Casa De Santa Maria Inc, operating under the name Casa De Santa Maria, is located in San Luis, CO. The organization was established in 2006. According to its NTEE Classification (F30) the organization is classified as: Mental Health Treatment, under the broad grouping of Mental Health & Crisis Intervention and related organizations. This organization is an independent organization and not affiliated with a larger national or regional group of organizations. Casa DE Santa Maria 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 12/2023, Casa DE Santa Maria generated $94.7k in total revenue. This organization has experienced exceptional growth, as over the past 7 years, it has increased revenue by an average of 16.4% each year . All expenses for the organization totaled $30.9k during the year ending 12/2023. While expenses have increased by 3.4% per year over the past 7 years. They've been increasing with an increasing level of total revenue. You can explore the organizations financials more deeply in the financial statements section below.
Form
990
Mission & Program ActivityExcerpts From the 990 Filing
TAX YEAR
2023
Describe the Organization's Mission:
Part 3 - Line 1
PROVIDE A SAFE SPIRITUAL RETREAT CENTER
Describe the Organization's Program Activity:
Part 3 - Line 4a
CONTINUED TO PROVIDE SERVICES FOR VARIOUS COMMUNITY, CHILDRENS AND ANIMAL RESCUE OUTREACH PROGRAMS. ADDITIONALLY, INCURRED EXPENSES TO MAINTAIN AND IMPROVE MOTHER MARYS GARDEN.
CONTINUED FUNDING AND CONSTRUCTION OF THE LISA HEISER HALL WAS THE MAJOR FOCUS (AND EXPENDITURE) OF 2023. DRYWALL, PAINT, SEPTIC AND HEATING IS COMPLETE. WORK BEGAN ON TRIM, DOORS AND FLOORING. ANTICIPATED COMPLETION IS 2024.DURING 2023 RAISED FUNDS FOR THIS PROJECT TOTALING $82,407. EXPENDITURES AMOUNTING TO $152,712 WERE INCURRED DURING 2023. HOWEVER, THIS IS NOT RECORDED AS A PROGRAM EXPENSE SINCE IT IS CONSTRUCTION IN PROGRESS AND WILL BE CAPITALIZED WHEN COMPLETED.
Name (title) | Role | Hours | Compensation |
---|---|---|---|
Susan Sanderford Co Exec Director | OfficerTrustee | 20 | $3,000 |
Gwendolyn Henzi Director | Trustee | 1 | $0 |
Kathleen Aragon Director | Trustee | 1 | $0 |
Stephanie Pardue Director | Trustee | 1 | $0 |
Milton Sanderford Coexec Director | OfficerTrustee | 20 | $0 |
Statement of Revenue | |
---|---|
Federated campaigns | $0 |
Membership dues | $0 |
Fundraising events | $0 |
Related organizations | $0 |
Government grants | $0 |
All other contributions, gifts, grants, and similar amounts not included above | $94,650 |
Noncash contributions included in lines 1a–1f | $0 |
Total Revenue from Contributions, Gifts, Grants & Similar | $94,650 |
Total Program Service Revenue | $0 |
Investment income | $0 |
Tax Exempt Bond Proceeds | $0 |
Royalties | $0 |
Net Rental Income | $0 |
Net Gain/Loss on Asset Sales | $0 |
Net Income from Fundraising Events | $0 |
Net Income from Gaming Activities | $0 |
Net Income from Sales of Inventory | $0 |
Miscellaneous Revenue | $0 |
Total Revenue | $94,650 |
Statement of Expenses | |
---|---|
Grants and other assistance to domestic organizations and domestic governments. | $0 |
Grants and other assistance to domestic individuals. | $0 |
Grants and other assistance to Foreign Orgs/Individuals | $0 |
Benefits paid to or for members | $0 |
Compensation of current officers, directors, key employees. | $3,000 |
Compensation of current officers, directors, key employees. | $3,000 |
Compensation to disqualified persons | $0 |
Other salaries and wages | $0 |
Pension plan accruals and contributions | $0 |
Other employee benefits | $0 |
Payroll taxes | $0 |
Fees for services: Management | $0 |
Fees for services: Legal | $0 |
Fees for services: Accounting | $710 |
Fees for services: Lobbying | $0 |
Fees for services: Fundraising | $0 |
Fees for services: Investment Management | $0 |
Fees for services: Other | $0 |
Advertising and promotion | $97 |
Office expenses | $2,857 |
Information technology | $2,638 |
Royalties | $0 |
Occupancy | $4,837 |
Travel | $0 |
Payments of travel or entertainment expenses for any federal, state, or local public officials | $0 |
Conferences, conventions, and meetings | $0 |
Interest | $0 |
Payments to affiliates | $0 |
Depreciation, depletion, and amortization | $11,091 |
Insurance | $0 |
All other expenses | $0 |
Total functional expenses | $30,935 |
Balance Sheet | |
---|---|
Cash—non-interest-bearing | $120,649 |
Savings and temporary cash investments | $0 |
Pledges and grants receivable | $0 |
Accounts receivable, net | $0 |
Loans from Officers, Directors, or Controlling Persons | $0 |
Loans from Disqualified Persons | $0 |
Notes and loans receivable | $0 |
Inventories for sale or use | $0 |
Prepaid expenses and deferred charges | $0 |
Net Land, buildings, and equipment | $259,842 |
Investments—publicly traded securities | $0 |
Investments—other securities | $0 |
Investments—program-related | $0 |
Intangible assets | $0 |
Other assets | $178,312 |
Total assets | $558,803 |
Accounts payable and accrued expenses | $0 |
Grants payable | $0 |
Deferred revenue | $0 |
Tax-exempt bond liabilities | $0 |
Escrow or custodial account liability | $0 |
Loans and other payables to any current Officer, Director, or Controlling Person | $0 |
Secured mortgages and notes payable | $0 |
Unsecured mortgages and notes payable | $0 |
Other liabilities | $12,463 |
Total liabilities | $12,463 |
Net assets without donor restrictions | $546,340 |
Net assets with donor restrictions | $0 |
Capital stock or trust principal, or current funds | $0 |
Paid-in or capital surplus, or land, building, or equipment fund | $0 |
Retained earnings, endowment, accumulated income, or other funds | $0 |
Total liabilities and net assets/fund balances | $558,803 |