yearUSD $ 1,252,708
Revenues less expenses for previous yearUSD $ 1,594,407
Total expenses for current yearUSD $ 1,109,151
Total expenses for previous yearUSD $ 972,368
Other expenses in current yearUSD $ 374,750
Other expenses in previous yearUSD $ 337,575
Total fundraising expenses in current yearUSD $ 192,219
Professional fundraising fees from current yearUSD $ 36,027
Professional fundraising fees from previous yearUSD $ 19,800
Employee salary and benefits paid in current yearUSD $ 698,374
Employee salary and benefits paid in previous yearUSD $ 614,993
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 $ 2,361,859
Total revenue in previous fiscal yearUSD $ 2,566,775
Contributions and grants from current yearUSD $ 2,162,386
Contributions and grants from previous yearUSD $ 2,378,416
Gross income from fundraising eventsUSD $ 11,896
Revenue from membership duesUSD $ 32,021
Total of other revenueUSD $ 3,293
2023-06-30
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 90,913
Program Service Revenue from current yearUSD $ 81,404
Investment Income from prior yearUSD $ 8,063
Investment Income from current yearUSD $ 70,042
Other Revenue from prior yearUSD $ 457
Other Revenue from current yearUSD $ 36,913
Gross receipts from all sourcesUSD $ 3,026,866
Net assets / fund balances at end of fiscal yearUSD $ 5,483,966
Net assets / fund balances at beginning of fiscal yearUSD $ 3,871,140
Total liabilities at end of fiscal yearUSD $ 461,396
Total liabilities at beginning of fiscal yearUSD $ 500,493
Total assets at end of fiscal yearUSD $ 5,945,362
Total assets at beginning of fiscal yearUSD $ 4,371,633
Revenues less expenses for current yearUSD $ 1,594,407
Revenues less expenses for previous yearUSD $ 1,599,868
Total expenses for current yearUSD $ 972,368
Total expenses for previous yearUSD $ 869,948
Other expenses in current yearUSD $ 337,575
Other expenses in previous yearUSD $ 369,924
Total fundraising expenses in current yearUSD $ 168,976
Professional fundraising fees from current yearUSD $ 19,800
Employee salary and benefits paid in current yearUSD $ 614,993
Employee salary and benefits paid in previous yearUSD $ 500,024
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 $ 2,566,775
Total revenue in previous fiscal yearUSD $ 2,469,816
Contributions and grants from current yearUSD $ 2,378,416
Contributions and grants from previous yearUSD $ 2,370,383
Gross income from fundraising eventsUSD $ 82,007
Revenue from membership duesUSD $ 40,195
Total of other revenueUSD $ 2,564
2022-06-30
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 55,124
Program Service Revenue from current yearUSD $ 90,913
Investment Income from prior yearUSD $ 2,110
Investment Income from current yearUSD $ 8,063
Other Revenue from prior yearUSD $ 103,346
Other Revenue from current yearUSD $ 457
Gross receipts from all sourcesUSD $ 2,489,619
Net assets / fund balances at end of fiscal yearUSD $ 3,871,140
Net assets / fund balances at beginning of fiscal yearUSD $ 2,362,523
Total liabilities at end of fiscal yearUSD $ 500,493
Total liabilities at beginning of fiscal yearUSD $ 542,217
Total assets at end of fiscal yearUSD $ 4,371,633
Total assets at beginning of fiscal yearUSD $ 2,904,740
Revenues less expenses for current yearUSD $ 1,599,868
Revenues less expenses for previous yearUSD $ 1,370,385
Total expenses for current yearUSD $ 869,948
Total expenses for previous yearUSD $ 750,566
Other expenses in current yearUSD $ 369,924
Other expenses in previous yearUSD $ 293,338
Total fundraising expenses in current yearUSD $ 79,904
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 500,024
Employee salary and benefits paid in previous yearUSD $ 457,228
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 $ 2,469,816
Total revenue in previous fiscal yearUSD $ 2,120,951
Contributions and grants from current yearUSD $ 2,370,383
Contributions and grants from previous yearUSD $ 1,960,371
Gross income from fundraising eventsUSD $ 19,850
Revenue from membership duesUSD $ 23,666
Total of other revenueUSD $ 410
2021-06-30
Total unrelated business incomeUSD $ 0
Program Service Revenue from prior yearUSD $ 36,073
Program Service Revenue from current yearUSD $ 55,124
Investment Income from prior yearUSD $ 5,754
Investment Income from current yearUSD $ 2,110
Other Revenue from prior yearUSD $ -7,677
Other Revenue from current yearUSD $ 103,346
Gross receipts from all sourcesUSD $ 2,129,208
Net assets / fund balances at end of fiscal yearUSD $ 2,362,523
Net assets / fund balances at beginning of fiscal yearUSD $ 992,138
Total liabilities at end of fiscal yearUSD $ 542,217
Total liabilities at beginning of fiscal yearUSD $ 995,416
Total assets at end of fiscal yearUSD $ 2,904,740
Total assets at beginning of fiscal yearUSD $ 1,987,554
Revenues less expenses for current yearUSD $ 1,370,385
Revenues less expenses for previous yearUSD $ 274,013
Total expenses for current yearUSD $ 750,566
Total expenses for previous yearUSD $ 686,612
Other expenses in current yearUSD $ 293,338
Other expenses in previous yearUSD $ 256,763
Total fundraising expenses in current yearUSD $ 96,665
Professional fundraising fees from current yearUSD $ 0
Employee salary and benefits paid in current yearUSD $ 457,228
Employee salary and benefits paid in previous yearUSD $ 429,849
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 $ 2,120,951
Total revenue in previous fiscal yearUSD $ 960,625
Contributions and grants from current yearUSD $ 1,960,371
Contributions and grants from previous yearUSD $ 926,475
Gross income from fundraising eventsUSD $ 25,660
Revenue from membership duesUSD $ 22,441
Total of other revenueUSD $ 85,943

Other Company Names associated with EIN

BOYS AND GIRLS CLUBS OF CHAFFEE
BOYS AND GIRLS CLUBS OF CHAFFEE COUNTY

Organization Addresses

The following addresses have been detected as associated with Tax Indentification Number 550907901

USA Mailing Address
PO BOX 1430
SALIDA
CO
81201
Date first seen: 2007-09-01
Date last seen: 2026-02-02

Nearby companies/organizations

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

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