SAN JOSE CHORAL PROJECT is a USA domiciled entity or foreign entity operating in the USA. The EIN ihas been issued by the IRS
| 2025-06-30 |
|---|
| Total unrelated business income | USD $ 0 |
| Program Service Revenue from prior year | USD $ 30,324 |
| Program Service Revenue from current year | USD $ 32,503 |
| Investment Income from prior year | USD $ 11 |
| Investment Income from current year | USD $ 0 |
| Other Revenue from current year | USD $ 490 |
| Gross receipts from all sources | USD $ 147,410 |
| Net assets / fund balances at end of fiscal year | USD $ 21,472 |
| Net assets / fund balances at beginning of fiscal year | USD $ 76,284 |
| Total liabilities at end of fiscal year | USD $ 5,940 |
| Total liabilities at beginning of fiscal year | USD $ 5,940 |
| Total assets at end of fiscal year | USD $ 27,412 |
| Total assets at beginning of fiscal year | USD $ 82,224 |
| Revenues less expenses for current year | USD $ -51,682 |
| Revenues less expenses for previous year | USD $ -49,238 |
| Total expenses for current year | USD $ 199,092 |
| Total expenses for previous year | USD $ 211,861 |
| Other expenses in current year | USD $ 80,089 |
| Other expenses in previous year | USD $ 76,377 |
| Total fundraising expenses in current year | USD $ 2,470 |
| Professional fundraising fees from current year | USD $ 0 |
| Employee salary and benefits paid in current year | USD $ 119,003 |
| Employee salary and benefits paid in previous year | USD $ 135,484 |
| 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 $ 147,410 |
| Total revenue in previous fiscal year | USD $ 162,623 |
| Contributions and grants from current year | USD $ 114,417 |
| Contributions and grants from previous year | USD $ 132,288 |
| Total of other revenue | USD $ 490 |
| 2024-06-30 |
|---|
| Total unrelated business income | USD $ 0 |
| Program Service Revenue from prior year | USD $ 31,839 |
| Program Service Revenue from current year | USD $ 30,324 |
| Investment Income from prior year | USD $ 973 |
| Investment Income from current year | USD $ 11 |
| Other Revenue from prior year | USD $ 3,913 |
| Other Revenue from current year | USD $ 0 |
| Gross receipts from all sources | USD $ 162,623 |
| Net assets / fund balances at end of fiscal year | USD $ 76,284 |
| Net assets / fund balances at beginning of fiscal year | USD $ 125,522 |
| Total liabilities at end of fiscal year | USD $ 5,940 |
| Total liabilities at beginning of fiscal year | USD $ 6,000 |
| Total assets at end of fiscal year | USD $ 82,224 |
| Total assets at beginning of fiscal year | USD $ 131,522 |
| Revenues less expenses for current year | USD $ -49,238 |
| Revenues less expenses for previous year | USD $ 70,820 |
| Total expenses for current year | USD $ 211,861 |
| Total expenses for previous year | USD $ 207,422 |
| Other expenses in current year | USD $ 76,377 |
| Other expenses in previous year | USD $ 83,575 |
| Total fundraising expenses in current year | USD $ 4,206 |
| Professional fundraising fees from current year | USD $ 0 |
| Employee salary and benefits paid in current year | USD $ 135,484 |
| Employee salary and benefits paid in previous year | USD $ 123,847 |
| 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 $ 162,623 |
| Total revenue in previous fiscal year | USD $ 278,242 |
| Contributions and grants from current year | USD $ 132,288 |
| Contributions and grants from previous year | USD $ 241,517 |
| Total of other revenue | USD $ 0 |
| 2023-06-30 |
|---|
| Total unrelated business income | USD $ 0 |
| Program Service Revenue from prior year | USD $ 29,651 |
| Program Service Revenue from current year | USD $ 31,839 |
| Investment Income from prior year | USD $ 78 |
| Investment Income from current year | USD $ 973 |
| Other Revenue from prior year | USD $ 7,615 |
| Other Revenue from current year | USD $ 3,913 |
| Gross receipts from all sources | USD $ 278,242 |
| Net assets / fund balances at end of fiscal year | USD $ 125,522 |
| Net assets / fund balances at beginning of fiscal year | USD $ 54,702 |
| Total liabilities at end of fiscal year | USD $ 6,000 |
| Total liabilities at beginning of fiscal year | USD $ 21,000 |
| Total assets at end of fiscal year | USD $ 131,522 |
| Total assets at beginning of fiscal year | USD $ 75,702 |
| Revenues less expenses for current year | USD $ 70,820 |
| Revenues less expenses for previous year | USD $ -41,453 |
| Total expenses for current year | USD $ 207,422 |
| Total expenses for previous year | USD $ 179,339 |
| Other expenses in current year | USD $ 83,575 |
| Other expenses in previous year | USD $ 97,945 |
| 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 $ 123,847 |
| Employee salary and benefits paid in previous year | USD $ 81,394 |
| 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 $ 278,242 |
| Total revenue in previous fiscal year | USD $ 137,886 |
| Contributions and grants from current year | USD $ 241,517 |
| Contributions and grants from previous year | USD $ 100,542 |
| Revenue from membership dues | USD $ 7,453 |
| Total of other revenue | USD $ 3,913 |
| 2022-06-30 |
|---|
| Gross receipts from all sources | USD $ 137,886 |
| Net assets / fund balances at end of fiscal year | USD $ 72,702 |
| Net assets / fund balances at beginning of fiscal year | USD $ 114,155 |
| Contributions, Grants, Gifts etc from current year | USD $ 100,542 |
| Total revenue | USD $ 137,886 |
| Employees salaries and other compensation and benefits | USD $ 81,394 |
| Fees and other payments to independent contractors | USD $ 3,320 |
| Total of all other expenses | USD $ 84,189 |
| Total of all expenses | USD $ 179,339 |
| Net assets or fund balances at end of year | USD $ -41,453 |
| Revenue from membership dues | USD $ 6,900 |
| Total of other revenue | USD $ 715 |
| Rent, utilities and maintenance costs | USD $ 8,934 |
| 2021-06-30 |
|---|
| Gross receipts from all sources | USD $ 157,208 |
| Net assets / fund balances at end of fiscal year | USD $ 114,155 |
| Net assets / fund balances at beginning of fiscal year | USD $ 87,007 |
| Contributions, Grants, Gifts etc from current year | USD $ 146,670 |
| Total revenue | USD $ 157,208 |
| Employees salaries and other compensation and benefits | USD $ 89,123 |
| Fees and other payments to independent contractors | USD $ 4,367 |
| Total of all other expenses | USD $ 27,538 |
| Total of all expenses | USD $ 130,570 |
| Net assets or fund balances at end of year | USD $ 26,638 |
| Total of other revenue | USD $ 1,242 |
| Rent, utilities and maintenance costs | USD $ 8,302 |
| 2020-06-30 |
|---|
| Gross receipts from all sources | USD $ 178,484 |
| Net assets / fund balances at end of fiscal year | USD $ 87,007 |
| Net assets / fund balances at beginning of fiscal year | USD $ 56,889 |
| Contributions, Grants, Gifts etc from current year | USD $ 135,361 |
| Total revenue | USD $ 178,484 |
| Employees salaries and other compensation and benefits | USD $ 71,104 |
| Fees and other payments to independent contractors | USD $ 2,820 |
| Total of all other expenses | USD $ 61,890 |
| Total of all expenses | USD $ 145,547 |
| Net assets or fund balances at end of year | USD $ 32,937 |
| Revenue from membership dues | USD $ 7,868 |
| Total of other revenue | USD $ 437 |
| Rent, utilities and maintenance costs | USD $ 7,992 |
| 2019-06-30 |
|---|
| Gross receipts from all sources | USD $ 179,093 |
| Net assets / fund balances at end of fiscal year | USD $ 56,892 |
| Net assets / fund balances at beginning of fiscal year | USD $ 48,089 |
| Contributions, Grants, Gifts etc from current year | USD $ 95,868 |
| Total revenue | USD $ 179,093 |
| Grants and similar amounts paid | USD $ 1,000 |
| Employees salaries and other compensation and benefits | USD $ 69,040 |
| Fees and other payments to independent contractors | USD $ 1,850 |
| Total of all other expenses | USD $ 91,465 |
| Total of all expenses | USD $ 172,833 |
| Net assets or fund balances at end of year | USD $ 6,260 |
| Revenue from membership dues | USD $ 10,197 |
| Total of other revenue | USD $ 452 |
| Rent, utilities and maintenance costs | USD $ 6,378 |
| 2018-06-30 |
|---|
| Gross receipts from all sources | USD $ 163,261 |
| Net assets / fund balances at end of fiscal year | USD $ 48,089 |
| Net assets / fund balances at beginning of fiscal year | USD $ 59,570 |
| Contributions, Grants, Gifts etc from current year | USD $ 75,884 |
| Total revenue | USD $ 163,261 |
| Employees salaries and other compensation and benefits | USD $ 66,234 |
| Fees and other payments to independent contractors | USD $ 1,750 |
| Total of all other expenses | USD $ 98,660 |
| Total of all expenses | USD $ 176,230 |
| Net assets or fund balances at end of year | USD $ -12,969 |
| Revenue from membership dues | USD $ 7,529 |
| Total of other revenue | USD $ 256 |
| Rent, utilities and maintenance costs | USD $ 9,180 |
| 2017-06-30 |
|---|
| Gross receipts from all sources | USD $ 166,938 |
| Net assets / fund balances at end of fiscal year | USD $ 59,570 |
| Net assets / fund balances at beginning of fiscal year | USD $ 48,514 |
| Contributions, Grants, Gifts etc from current year | USD $ 91,982 |
| Total revenue | USD $ 166,938 |
| Fees and other payments to independent contractors | USD $ 71,043 |
| Total of all other expenses | USD $ 72,575 |
| Total of all expenses | USD $ 162,206 |
| Net assets or fund balances at end of year | USD $ 4,732 |
| Revenue from membership dues | USD $ 6,805 |
| Rent, utilities and maintenance costs | USD $ 8,400 |
| 2016-06-30 |
|---|
| Gross receipts from all sources | USD $ 168,361 |
| Net assets / fund balances at end of fiscal year | USD $ 48,514 |
| Net assets / fund balances at beginning of fiscal year | USD $ 61,793 |
| Contributions, Grants, Gifts etc from current year | USD $ 90,184 |
| Total revenue | USD $ 168,361 |
| Fees and other payments to independent contractors | USD $ 66,848 |
| Total of all other expenses | USD $ 96,753 |
| Total of all expenses | USD $ 173,372 |
| Net assets or fund balances at end of year | USD $ -5,011 |
| Revenue from membership dues | USD $ 6,480 |
| Gross sales of inventory assets | USD $ 1,108 |
| Gross profit/loss Sales of inventory | USD $ 1,108 |
| Rent, utilities and maintenance costs | USD $ 5,585 |
| 2015-06-30 |
|---|
| Gross receipts from all sources | USD $ 154,847 |
| Net assets / fund balances at end of fiscal year | USD $ 61,793 |
| Net assets / fund balances at beginning of fiscal year | USD $ 48,496 |
| Contributions, Grants, Gifts etc from current year | USD $ 83,336 |
| Total revenue | USD $ 154,847 |
| Fees and other payments to independent contractors | USD $ 61,253 |
| Total of all other expenses | USD $ 74,050 |
| Total of all expenses | USD $ 141,627 |
| Net assets or fund balances at end of year | USD $ 13,220 |
| Revenue from membership dues | USD $ 6,072 |
| Gross sales of inventory assets | USD $ 2,884 |
| Gross profit/loss Sales of inventory | USD $ 2,884 |
| Rent, utilities and maintenance costs | USD $ 5,820 |
The following addresses have been detected as associated with Tax Indentification Number 770439765