Creative Theatre Group Inc is located in Monroe, NY. The organization was established in 1990. According to its NTEE Classification (A65) the organization is classified as: Theater, under the broad grouping of Arts, Culture & Humanities and related organizations. This organization is an independent organization and not affiliated with a larger national or regional group of organizations. Creative Theatre Group 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 12/2022, Creative Theatre Group Inc generated $50.9k in total revenue. This represents a relatively dramatic decline in revenue. Over the past 4 years, the organization has seen revenues fall by an average of (9.4%) each year. All expenses for the organization totaled $43.1k during the year ending 12/2022. As we would expect to see with falling revenues, expenses have declined by (4.6%) per year over the past 4 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
2022
Describe the Organization's Program Activity:
Part 3
0
Name (title) | Role | Hours | Compensation |
---|---|---|---|
Bruce Roman President | 28 | $0 | |
Nicole Bader Vice President | 5 | $0 | |
David Mossey Creative Director | 10 | $0 | |
Karyn Meier Treasurer | 8 | $0 | |
Peter Serretello Secretary | 6 | $0 | |
Steven Davis Technical Director | 11 | $0 |
Statement of Revenue | |
---|---|
Total Revenue from Contributions, Gifts, Grants & Similar | $3,733 |
Total Program Service Revenue | $44,947 |
Membership dues | $285 |
Investment income | $1,356 |
Gain or Loss | $0 |
Net Income from Gaming & Fundraising | $0 |
Other Revenue | $566 |
Total Revenue | $50,887 |
Statement of Expenses | |
---|---|
Grants and similar amounts paid | $0 |
Benefits paid to or for members | $0 |
Salaries, other compensation, and employee benefits | $0 |
Professional fees and other payments to independent contractors | $1,773 |
Occupancy, rent, utilities, and maintenance | $14,463 |
Printing, publications, postage, and shipping | $1,008 |
Other expenses | $25,868 |
Total expenses | $43,112 |
Balance Sheet | |
---|---|
Cash, savings, and investments | $271,463 |
Other assets | $0 |
Total assets | $272,083 |
Total liabilities | $0 |
Net assets or fund balances | $272,083 |